Initial stock entry in WMS
Hi all,
we have a scenario in which existing sloc stock is to be updated in warehouse which is newly created and assigned to existing plant and sloc.
Plant 1001 and sloc 0001 are having existing stock. New warehouse WH1 is created and assigned to plant 1001 and sloc 0001. Now I need to upload existing sloc stock in WH1. How to do this? As this is not new sloc and wH case, 561 mov will not work.
Please advice.
Thanks and regards,
Sudhir
Hi all,
I have the same scenario. However, I could not be successful using the wm inventory method.
I created the inventory document using st 999 using default bin SCHROTT, and entered the available IM stock by counting transaction. When I post the difference using LI20 on the WM side, then I see an 2 bins in 999 stype. One for SCHROTT bin and amount in 1000000003 bin, which is WM inventory document bin.
And if I move the amount in SCHROTT bin to the acctual bin in WM, that part is OK. But, the minus amount in 1000000003 bin remains open, ie uncleared.
thanks
Similar Messages
-
Clearing of GR/IR Account for initial stock entry into the system
Hi All,
We MM team did some initial stock entry into the system using MVT TYPE 561 in migo transaction. But in the FI, When GR/IR clearing account was checked, these entry's caused by the initial stock entry are not cleared. when tried to clear It gives a message saying this cannot be manually cleared.Do any of you know what should be done in this case?I have one more Questiion, in my company there is some amount that is not balancing. We feel that is due to the initial stock entry of the Materials is there a way to view what was the value stock on a particular date by particular movement type, we have transaction in MM but that does not give the currency, in the currency column it says $0.00.
-
Hi
While doing Initial stock entry i am getting document type WA instead of WE.
Pls tell me whether Initial stock entry is Goods Receipt, Goods Issue or Transfer Posting, so that the above can be clearly understood.
cheersHi
Initial stock entry is a goods receipt transaction only, but in SAP standard it is given the WA document type.
if you wish to change it you can change the same in OMBA
Clcik on Goods receipt document type & change the assignment of Document type for MB1C to WE
Thanks & Regards
Kishore
Edited by: Kishore Kumar Chiluka on Jun 24, 2008 3:15 PM -
Wrong entries in initial stock entries in 561
Hi All,
what is the best process if we want to return to vender after the wrong entries in initial stock entries by 561.
Thanks,>
zafina5 wrote:
> Hi All,
> what is the best process if we want to return to vender after the wrong entries in initial stock entries by 561.
>
> Thanks,
Do cancellation of document in MIGO by cancel, against material document and then material document NO. and save will reverse the document created through 561. -
Initial stock entry MB1C with 561
Hi,
I am sure this is a very basic question. Please help in resolving and if possible provide the process details.
I am trying to post initial stock entry for the warehouse managed storage location. NOw the stock is in the interim storage are 998 with AUFNAHME as the storage bin created over there.
How to i move this stock to the particular storage bin in the storage location from interim storage area in this case? What is the procedure with respect to TR & TO?
Regards
RJSYou need to create a transfer order to move the stock from 998 storage type to the storage type you want.
Assuming 561 movement has not created a TR (the standard configuration does not), you can use TCode LT10 to select the stocks and putaway in foreground. Then put the destination storage type and other details. Your TO will be created with 999 movement (default on the main screen).
You can then confirm the TO using LT12.
Regards,
Aroop -
Initial stock entry in HU managed Sloc/full WH
Hi Experts
For maintaining stock in a HU managed storage location (Full WH), please advise the process steps.
When I tried 561, a inbound delivery created, but it has not allowed for creating TO.
Please suggest the steps.
thanks
ramSivaPlease go through Initial stock entry of materials to HU & WM managed storage location with label printout - Code Gallery - SCN Wi…
It is a step by step guide for this process -
Data Migration Q stock - Initial Stock entry
Hi all
I am in a upgrade project and i want to clarify how to migrate Q stock. When i tried MB1C mov type 563 (Initial entry) it's not allowing me as the QM is active for the material. The material which iam trying to migrate has the stock category Q and the inspection lot. What is the solution for migrating Q stock.
Appreciate all suggestions.
Thanks a lot.You have to migrate inspection lots to make it happen.
I usually do a workaround and post it either to unrestricted or to blocked stock, based on talks done with Quality folks. if I post to blocked, then when the inspection is done, the user can post from blocked to unrestricted. Or if I load to unresticted, then Quality people can post the stock to Quality status in Q-Module.
But I had never more than 10 to 20 cases in my various migrations. so it was not worth to create a program for that.
563 is used for the MM inspection stock , not for the cases where QM is implemented. -
Hi,
I am trying to create a new material in my own plant, sales area and storage location and my plant is linked to 1000 company code ( i am using training version) but when i try to enter stock for the material, i am getting an error saying combination of plant and material type Finished Product doesn't exist. Can someone please help me how to resolve this.
