Help on GOA screen control at line item for only material
Hello All
scenario:-
1. create a GOA
for a material with has alternative UOM ( CAR - ORDER UNIT ; 1 CAR - 34 ea) . So i created GOA FOR MATERILA LINE ITEM.
FOR CAR .
2. I released GOA and distributed GOA for CAR as Oeder Unit UOM.
3. now my buyer go to GOA and change UOM as EA and price I AND CHANGE THE PRICE IN THE SAME LINE ITEM.
4. No PO released against the COntract in the ECC
5. Unfortunately buyer could change this UOM from CAR to EA. now GOA shows as EA in the line item
6. this info taken to ECC via IDOC but this info never updated in ECC contract.
7. my PO release as CAR forever rather than EA since my ECC contract always shows as CAR
i can lock this item i can create a new line item, no issues.
how buyer knows each time ? if the system allows buyer always try to change rather than entering new item. it is not buyer fault. it is srm fault.
Now ican u suggest some code in ui control badi , if the PO not releases system should not allow to change the UOM in the GOA line item for a material.
PS:- once PO released against contract . srm will not allow to change the UOM . that is fine.
SAP has to correct this problem and release the note.
Muthu
Hi Donald/SCot/ kiran/ jay...
are you having the same problem in SRM 700. front end validation is required here toooooo...
please help me.
I could not accept this functionality ..
why SRM allows to change the UOM by the buyer after release the GOA for the same line item
if srm allows to do edit, SAP SRM and ECC has to update the same UOM in the existing purchasing contract. IDOCs carry all new uom but why not updated in ECC purchasing contract.
decided to write own logic in ui badi to protect this. what to do
Muthu
Similar Messages
-
Production order from sales order with multiple line item(for one material)
Dear Gurus,
I am working in MTO scenarios. If there is several line item in a sales order for one material, multiple production order( same as no. of sales order line item) is getting created against each of the line item.My requirement is,since the material code is same in each line item and sales order is one, one production order should be generated for all line item. please tell me how to do it.
(Here for one material, multiple line item is required for some specific reason)
Regards
Rajib PathakHi,
This is not possible.
In Std SAP will create one production order for one sales order. The stock is also allocated to thet particular sales order only. Because each and every sales order may vary in any one of the parameters. Considering this, SAP has designed like this.
Regards,
V. Suresh -
Line item for header material not updating in COEP table
Hi all,
from last few days, I found that when I do confirmation and GR for process order, system is updating all line ( i.e. components, activity types) but line for header material that is finished goods or semi finished goods is not updating in COEP table, I have done GR for order and transferred stock from quality too.
But still its not updating. What could be the reason for it .
Thanks
Vivek VarunHi Krishnendu,
Thanks for the reply , FI document is not getting generated.
What could be the reason for it, as before it was working fine.
Thanks
Vivek Varun -
Text in Line Items for BCS top side entry
Do any of you experts out there know of a way to enter text in bcs line items for top side entries?
Thanks
TimDear Charles,
I understand that you are asking for line item texts in BCS. This can be acheived by an enhanecemnt in the code and I have done it before. this code is there in an OSS note and you can apply this note by using transaction SNOTE. (Can u pls check the oss and u can fix it asap. If u dont find the same let me know. I was checking this in my laptop and I ahve to go for a meeting now). I confirm that u can fix this in 5 minutes with that note.
You will see the line item texts in the screen after that.
Pls let me know if it helped.
Thanks & Rgds
Samir Neji -
Item Message text LTxt 2A Message(s) when structuring line items for
Hi ,
Please can any body help on this below errror message.
At the time of executing depreciation (AFAB) we are getting below error message.
Item Message text LTxt
2A Message(s) when structuring line items for document number ERROR00001
2A Account 'Accumulated dep. account unpl. deprec.' could not be found for area 01
END Error messages after processing of assets
END Posting run ended with errors
Please can any body help on this issue.
Thanks in advance for your help.
Edited by: seshu_sapfico on Nov 2, 2009 5:12 PMHi Seshu
Please go to T-code AO90 and assign an accumulated depreciation account .
To find the correct place , check your asset class and check which account determination you have in it.
