Split valuation based on stor. loc.
Dear Guru,
Please guide me how may I configure split valuation based on stor. loc. My company in multi level marketing (MLM). We have stor at Brunei as well. Our business set different price if any stocks parked at Brunei stor. loc.
Exp: Material A - RM1 at M'sia stor loc.
- if this material transfered to Brunei branch, it should calculate as RM1.50
- so stor. loc. should shows different valuation
I need to configure this for existing material. Bus. use PO, GR & IR for this procurement.Please assist me guru.
rgds,
nantha
Hi,
Valuation category is used if you want to have a split valuation i.e. you have an option of differentiating partial stocks of material according to particular criteria & handling them differently regarding valuation within a plant.
Why Required? : 1)Your valuation of Brunei & M'sia may be different
Following configuration reqd.
1)In global setting we have to define Valuation category( Say storage Location) & Valuation type( Brunei & M'sia
2) Active split valuation in MM
3) Assign valuation type to category in customizing
5) In Material Master enter valuation category in accounting view & choose price control V
6) Extend Material Master view for both valuation type
7) valuation category to be active /assign for plant
8) In local definition Define Valuation category to Valuation area.
Then for every transaction (Valuation relevant) may be GR, GI, and Phy. Inventory you must mention valuation type during transaction to get your material valuated separately.
By this u will able to map your requireemnt & able to valuate diffrently.
Vivek
Similar Messages
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Process order based on split valuation
Hi Experts,
I have a scenario where the same HALB material in the plant can be of 3 different grades.
Accordingly, if I do a split valuation based on the 3 grades, how can I ensure that while creating a process order on the HALB, depending on the grade (and hence the valuation type) the system picks up the recipe from an available collection of 3 different recipes (for the 3 types)?
Regards
Sm.Hi
Just go to CT04 and creat three characterstics with grade 1,2 & 3 or as u wish. You can give single value to identify the grade say 1,2,3
go to CL02 and creat class using material class as class type .
Assign these three characteristics to this class
go to mm01 and type the halb and extend the classifcation view
specify the class that is created.
go to bom and in the HALB line item delete it. and create new line item using k as item category and save the bom
now when you creat configuration profile using cu40 and make sure you can use it in production
after this try creating a production order the system will prompt for characteristics use your grade and proceed for production
Krishna -
Inforecord for Split valuated materials
Hi all,
How can i maintain different prices for split valuated materials
For Eg. I have a material split valuated based on its Quality vendor supplies two diff quality materials with different prices
how to maintain the prices in inforecords or any alternative to maintain both the prices.
With regards,
Krishnahi..
Split valuation is for Valuation Purpose only...
SAP does not support....Procuring same material with Diff. Split Valuation Type from Single Vendor is not allowed by SAP standard..
You cannot Maintain Purchase Info for Material which is having 2 Split Valuation type......with One Vendor......
Because For One vendor and One material combination, you can maintain One split valuation type only....
Hope it works..
Thanks.. -
Partial delivery without GR Based IV in split valuation scenario
Dear,
We are using split valuation for our materials.
I'm reading on http://help.sap.com/saphelp_di46c2/helpdata/EN/47/61017e49f011d1894c0000e829fbbd/frameset.htm the following sentence:
In the case of partial deliveries for a purchase order, you can only valuate each partial delivery separately if goods-receipt-based Invoice Verification has been defined in the purchase order (the field GR based IV must be selected on the order item screen). If goods-receipt-based Invoice Verification has not been defined, the valuation type that you enter for the first partial delivery is binding for the following partial deliveries.
We have the requirement to valuate partial deliveries separately.
We can however not switch on the GR-based IV flag. The business scenario requires the invoice posting to Goods In Transit to be done before the Goods receipt booking.
Moreover, additional unplanned delivery costs need to be debited to the PO lines after the initial invoice posting, which is not possible in a GR-based IV scenario. (GR quantities can only be invoiced once)
How can I separately valuate partial deliveries without switching on the GR-based IV flag?
Thanks for your swift reply.
SimonHi Ravi and Yann,
Thank you for your inputs. OSS note-956083 can not be applied in my case due to the hight system version (patch level 550).
I have already raised this issue to SAP, but in the lack of proper infrastrucure SAP can not access the system. (BASIS guys are still struggling with it)
Well...let me give you recap-
We have not activated nor implemented any BAdi so far (Vanila SRM 5.0 EC scenario) PO creation for goods is working fine and as desired. But when it come across with PO with limit item or services, system throws an error as -
"PO 5100000263: Service-based invoice verif. requires GR "NO" or G R-based invoice verif."
Would deeply appreciate if you guys can share insight on this issue.
Thank you for your assistance! -
GR/IR Accounts based on Valuation Categories (Split Valuation)
Hi,
I have enabled split valuation for a material. For this material there is a single Valuation class and 2 Valuation categories.
Can i have 2 GR/IR accounts for this material (based on Valuation Category) in OBYC (WRX Transaction).
Please Advise.
Thanks,
SafiYes provided the Val category should have diffrent val class allowed and also in customizing in OBYC you should change the rules for WRX transaction key and enable valuation class and assign a G/L account for both of your material's val classes...
Reg,
Deepak. -
Split valuation with batch management and project stock
Dear Gurus,
I need to combine two following requirements:
1. split valuation with batch management (valuation type = batch number)
2. project stock
These two functionalities work fine separately but not together.