Thanks.Hi Prashanth,
To solve this error , go to SPRO -
> Logisitics general ->Material master--> Material type -
> there there is option to do qty and value update for material type.
under your plant ( Valuation area ) select the material type ( e.g ..FERT ) and check the qty and value update check box.
If help ful..reward points.. -
Hi
How to make Intial Stock entry in WM bin .Pls explain the process flow in details . IS that process of making initial stock entry in IM through Movement type 561 is first process.Hi Kumar,
Please Follow the link using the t code
Create initial stock entry using MB1B Or MIGO
The movement type 561
Goto disply mode using the t code MIGO or MB03
Click on WM view and note it the Transfer requirement number
GO to the LT06 with reference of transfer requirement or else meterial document
where the material has to be placed. Hope this will help you -
Hi!
I want to know how MB5B gets Initial Stock/Value. For example:
Material: 1112
Plant: 7101
Date from: 01.01.2008 to 31.01.2008
Stock / Value for 01.01.2008 900KG 15000USD
I have debugged program but I have seen it uses MBEW table but I can not find that value on that table, neither on MBEWH.
I hope you can help me. Thanks!
JocelyneMB5B use RM07MLBD include to calculate the stock.
Here is how it goes.
1. Lets take a material with plant and a storage location. Get the current stock from table MARD.
( LABST = current stock available for unrestricted usage)
2. Go to MSEG for the given material, plant and storage location.
3. Get all the records between <the day u want stockvalue> to todays date.
4. based on the movement types u may have to cancel some of the entries ( if they are return, or if some records were cancelled).
5. calcualte the quantity from field MENGE by adding up all the records.
Hope this clarify your doubts.
Regards -
FI Clearing to move values from Initial Stock Clearing A/C to GR/IR A/C or?
Hi FI Gurus
I have some simple questions:
During the inital stock upload via movement type 561, the following G/L accounts are affected:
(a) Stock Account will be Debited
(b) Initial Stock Clearing accounts will be Credits.
Question
1. What are the Tcode and steps we need at the FI side to clear the Initial Stock Clearing Account?
2. What is the name of this new G/L account where we move the values from Initial Stock Clearing Account? Is it GR/IR account or? If it is GR/IR, do we expect another IR to clear it or?
3. Why do we need a temporary Initial Stock Clearing Account? Is it because if we post directly to the GR/IR account and it will affect the stock valuation which will then need a IR (invoice receipt) to clear it off?
Please help to answer each question.
Thanks.
Edited by: Daimos on Oct 5, 2011 8:41 AMHi Sreehari,
As you know GR/IR clearing is northing but Goods Receipt Invoice Receipt clearing Account. Even if you get Goods Receipt with Invoice Receipt, Still GRIR clearing Account is required. I will tell you why..
Goods Receipt is generally done by Store keeper at stores through MIGO T.code. Moment GRN is done, Accounting entry shall be generated automatically based on FI-MM Integration. As you know entry will be,
Inventory Account Dr - Asset
GRIR A/c Cr. - Liability
At the time of GRN itself liability will be created. While doing Invoice booking GRIR will be debited and Vendor will be credited. This entry will be booked by normally accounts person who knows to which vendor the liability should be assigned.
As you cannot expect a stores person to pass accounting entry system will create asset and liability whereas while doing invoice booking accounts person will assign that liability to the correct vendor. Apart from there could be reason of price difference, or debit note to be adjusted to vendor which can only be done by accounts person. So without GRIR you cannot directly debit stock and credit vendor.
That is the reason why you need a GRIR account even if goods is received with invoice.
Hope this clarifires you.
Regards
Karthikeyan G -
Initial stock quantities posting
Hi,
I am trying to get a valuation of the initial stock entered on our system for our accountant.
In trying to do this I have been looking at the journal entries in the Stock account in chart of accounts and see that the 2 lines on each of the initial stock posting JEs are the same account - i.e each of these initial stock postings debits and credits the same 'stock' G/L account.
Is this correct? I thought that there would be 2 different G/L accounts?
