Automatic creation of equipment after goods receipt

Hi SAP experts,
I need help to find where in  SPRO do I turn off/on the automatic creation of equipment once a GR is done for serialised equipment.
Also, is it a PM function or MM?
Thank you
Emanuel

hi
SPRO>PM>Master data in PM >Technical objects->Define Serial No Profile  -->here goto ur serializing no profile --> goto serializing procedure and chek in MMSL procedure and change the EqR value to 1 .
regards
pushpa

Similar Messages

  • Automatic creation of po during goods receipt

    Dear all,
    po has not been created, but while receiving the material i want automatic generation of po. i have some knowledge about it but it is not working. Can some one send detailed information. with navigation details. Tips that are posted on the sdn is not working.
    Regards

    Hi
    Pl Make sure you have done following settings for the Automatic Creation of PO during GR:
    1) In SPRO ---> Enterprise Structure ---> Assignment -
    >  Material Management ---> Assign Std. Purchase Org. to your Plant...
    2) In Material Master -
    > Purchasing View -
    > Pl. Check. Automatic PO check Box   and  Maintain Purchasing Group....
    3)Create your Vendor for oyur Company Code and  Std. Pur. Org. combination and in that Vendor Master -> Purchasing Data View--- > Pl. Check Auto. PO Check Box...
    4)For your Vendor -Material Master - Plant -Std. Pur. Org combination Maintain valid Info record...
    5)In OLMB --->  Goods Receipt -
    > Automatic Creation of PO ---> for the M.Type:101  pl. check  Auto PO check Box
    6) In OLMB ---> Movement types ---> Copy,Delete, Check M.Types ---> Choose the M.Type:101   and go into Details -
    > Then goto  allowed Fields for M.Types for M.Type:101 --->  there for the M.Type:101   make the field   LIFNR as a Mandatoty field...
    If you have done the above settings properly...then  in  MIGO ---> Choose Transaction GR  and referance as Others
      and do the GR....Make sure you are doing GR with M.Type:101....and yougive the Vendor's name during   GR....
    Now If you save the GR ...automatically PO will be created...
    this you can see it by displaying the MIGO Document..
    Reward if useful
    Regards
    S.baskaran

  • How to activate the Check box in Purchase Order after Goods Receipt

    Hi All,
    How to activate the check box after Goods receipt of Purchase order in Item view (Goods Receipt is completed).
    Where t make the settings in SPRO.
    Regards,
    Shailendra Hadkar

    Hi
    SPRO - SAP IMG- Material management - Inventory management and physical inventory - Goods receipt - create purchase order automatically - activate auto Po creation for movement type.
    Then activate the auto PO creation in Vendor master - Purchasing view
    Check it out.
    Regards,
    raman

  • Automatic Creation of Equipment Master

    Hi Experts
    I have gone through lot of discussion available on forum but still Asset Equipment link is not working.
    I would like to create Equipment when I create Asset.
    I have done below settings.
    1) Asset Accounting --> Master Data --> Automatic Creation of Equipment Master -> Specify Conditions for Synchronization of Master Data
    here i have assigned equipment category and object type and selected direct synchronization after saving in Create Equipment
    2) Asset Accounting --> Master Data --> Automatic Creation of Equipment Master -> Assign Master Data Fields of Assets and Equipment
    here i have assigned fields here.
    When I create asset and save its only creating assets and even not getting error message . I have also checked screen layout and equipment is optional and not seems to be a problem.
    To see whether synchronization functionality works I have done settings from Equipment to Asset creation and it's working but that's not the requirement.
    I have changed the settings back to the 1) above to create equipment when asset is being created and it's not working.
    So to summaries when I create Asset - No equipment is created but if i change settings other way then asset is getting created from equipment.
    My question is what settings are missing to create Equipment when I create Assets?
    Is there any settings required from equipment side? any specific requirement on equipment category and object type?
    Thank you.