Once you know your account determination go to T-code AO90
enter chart of depreciation
double click on account determination on left hand side of screen
click on correct account determination on right hand side
double click on depreciation a/c on left hand side
and enter your g/l for Acc.dep. accnt.for ordinary depreciation
hope this should solve your problem
Thanks and regards
Sanjeev -
Creation of suspension line items for Subscription orders
hi ,
I am currently working on IS-Media project.
I have a requirement that I need to create a suspension for all the line items available for the subscription orders.
I mean I have to create a new line item for all the active line items of a subscription order.
I have seen the FM : ISM_SALES_ORDER_CHANGE.
it is working for only single active line item.
Could you please suggest any of the Function moulesavailable in the SAP : IS-Media?
Thanks in advance.
Vijay.Vijay,
The best FMs that would meet your needs are below. They are listed in the order that will best address what you are trying to accomplish. They are ISM_SALES_ITEM_UNLIMIT_CHANGE, ISM_SALES_ITEM_SUSPEND and ISM_SALES_SCHEDULE_CHANGE.
I hope this helps.
Sibu -
Missing Line items for CO-PA "BAPi_ACC_DOCUMENT_POST"
Hi Every one,
I am facing a problem while posting the documents using the standard "BAPI_ACC_DOCUMENT_POST". Problem is, if I have a multiple line items to be posted, BAPI is posting only a part of them and throwing the other documents into error with an error message "Missing Line items for CO-PA" or "inconsistency between a document field and prof. segment number" .
Program is handling the errors in another internal table and displaying them on output report.
When we re-run the program with same parameters, it is posting the some part of the residue and throwing some documents into error. So to clear out all the documents I need to run the Program for multiple times.
Any one can help me out in solving this Problem.Hello Prashanth ,
there are 2 structures I think you should fill
CRITERIA (ref structure BAPIACKEC9 )
VALUEFIELD( ref STRUCTURE BAPIACKEV9) in BAPi_ACC_DOCUMENT_POST
hope this helps... -
Single line item for multiple open items in app
we have three open items to vendor x 100001000010000
But we are paying to vendor only 10000100005000
At the time of entry system showing
Vendor account 25000
To Bank account 20000
To Bank account 5000(here we paying partial amount of 3rd open item)
But my Clint requirement is system should post only single line item for bank account 25000 for reconcilation purpose
Would you please suggest where we need to do customization?Hi Anantha,
How are you making the payment which transaction you are using ? Both Manual & Automatic payment
the suggested solution is go for split payment terms. configure using OBB8 and OBB9
Hope this helps
pbb -
Transaction KSB1 - Display Actual Cost Line Items for Cost Centers
Hi,
When I run transaction KSB1 - Display Actual Cost Line Items for Cost Centers, all my offsetting accounts (accumulated depreciation accounts) are shown except for the ones for asset classes:
- Buildings
- PC & Small Applications
On the FI side, I can see transactions being posted to their relative accumulated depreciation accounts but I do not see this on the CO side when transaction KSB1 is executed. I have checked the config and the account assignments look correct. Also, the assets created have cost centers assigned to them.
Could you please help!
Thanks,
- DekiHi Murali,
I have one depreciation expense account (P/L Account) which is also a cost element.
During depreciation run, the different asset classes are supposed to hit the depreciation account above and their corresponding accumulated depreciation accounts (These are Balance Sheet Accounts and I have separate accounts for each asset class .. ie: Accumulated Depreciation for Furniture and Fixture for asset class Furniture and Fixture).
Now when I run transaction KSB1 - Display Actual Cost Line Items for Cost Centers, all my accumulated depreciation accounts are shown except for the ones for these asset classes:
- Buildings
- PC & Small Applications
Any thoughts on why the above aren't showing?
Thanks! I really appreciate your help!
- Deki -
Plan cost line items for cost centers report
Hello,
I am displaying the report: Plan cost line items for cost centers and when I display the details of a line item it appears a document number, where could I display this document?
I have tried to display it in FB03 transaction but it seems not to be this kind of document.
On the other hand in the field Business transaction it appears RKP6, what is the meaning of this field?
