Report to view Manufacturing variances - Purchase Price Variance

Report to view Manufacturing variances - Purchase Price Variance, Materials Usage variance, Labor Usage variance.
  for above reports if standard tcodes are available in SAP please provide them or else explain how to develop these reports in SAP
Spandana

Hi
You can use KKO0 reports...
For that, assign your Cost Comp Str in OKN0 and choose Product Group = material group.. This is one time config
Execute KKRV monthly after all period end setttlements are over... Then you can view KKO0 reports
br, Ajay M

Similar Messages

  • Report for Purchase Price Variance

    Hi,
    Is there any standard report for finding Purchase Price Variance between Purchase Order and Material master
    regards,
    Mallik

    Hi Mallik,
    There is no std report for Purchase price variance .
    But you can check KSB1 , where you can find the Price difference which is going to your PRD account .
    You can find out your PRD G/L account .
    Now go to KSB1 . In the cost element field give the PRD G/L account .
    After executing change the layout as per your requirement .
    Now you can see the Pur Price variance for the particulat material for the PO .
    Otherwise you need to develop a customised report .
    Hope this helps .
    regards

  • Standard SAP report for purchase price variance

    Hi All,
    I need to know if there is a standard SAP report that shows the purchase price variance.
    Thanks,
    Regards

    Hi Ritika,
    There is no standard report available to compare purchase order price cost and standard cost of a material.
    You can check if FBL3N helps to resolve your purpose or not. Or else you have to make a customized report with the help of ABAP'er on the informations based on the following tables.
      MBEW
            EKKO
            EKPO
            EKBE
           MKPF       
            MSEG                  
            KEKO
            KEPH,                        
            BKPF                                            
            BSEG                                          
            LFA1         
    Thanks,
    Vasanthan

  • Purchase Price Variance Report completes with error status

    Dear Members,
    I am using R12.1.3 Vision Instance.
    When I ran the report Purchase Price Variance Report, it completed with an error.
    The error message is :-
    Enter Password:
    REP-1212: Object 'F_h_report_date' is not fully enclosed by its enclosing object 'Body'.
    REP-0069: Internal error
    REP-57054: In-process job terminated:Terminated with error:
    REP-1212: Object 'F_h_report_date' is not fully enclosed by its enclosing object 'Body'.
    Can any one please guide me in resolving this issue?
    Many thanks in advance.
    Regards.

    HI,
    Check the below references, it would address your issue
    Purchase Price Variance (Xml) Post Process Failed [ID 1341213.1]
    Report Error Rep-1212: Object 'F_report_date' [ID 567886.1]
    Regards,
    Ivruksha

  • Purchasing price variance report

    dear all,
    I have to generate the purchasing price variance report...
    Report to analyze and compare the following data elements from the invoice and standard cost:Period Actual average price per unit.YTD actual average price per unit o current year.YTD actual average price per unit o previous year.Current (actual) standard cost per unit.
    The tables to be used Ekko/ Ekpo/Ekbe.
    Best regards

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    .ChartRange  = .Range(.Cells(1,1), .Cells(.Rows.Count-1, 5))
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    .ChartRange  = .Range(.Cells(2,1), .Cells(.Rows.Count-1, 5))
    0
    1
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    Label Range
    ** Header names not to be exported to chart **
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    ** data not to be exported to chart **
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    -1

  • Purchase Price Variance Foreign Exchange difference

    How Purchase Price Variance Foreign Exchange difference is calculated for material consumed in product costing / material ledger

    You need to go to net price at purchase order in local currency. With quantity you'll get the purchase order total price in local currency.
    Get the standard price of material master record (which is in purchase order) on MM03 transaction on costing 2 view.
    Purchase price variance is the difference between purchase price order and material standard price.
    To get this difference in foreing currency, you´ll need to get document date of purchase order, get exchange rate at OB08 and find both prices in foreign currency; after that get same way the variance.
    Hope that helps,

  • Purchase Price Variance (Standard Costing) with Intercompany

    We are missing Intercompany transactions in Purchase price variance report. Is there a setup which let's us include these transactions to be captured by PPV report
    We do have standard costing in all Organizations

    Finally got this answered from Oracle Support below is what they said. Does not make sense but atleast we have an answer
    In principle the internal requisition hits the interorg variance account which is defined at the shipping network and is different from purchase price variance(PPV) account of the organization. So this is not included in PPV report. PPV report is only meant for purchase orders.
    Best practice would be to define different account for PPV and interorg variance. Use PPV report to match PPV account with GL and use material distribution account detail report for Interorg variance.
    If the customer defines PPV and Interorg variance account as the same then the workarounds would be :
    1) Use material distribution account detail report.
    Or
    2) In R12 use SLA account balance reports