    Hi,
    Simple,
    1. Go to AOLK and check which tab layout is assigned to your asset class, to transaction group 'Others'.
    2. Go to AOLA select layout you found out at 1st step, then double click on 'Tab Page Titles'.
    3. Select tab page Allocations and click on position group on tab pages.
    4. Click on new entries and insert 'S0013', save.
    after doing this you will be able to find 'equipment' box under allocation.
    and regarding asset synchronization..
    Asset Accounting --> Master Data --> Automatic Creation of Equipment Master -> Specify Conditions for Synchronization of Master Data
    In this step, under the box 'Edit Asset Master Record' mention,
    Create Equipment                 2 Direct Synchronization after saving
    Change Equipment               2 Direct Synchronization after saving
    Make sure you do not have any other field 'required' in equipment creation and not assigned to asset field.
    After doing this you should be able to get equipment created automatically..
    Regards,
    Sayujya

  • FI-AA and the Automatic Creation of Equipment Master Records

    Our client is currently on SAP R/3 4.7E and per SAP Notes 176056, 370884, 361520, releases above 4.6B should be able to automatically create an equipment resord master record from within FI-AA.  Configuration shows that undaer FI-AA Master Data the integration should be possible, but we have tested and cannot get it to work.  No equipment record is ever created. 
    Has anyone been successful in performing this function?
    What are we missing?
    Thank You.
    Ruthie

    Hi,
    Simple,
    1. Go to AOLK and check which tab layout is assigned to your asset class, to transaction group 'Others'.
    2. Go to AOLA select layout you found out at 1st step, then double click on 'Tab Page Titles'.
    3. Select tab page Allocations and click on position group on tab pages.
    4. Click on new entries and insert 'S0013', save.
    after doing this you will be able to find 'equipment' box under allocation.
    and regarding asset synchronization..
    Asset Accounting --> Master Data --> Automatic Creation of Equipment Master -> Specify Conditions for Synchronization of Master Data
    In this step, under the box 'Edit Asset Master Record' mention,
    Create Equipment                 2 Direct Synchronization after saving
    Change Equipment               2 Direct Synchronization after saving
    Make sure you do not have any other field 'required' in equipment creation and not assigned to asset field.
    After doing this you should be able to get equipment created automatically..
    Regards,
    Sayujya

  • 2LIS_02_ITM delta missing after good receipts

    Hi everybody:
    We are using 2LIS_02_ITM for extracting purchase order, in some cases, delta changes are not uploading to BW, it seems, when good receipt is posted.
    We have found the note
    Note 485650 - BW: Missing entries in delta queue after goods receipt.
    But this note is for SAP_APPL 4.6 and our version is SAP_APPL 4.7 patcht level 14.
    We have no be able to find a note for our release but we think that the poblem should be similar than described in that note, but any other clue is good received.
    Thank you.

    LBWE -- maintain Lo **** pit
    Step by step
    Go to RSA6 and check the availability of the data source
    if data source is not available then go to RSA5 (all business content object available here) make a copy of the required DS.
    RSA6 - check the DS is available or not..
    lbwe - lo customising **** pit...
    select required fields - hide - inversion...
    do statistical setup run
    login to bi
    replicate DS..
    go to info package
    do initalization delta   (Delta Q will be generated only after a successfull delta initializtion done.  when you do the same system will load historical data from setup table after loading from set up table (init delta) delta Q will be get posted with records for all changes/creation which is happening in R/3 (related to MM) through events. )
    i suggest you should go for unserialized v3 (store and transffer on demand )
    1. V3 Unserealized ---unsort records
    Unserialized V3  -> Update Q> (V3 Coll. Run)---> Delta Q
    [When a transaction happends those delta will be get posted in Update Q, in order to transfer those record from update Q to Delta Q you should do V3 collective Run, (the process of loading data from update Q to delta Q is known as V3 Collective Run) ]
    2. Qued Delta  [SAP recommended]--
    It will not sort record or stop record while transferring to to delta q but will continue until the whole record finish.  it will have the track of failure record
    3. Direct Delta  --->Delta Q
    it will directly post records to delta Q when transaction happends
    hope it will help you
    binu v. rajan