Thank you very muchHi Beatriz Amezua ,
For displaying plan line items for cost center - KSBP and for display of individual plan document : KABP
RKP6 means "Planning Activity Dependent Costs"
Like in FI module, the business transaction have been codified and the list you can find in KANK transaction , mention your controlling area, menu -- Groups -- Display Groups
Srikanth Munnaluri -
Line items for the PO are not automatically displayed
Hi all,
When attempting to post an invoice against PO, the line items for the PO are not automatically displayed. When we went to the Listing of PO's and brought this up, we noticed under the "invoice"tab that the: Invoice Receipt & GR-BsdIV is checked.
need your help
Thanks
FayazHi,
Can you check delivery complete indicator in PO. It is in PO item details delivery tab.
In MIRO transaction, select the tab Purchase order/scheduling agreement, enter PO number and press enter.
Right hand side select the layout all information .
Regards,
Chandra -
Not displaying Actual cost Line Items for Order
Hi Gurus,
Recently we did patching from SPC6 to SPC8. After patching we noticed that could not able to see displaying Actual cost Line Items for Order from work order.
System is not throughing error message when I double cline on line item at Plan/Actual Comparison screen in work order cost tab.
We can able to see the same from KB01 with out any problem. I have attached the details.
Could any one suggest me please. Appreciate your thoughts
Regards,
SriniHi Paul,
I have implemented this note and get it sorted out.
Thank you for support.
Regards,
Srini -
FB60 - Two line items for tax amount (Posting Key - 50)
Hi,
I am facing some issue in FB60 invoice posting. For the same vendor(say V1) I am posting 2 different invoices for 100 USD - the <u>company code, G/L, CostCenter & Tax Jursdiction code are different</u> in both the cases. Once I do FB60 and got to document overview screen this is what I see...
<b>Case1</b> - in the document overview screen I see a Posting key(PK) 31(invoice amount), PK50(tax amount) & PK40(total amount)...which is fine.
<b>Case2</b> - in second case the document overview shows two line items for PK50(credit - tax amount) and tax amount is different.
Two questions...
1) Why there are two tax items (PK50 items) - is that dependent on tax rule or vendor or company code?
2)My client says the tax amount should be same in both cases - but I am wondering how can it be, when tax codes are different in both the cases? Where can I check how these tax values are getting calculated.
Any adivse/hints will be greatly appreciated/rewarded.
Thanks
KiranAKu
I got the same scenario also
this second document display because of material price change u can double click that document -
One Line Item for More than one Ship to Party
Dear Friends
In one sales order which has only one Line Items for example P-101 qty-40 pcs. That 40pcs should shipt to my 4 ship-to-party. How I end user to do it. in one Line item in One Sales Order.
Kindly Regards
ArunHi Arun,
First create four ship to party master data which will be having different address.
Then assign those ship to party in your sold to party master data in the partner tab.
If you want sent material P-101 to different persons then you have to divide the quantities in the line item like this
P-101 10
p-101 10
p-101 10
p-101 10
Now select one line item and click on detail screen.
After that go to the Partner Tab and change the Ship to Party for that particular item.
Do this same procedure for other three line item also.
Try this method it might work.
Suneet Prakash -
Extractor of Line Items for Profit center
Hi
I am trying to find an Business Content Extractor of Line Items for profit center.
Under Controling I could fined a data store for Cost Center, But could not fined the same for Profit Center.
It has to be part of Co and not of FI
RegardsFor profit center delta line items use 0EC_PCA_3. Periodic transfer use 0EC_PCA_4.
pls assign points to say thanks.
Maybe you are looking for
-
I updated to os x 10.8.5 today and now I cannot publish changes to my web page through iweb. iweb crashes every time I try to publish
-
Some emails missing from Mail InBox
All emails received in Mail, version 3.6 (936) between 6:57pm 8 August and 6:15pm 10 August (around 30 messages) have disappeared from my Inbox at some time in the afternoon of 10 August. (I don't suspect the timings are significant, I'm just being s
-
Need to extract FS items and Hierachy (TRX CX17)
Hi ALL, I need to extract a FS iten hierarchy from CX17 ,do u have any sample code which i can use as ref code for it? I have to display parents n child accordingly .. Let me knw ,as its on urgent basis. Thnks in advance
-
Photoshop wont let me use the text tool HELP
Basically ive just got photoshop and it wont let me use my Text tool and i carnt figgure out how to fix it and it wont tell me either ?? help me please
-
Want to know the Java APIs to store the CAPK certificates on the file system and also if sample code or reference program is provided that will highly thankful.