  • Material purchase price variance and different cuurrency in IR

    we have a requirement to split  price variance and freight purchase price variance in goods receipt stage, but the problem is condition type can not be assigned COPC original group. so what are the tables I can use to split the two ppvariance using customized report?
    also in GR, accrued freight now is using month end rate, but we want it to be planned rate(another exchange rate type), is it possible to configure?
    during invoice recept, standard can't maintain different currency from PO currency, is it possible to reconfigure the system to use another currency for invoice recept?

    This is the answer from OSS
    Dear Customer,
    the system works as designed.
    When Material Ledger is activated, price differences are always
    generated under the circumstances you have described. The reason is
    that when material ledger is activated, price differences must not be
    included into the stock changes value, otherwise the system would
    not be able to calculate an actual price.
    When Material Ledger is activated, the customizing setting
    for handling price differences in the subcontracting process has no
    effect.
    Best regards,
    Santiago Lorite
    AGS Primary Support, Business Suite & Technology u2013 Logistics

  • Pipeline Materials: Purchase Price Variances

    Hi,
    Can anybody please guide me on how to handle Purchase Price Variances of Pipeline Materials. As pipeline materials doesn't have any POs and invoices, how is it possible to post the PPV so that the variances are recorded in material ledger.
    Best Regards,
    Ganesh Perumalla

    Hi,
    I could see from SAP Notes and Help the following:
    If the consignment prices have changed since the original goods receipt, post the credit memo in Financial Accounting. Clear the invoice and the credit memo in Financial Accounting.
    But the above Credit memo doesn't update the Material Ledger.
    SAP Notes advices to use the function modules FU EXIT_RMVKON00_001, FU EXIT_RMVKON00_002 and FU EXIT_RMVKON00_003.
    If somebody already worked on this scenario, could you please provide any details.
    Best Regards,
    Ganesh Perumalla
    <u><b>FU EXIT_RMVKON00_001</b></u>
    Text
    Customer Exit: Consignment Settlement - Change Invoice Data
    Functionality
    Report RMVKON00 (Settle Consignment/Pipeline Liabilities) calls this customer-specific function module.
    Report RMVKON00 calculates the invoice data from the withdrawals to be settled and calls the interface to Financial Accounting (function module AC_DOCUMENT_CREATE). Before calling the function module, you can change the following data:
    Document header (internal table T_BKPF), contains only one line
    Document items (internal table T_BSEG), the first line contains the vendor line item, the following lines contain the invoice items
    The following information is available:
    The company code (I_BUKRS) and the vendor (I_LIFNR), for which you are creating the document.
    Parameters
    I_BUKRS
    I_LIFNR
    T_BKPF
    T_BSEG
    T_BSET
    T_RKWA
    Exceptions
    ERROR
    Function Group
    XM08
    <u><b>FU EXIT_RMVKON00_002</b>____________________________________________________</u>
    Text
    Customer Exit: Consignment Settlement - Fill RKWA at Goods Withdrawal
    Functionality
    Report RMVKON00 (Settle Consignment/Pipeline Liabilities) calls this customer-specific function module and fills structure CI_RKWA.
    In report RMVKON00, database table RKWA is changed at settlement. In table RKWA, structure CI_RKWA exists as an include that can incorporate customer-specific fields. The system can fill structure CI_RKWA at goods withdrawal or at settlement. The system uses this function module to fill structure CI_RKWA at the time of settlement.
    The RKWA entry for the withdrawal (parameter I_RKWA) is available for filling structure CI_RKWA.
    For technical reasons, it is not possible to return structure CI_RKWA, instead, the whole of table RKWA is returned using the parameter E_RKWA. However,changes to table RKWA that are not part of structure CI_RKWA, are ignored by report RMVKON00.
    Notes
    The system only adopts structure CI_RKWA if the value 'X' is passed on at parameter E_CHECK.
    Parameters
    I_RKWA
    E_RKWA
    E_CHECK
    Exceptions
    ERROR
    Function Group
    XM08