Thanks for any advice on this.Hi Stewart,
I found the where the the stock managements G/L accounts are setup as you described but can you expand on which ones I should be looking at when you say 'Credits' and 'Debits' This is what our system has:
# Acc Code Acc Name
Expense Account 5999-9999 Purchase u2013 Suspense
Revenue Account 4999-9999 Sales u2013 Suspense
Stock Account 1100-1300 Stock
Cost of Goods Sold Acc 5999-9999 Purchase u2013 Suspense
Allocation Account 2100-1100 Goods Received Not Invoiced
Variance Acc 1100-1300 Stock
Price Difference Acc 1100-1300 Stock
Neg. Stock Adjustment Acc 5010-3010 COS u2013 Stock adjustment
Stock Offset u2013 Decrease Acc 5010-3010 COS u2013 Stock adjustment
Stock Offset-Increase Account 5010-3010 COSu2013 Stock adjustment
Sales Returns Acc 1100-1300 Stock
Revenue Account-EU 4999-9999 Sales u2013 Suspense
Expense Account-EU 5999-9999 Purchase-Suspense
Exchange Rate Differences Acc 7100-1200 Exchange gain/loss
Goods Clearing Account 5010-3020 Closed GRNI
G/L Decrease Account 5010-3010 COSu2013 Stock adjustment
G/L Increase Account 5010-3010 COSu2013 Stock adjustment
WIP Stock Account 1100-1700 Work in Progress control
WIP Stock Variance Account 5010-3030 WIP Variances
Expense Clearing Account 5999-9999 Purchase u2013Suspense
Stock in Transit Account (Blank) (Blank)
Sales Credit Account 4999-9999 Sales-Suspense
Purchase Credit Account 5999-9999 Purchase-Suspense
Sales Credit Account-Foreign 4999-9999 Sales-Suspense
Purchase Credit Acc-Foreign 5999-9999 Purchase-Suspense
Sales Credit Account-EU 4999-9999 Sales-Suspense
Purchase Credit Acc-EU 5999-9999 Purchase-Suspense -
Dear Gurus,
How can i cancel wrong initial stock posting,means i have posted the initial entry for MAT1 insted of MAT2.
What are the effects if i do transfer posting MAT1 to MAT2 using Mvt 309?
Would you pls help on this issue.
Thanks in Advance
Rgds,
JagguHello,
You can try to use movement type 309
The quantity is posted from unrestricted-use stock of the issuing material(MAT1) into unrestricted-use stock in the receiving material(MAT2).
Prerequisite: both materials have the same stock keeping unit.
Accounting document generated while using 309 Mvt.
1.Debit - Inventory account of Material 1
2.Credit - Inventory account of material 2
Material to Material transfer is used when material changes its properties after certain period ( Mostly in case of chemical and pharmaceutical industry).
Prerequisite for this is that material must be in unrestricted stock.and both materials should have same base unit of measure
Eg: In chemical industry material to material is transferred in case of acid with more percentage is mixed into lesser percentage
Hope it is helpful to you.
Jason. -
Opening stock entry without batch No.
Dear Pandits,
I am entering opening stock entry in 561 movement thro lsmw.
I do not have the batch No. without with will system allow to proceed or can I omitt the batch no. field
what are the mandetory fields ?
thanks
v balajeeHi,
If your material is batch managed, a batch number should be inputted.
(1) This can be done automatically (if internal batch number assignment is set) by SAP else (2) you have to do it manually.
In case (1) you do not need to define the batch number when you upload the stock.
However, we are speaking initial stock upload, that means you already have the stock with batch numbers.
Even if you are able to upload the stock records with internally assigned batch, how will you be able to say wich new batch numbers corresponds to the old one???
(Maybe this won't be problem if you have not many stock records or the there's 1:1 relation between batch and storage bin...)
I would suggest to clarify this problem and upload proper batch numbers.
Regards,
Csaba -
Initial Stock Upload T code MB1C and Movement Type 561through LSMW - Error
Hi,
Trying to Upload the Initial Stock, Transaction Code MB1C and Movement Type 561 through LSMW.
While recording the fileds, system giving a message of Code Block.
Please let us know about Code Block while uploading the Initial Stock.
Thanks
Siddu.Check this thread
[Re: Coding Block in LSMW recording via MB1C|Coding Block in LSMW recording via MB1C;
thanks
G. Lakshmipathi
Maybe you are looking for
-
Example User enters 12345 in a pre filter ----- item_number field and this value exist in the table but its defined as VARCHAR2(2000). No match is found. Do I need to define this text field in a certain way so that a match occurs - say in the elemen
-
How do I sync my iPhone and iPad to iTunes via iCloud if I have a PC?
I can't use icloud to sync my iPhone or iPad. The iCloud backup works but when I check out the Itunes Wi-Fi sync on the phone it keeps listing that sync will resume when my old mobileme username is available. My iCloud username is an different email
-
User Exit EXIT_SAPLMMDA_001
Hi! I am using this user exit to force the user to entry a delivery address for a certain Storage location. If the address has not been filled in I raise an error message using mmpur_metafield mmmfd_del_addr. MMPUR_MESSAGE_FORCED 'E' 'ME' '993'
-
Hi, I recently discovered that nVidia GPU's can execute C code via CUDA interface (cuda package in AUR) and so improve my PS'c performance. The question is: What should I do after installing the package - do I need to recompile software I want to us
-
Pubsub, RSS, Safari, and feeds that won't go away
So...I've been helping out a friend of mine with an interesting issue. He has somehow managed to subscribe to a less the reputable RSS feed (mobilism). Here's some places/steps I've taken: Safari->Bookmarks->Show all Bookmarks->All RSS Feeds-> dele