  • Using scaling of price after goods Receipt according to moisture content

    Dear All ,
             Is there any way of maintaining scaling in pricing after goods receipt .The scenario is like this .
    We are doing goods receipt for maize . Suppose the quoted price is Rs 900/ton . After goods receipt if the moisture content exceeds 14 % of the total weight the Payment price should reduce proportonately .
    My client has a scale of price for moisture % .Like if the % of moisture increases the price reduces proportionately .
             Kindly let me know where I can maintain this price scale so that during GR/MIRO I can enter the moisture % and the corresponding price should automatically pick from that .
    Regards
    Abhijit das

    Hi,
    It should be effectively done through raising of Credit / Debit note system only.
    Eventhough, it is configured through scales, it causes problems.
    Regards,
    VB

  • One issue regarding update open Qty. of PO in PP/DS after goods receipt through interface.

    Dear experts:
    We are implementing APO-PP/DS integrated with Non-SAP ERP system, as the standard CIF can’t be used between ERP and APO, we have to use BAPI to transfer data.
    Now we are facing a problem, after final confirmation & goods receipt of production order in ERP, the open quantity of production order should be updated in PP/DS, but we can’t find any BAPI can help on this.
    We’ve tried BAPI_MOSRVAPS_CONFHEADMULTI and BAPI_MOSRVAPS_CONFOPRMULTI for production order confirmation, but failed, as SAP said, confirmation without goods receipt will not update the order open quantity. We also tried BAPI_MOSRVAPS_SAVEMULTI3 to change the receipt quantity, but failed, as after partial confirmation, the quantity of production order can’t be changed, but we can’t find a field of “open quantity” (open quantity = total quantity – delivery quantity) in the BAPI. So how can we update the open quantity of production order in PP/DS after goods receipt from ERP?
    Appreciate for your input, thanks.
    Regards
    Kevin

    Dear Uli
    Thanks for your information, we tried it again according to your
    instruction via Function module /SAPAPO/CIF_ORDER_INBOUND, but failed.
    For import parameters:
    OBJECTTYPE = 6
    LOGSYS = “Our logical system”
    The screenshot is as following:
    In the IT_OUT table:
    ORDNR = “Production order number in our ERP system”
    ORDERGUID = “Internal order number of this production order in
    APO” (we also tried to keep this field blank)
    METHOD = C
    GR_QUANTITY = 2
    The screenshot is as following:
    The ET_RETURN has no response
    And nothing gets update in product view.
    Is there anything wrong in my parameters?
    Thanks & Regards
    Kevin
    Best Regards

  • Import Declaration after goods receipt - Inward Processing Help

    Looking for some advice on setting up Inward Processing as I am running into issues.  Our system makeup is this:
    ECC - 617
    GTS - 10.1
    One of our facilities is setup so that they have duty deferment for imported components that are used in manufacturing and re-exported within a 36 month period. Based on this requirement we have determined that we could be leveraging the Inward Processing functionality in GTS to manage / track the inventory for duty purposes.  With that being said, this is what I have configured so far.
    Configuration:
    Purchase document in ECC is setup to transfer to GTS and create an import customs document, the check box for Customs Services is checked.  The corresponding purchasing document in GTS is activated for compliance and customs services.
    Inbound delivery in ECC is setup to transfer to GTS.  I am worried I have done something wrong in this configuration with how it maps in GTS. The document is currently creating a customs document that can be viewed in the import side of compliance.  The document type I mapped in GTS “Inbound Customs Delivery”
    Movement type 101B has been configured to come over from ECC to GTS.
    I configured in ECC the prelim. Document type T1 and also maintained that doc type in GTS which I mapped as prev. doc cat 01.  I then assigned Service LECTPR with prelim doc type category 01 as duty unpaid and target procedure 01 – Transit.
    I configured the authorization for both transit and inward processing, created the “license” for these items, and configured the activity sequence for the matching legal regulation.
    My process has been this:
    Create purchase order in ECC
    Create inbound delivery in ECC
    Update inbound delivery with the prelim doc type T1 and doc number / date
    MIGO with reference to the inbound delivery (movement type 101 against purchase order stored in MSEG)
    In GTS I go to create a customs declaration AFTER goods receipt, but I get a “no data found” information message.  When I debug I can see the that a check is done to pull records from table /sapsll/cuswlo, I have no entries in this table.
    I can see all the documents definitely made it over to GTS because they show up in the General List of Display Customs Declaration Quantities and Goods Receipt quantities (/SAPSLL/CUSWLM).  So at this point I have to be missing some key piece of configuration to allow the Import Declaration to create so the goods become available for inward processing. Any ideas on what I should be looking at that could be missing?
    Rachael