  • CST amount is debit in the purchase price variance

    Hi
    We are maintaining std in the materials master
    and price procedure as taxinj
    While doing migo, the CST amount is debit in the purchase price variance and credit in the GR/IR RM,
    We need to debit the CST amount in the in the Raw material account
    what are the settings i need to carry out Plz give suitable suggestions.
    in tax code we are not maintining any G/L account for the CST
    Edited by: K. Raghuram on May 19, 2009 12:48 PM
    Edited by: K. Raghuram on May 19, 2009 1:02 PM

    Hi Raghuram,
    I think,the only possiblity for this to happen is due to the standard Price in the Mterial Mater you are using.
    Means in the Material Master ,the Price key is a standard pricing.
    So ,when ever you do a GRN ,the PO value will go and hit the Material account upto to the Standard price maintained in the material Master.
    if the amount is more than it ,then amount difference will hit the Price variance account.
    so in your case ,the CST is inventorised one ,i believe.. so that is the reason it is behaving so.
    if there is somethig else required.provide a clear insight of the Problem.
    Regards
    Anjanna

  • Purchase price variance in subcontracting order

    Our customer has the following scenario:
         Purchase account is posted with the value of stock subsequently purchase price variance is a legal account
         Material ledger is active
         Inventories are managed with standard price for each material code
         Latin method management of inventories post stock values on managerial account
    In good receipt with a subcontracting order, in case of purchase price variance, legal account of purchase price variance is posted generating a wrong reconciliation between managerial and legal posting.
    Example
    The subcontractor is a co packer that assembles material A to produce material B
    Material  A has a standard price of   3
    Material B has a standard price of     5
    If Co packer fees have a value     of     2 no purchase price variance occurs during good receipt, as a matter of fact :
    (Co packing fees) 2 + (Material A)  3 = (Material B) 5
    Else if co packer fees have a value of 3 a purchase price variance of 1 occurs and itu2019s posted using transaction key u201CPRDu201D. On FI the following document is posted:
    Legenda  : L stands for legal account , M stands for managerial account
    (L) Co packing Fees                                         3
    (L) Invoice to receive                                     3
    (L)Purchase price variance                            1
    (M) Consumption Material A                           3
    (M) Stock  Material              A                            3
    (M) Stock Material               B                            5
    (M) Production Confirmation  Material B       6
    In this scenario Purchase price variance should be a managerial account, but  transaction key is PRD  and  changing the account would affect every posting.

    This is the answer from OSS
    Dear Customer,
    the system works as designed.
    When Material Ledger is activated, price differences are always
    generated under the circumstances you have described. The reason is
    that when material ledger is activated, price differences must not be
    included into the stock changes value, otherwise the system would
    not be able to calculate an actual price.
    When Material Ledger is activated, the customizing setting
    for handling price differences in the subcontracting process has no
    effect.
    Best regards,
    Santiago Lorite
    AGS Primary Support, Business Suite & Technology u2013 Logistics

  • Purchase Price Variances

    Hi,
    I am new to SAP.  What is the best way to look at all the purchase price variances for a whole month?
    Thanks

    HI,
    Use transaction FBL3N and enter the Purchase Price variance GL Account with period for month and execute....
    Regards,
    Chintan Joshi

  • Purchase price variance

    Hi
    I want to to drill down the purchase price variance.Say I have PPV of 10K. I want to drill down to details of 10k.How to proceed.What is the transaction code for that?
    Thanks in advance.
    SN

    Hi Satya,
    Variances are based around the standard values that are set up in the Material Master file. These standard values represent what it "should" cost to produce (or purchase) a unit of the product. Variances are calculated automatically when settlement jobs are ran in SAP
    purchase price variances are caused by a difference between the standard cost in the MM file and the actual price on the purchase order.
    The entries will b something like this
    Debit Inventory XXXXX
    Credit Accounts Payable XXXXX
    Credit Price Variance XXXXX
    Regards
    Genie

  • Purchase Price Variance Split

    hi
    how to implemente the Purchase Price Variance
    what we need for implement.

    Hi,
    Goto T.code OBYC  and PRD-Cost (price) differences and configure you purchase price accounts.
    Thanks,
    Rau

  • OSP resource cost debited in 'Purchase Price Variance'

    Hi all
    Can you help me how to fix the issue of 'OSP resource cost' debited in 'Purchase Price Variance' instead of WIP cost.
    Please note that the 'Standard Cost' in resource definition is disabled.
    Note that the costing followed is 'Average'.
    Thanks in advance for the help.
    regards
    Raffath

    Raffath,
    You veriy the rate in both resource window and in P.O, there may be a scope that P.O may be ammended and Resource rate may not be changed, this difference will be affected in PPV account.
    Regards,
    Jaan

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