For every (plan, date) where the planner created a chart and we ran the solver
on the same day, here's the side-by-side. Planner aggregates all coils
charted to that plan with that CRTDAT (sum of F/G + RTI + scrap). Solver
uses the windowPlan (cross-master 4-day plan) when available, else the best
single-master option. Treat planner-vs-solver gaps as context, not verdicts —
KPIs are the compass.
How to read this: The Scope column shows
solver/planner prod lbs ratio —
≥85% green means apples-to-apples,
<50% red means the solver was
answering a smaller question (firm-only vs the planner's firm+forecast/RTI work).
Big scrap % or coil deltas on red-scope rows are usually scope mismatch, not a
quality gap. 🔒 = locked plan (SPCFLG/FIXPRC) — the solver intentionally
blocks cross-plan ride-alongs in either direction, so coil counts on these rows
reflect that constraint.