    Ok, then that's (at least) what you need to fix.
    In the Plug-In area, make sure that you've added your Inbound Delivery type to transfer for Customs purposes ("Query Customs Management for Document Type"), and that the technical activation has been turned on for Application MM0B.  For the moment - although it shouldn't make any difference - don't tick to transfer the Inbound Delivery for Compliance Management, or for Placement into Customs Status before GR.
    In GTS, make sure that Document Type 'TRLOIM' is active for Transit, and that the Document Type has an active Number Range.  Then check that the Legal Regulation for Transit (TRSxx) is active for your country code and that the Process Template is assigned in the Control Settings.
    Then see if the IBD is transferred ok.
    Regards,
    Dave

  • Automatic creation of PR after MRP run

    Hi,
    can anyone please tell me what all fields are picked up in a Purchase Requisition(PR) in the scenario of automatic creation of PR after MRP run.
    If we are using more than 1 PR type in the system how is it determined during the MRP run that the PR will be created for which type.I understand that source list will have to be created and maintained but how is the PR type determined
    Thanks in advance

    In PR the system checks for the material and vendor. See the steps below.
    Step1:Auto PO tick in material master Purchasing view (mandatory)
    Step2:Auto PO tick in vendor master Purchasing view
    Step3:Maintain Source list for vendor and material (If u r not using source list for auto PO creation, the assign the Source of supply to a PR in ME56)
    Step4:Maintain Pur. Inforecord
    Step5:ME59n : execute for PR and Vendor In ME59n, you can also select the PR document type. If you want to select different document types, go for multiple entries and enter the doc types.
    When u execute, the system will give the appropriate PRs. Select the required and convert to PO.
    But through MRP you cannot create PO directly only Planned orders can be created.
    Reward if helpful..
    Thanks,
    Srib

  • Possible to Update ERS indicator on PO after Goods Receipt

    He all,
    We had failed to update the ERS settings in the plant data view of the vendor master purchasing data. We have about 1000 PO that were supposed to be paid through ERS but are now not invoiced. Is it possible to set the ERS Indicator after Goods Receipt?
    Thanks,
    Justin

    You can change the Purchasing Group on the Org. Data tab in the PO header in ME22N.  If you have PO release strategies they will not be reset unless PGrp is a characteristic in your release strategies and you change PGrp to a value outside of the range the strategy is using.
    Also, in your system you may not be able to change the PGrp if the screen layout changes the field to display once a GR is posted.  You can see this in the document type field selection or "Define Screen Layout at Document Level".  If the PO release strategies are used, you may need to check the changeability setting for the Release ID.
    Hope this helps.
    Edited by: Paul Shrewsbury on Apr 4, 2011 3:06 PM

  • How to change Purchase Order currency after Good receipt and Good issue?

    Hi,
    I've a PO created last year. The PO currency has been entered wrongly.
    My store colleague has been performed good received and consumed it.
    Now, I am not able to change PO currency to correct one, due to this message:-
    Currency can no longer be changed
    Message no. 06489
    Diagnosis
    As a basic rule, the currency cannot be changed if there has already been a goods receipt against a document.
    If the document contains external service and/or limit items, or if an invoicing plan has been assigned to an item, the currency cannot be changed following the receipt of an invoice either.
    If external service items exist, the currency also cannot be changed if services that have actually been performed have already been recorded or if the item in question has been assigned to a preventive maintenance (servicing) plan.
    Is there anyway to change PO currency after Good receipt and Good issue? Thanks !

    Diagnosis
    As a basic rule, the currency cannot be changed if there has already
    been a goods receipt against a document.
    If the document contains external service and/or limit items,
    or if an invoicing plan has been assigned to an item,
    the currency cannot be changed following the receipt of an invoice either.
    If external service items exist, the currency also cannot be changed if
    services that have actually been performed have already been recorded or
    if the item in question has been assigned to a preventive maintenance (servicing) plan.
    Answer in question itself,need to cancel all documents of wrong currency in order of LIFO,
    Create a new purchase order.

  • Accounting Document after Goods Receipt.

    Hi,
    I have put to condition types ZVAT & ZBTT. I dont want this to be shown in the accounting document after goods receipt. It should show only Inventory account & GR/IR clearing account. Right now ZVAt & ZBTT has accounts whose posting keys are 40 & 50 ie debit & credit. what settings need to be done so that the ZVAt & ZBTT accounts do not come in the accounting document after GRN.
    Thanks
    John

    Hi,
    How should it happen that without creating accounting socuments while posting GRN, GR/IR clearing & inventory documents are hit?
    If the posting to accounting document at GRN is done, then only GR/IR clearing account will get updated.
    If posting to accounting document at GRN is done, then only Inventory posting can be updated.
    I think you shold check the logical step first.
    Regards,
    Prashant Kolhatkar

  • Lock Purchase Order fields after goods receipt

    Hello everyone,
      I need to be able to set a couple of fields in ME22N as display only after goods receipt has been done for the PO. Is there any config that I can do to get this done? Any idea or suggestion?
      Thank you very much for your help!
    Kelly.

    You can change PO after GR in standard SAP and there is no standard customization feature available to block that.
    Use ABAP to check for GR against the PO and block PO fields once GR is posted.
    Use tables MKPF for GR posting, EKKO and EKPO for Purchase Order.
    ABAP will have to change the field status of Purcahse Order screens as blocked, if GR is posted.
    It might be added as a subroutine that gets triggered after each GR posting.

  • Restricting user from changing price in me22n after goods receipt

    i want to restrict the users from changing the price of the material in me22n after after goods receipt.
    pls tell me the userexit for it with detail.

    Okay, then let me play the role of the bad man.
    Why would you need to restrict users from changing a price after GR ?
    Do you think that users are changing prices just for fun or to mess up the system?
    Have you talked to users why they want change the price after a GR?
    do you have an alternative plan, for the case that the price really needs to be changed to be able to post the invoice?  do you want to cancel always the GR in this case? Is is possible? What if the stock is already issued? do you then want to cancel the entire chain? what if a month end closure was already done?

Maybe you are looking for

  • Doubt in fbl1n transaction

    hi i have a doubt.... in fbl1n transaction, there are open items and cleared items. in it the cleared items  for certain document types such as invoice etc is not present in the open item table (bsik) however the cleared items for document types such

  • Looking for suggestions to create a graphical user interface. Swing?

    Hi there, I am considering developing this as a side-project, therefore wish to know how much work will be involved (ie. if I have time to complete it). The situation. I have an online game that I play. It allows access to data using text files,that

  • Best practice for JSF 2.0 composite component?

    Following the various tutorials and blog entries I have found, I have managed to implement a few composite components. I want to do a more complex one, but haven't found and example yet to follow and my own proficiency in programming model isn't suff

  • Object required 'sel'

    Hello, I am trying to recreate the following script in vbScript: http://forums.adobe.com/message/4173641 The below code is what i hjave so far, but at the moment i get an error described in the title of this discussion. It is happening in the for loo

  • Customize names of generated JAXB classes

    I have a peculiar requirement. We have been using JAXB1.0 in our project to parse XMLs. External binding files were used to provide proper names for the generated JAXB classes. Now, I have an xml that looks something like this: //sample xml. Original