I receipt PO for material with spiit valuation on a batch level into a project stock. Posting is OK and material document (MSEG table) seems to be OK (batch number, valuation type and project stock are in this table). The problem appears when I want to display material in this valuation type (MM03) or batch (MSC3n). They don't exist!!! Short investigation showed that during goods receipt table MBEW (valuated stock) was not updated with this valuation type.
But If PO is receipt into normal stock first and then posted into project stock everything is OK.
Have you had or heart about such issue? I would appreciate any sugestion.
Thsnks in advance.
Marcin BernatHi,
As you already know ,u are using project stock and doing goods receipt against project, stock table QBEW will be updated and not MBEW. MBEW only updates in case of plant stock valuation. If u receive any goods against project stock it does not contribute to plant stock. Irrespective whether your material is managed in split valuation or not, If it is received against project stock it only updates QBEW. There is no need to update MBEW, if u r using split valuation in project. QBEW also have valuation type as another level like MBEW. If u want to see material price for project stock, it can be seen in QBEW -valuation type and not in mm03.
As u r receiving goods against project stock this is d only reason QBEW is updated and not MBEW.
QBEW will store all information like MBEW for batch number, valuation type and project stock assignment.
Hope it answers your question.
Deepak. -
Hi Consultant,
I have one issue with Split valuation -configuration. I have maintained all the configuration setting related to split valuation but whenever I will create PO system does not pick-up the price (different price based on the valuation type in material ) .
The following configuration have done in IMG:
i) Activated split valuation
II) Maintain valuation category under this group in to three valuation types.
III) Activate Plant, (assign into valuation type)
Maintain condition table with key combination (material/plant/price/val.type)
Assign into condition type PB00
Maintain condition records in MEK1 (for this material)
Maintained one header material with valuation category then same material has extended to different valuation types and prices.
Is it necessary to maintain Info record for the split valuated material?
Why system does not valuate the price automatically based in the valuation type changes made in PO?
Regards,
ThiruHi Consultant,
I have one issue with Split valuation -configuration. I have maintained all the configuration setting related to split valuation but whenever I will create PO system does not pick-up the price (different price based on the valuation type in material ) .
The following configuration have done in IMG:
Hi, Thiru,
Please check the settings for configuration of split valuation;
If you want to use split valuation, activate the settings found in customizing for material management under
Valuation and Account Assignment--> Split Valuation-->Activate Split Valuation
Define valuation category and a valaution type.
Valuation category determines the criteria for distinguishing between stocks.The valuation type decribes the possible features of the partial stocks.
You define valuation category, valuation types and assignment of types to categories in customizing for material management
Valuation and Account Assignment--> Split Valuation-->Configure Split Valuation
Also first check you material master record with MM03 by selecting the desired organization levels and see whether the valuation prices are showing as per desired valuation type.
Also would like to add that info records are not required in split valuation.
Regards,
Tushar Patankar -
Split Valuation Material Cost Estimate into COPA
Hi all,
Is there any way how we can transfer the split valuation material cost estimate into COPA?
I checked the actual line items, there is no "valuation type / batch" characteristics there.
Is this the main cause?
Please kindly suggest on the best way to solve this issue
Thank you very much
Regards, ErwinHi, Ajay
Does this mean that, even though i manage to create the valuation type as characteristic in COPA, i won't be able to get 2 different cost estimate based on valuation type into COPA?
Hm, then, are there any solutions which can be done to solve this issue?
The client needs a COPA report which can show the breakdown of the sold materials cost estimates
As usual, thank you very much for your help
Regards, Erwin -
Dear all,
I'm facing issue when trying to assign "Valuation category" to Material in Material master Accounting view.
Purpose of doing this is to achieve split valuation. But system is blocking me to do that due to PO created for the material before.
Refer below that steps happen for the scenario:
1. Material 123 created without split valuation.
2. Create PO 999 for the material 123, follow by full GR of qty 10 and eventually "delivery completed" marked for the material.
3. Using MIGO movement 261 to perform GI qty 10 for production usage.
4. Now Production order has been finished, and wish to bring back the qty 10 to Non-valuated stock.
5. Goto MM02 change Material 123 to assign "Valuation category" in Accounting view. Error returned by system " Purchase order 999 item 00010 already exist".
For the case, do you know how to get rid of the error in order for me to assign "Valuation category" after PO has been created for the Material?
Please comment.Hi,
Have you activated Split valuation ???? Before using valuation category.
the process you followed is correct. Now the stock is 0.
You need to configure Split Valuation :
1.To use split valuation, you have to activate it using TCode 'OMW0'.
2.To select split valuation ('OMWC'), proceed as follows:
2.1. Determine the valuation categories and valuation types that are allowed for all valuation areas:
- global valuation categories via menu "Goto --> Global Categories"
- global valuation types via menu "Goto --> Global Types"
2.2. Allocate the valuation types to the valuation categories.
a) Select "Goto --> Global Categories".
b) Position the cursor on a valuation category and select
"Goto --> Global Categories --> Assignments --> 'Types->Category'".
c) Activate the valuation types you want.
2.3. Determine the local valuation categories for each valuation area.
a) Select "Goto --> Local definitions".
b) Position the cursor on a valuation area and select
"Goto --> Local Definitions --> Allocate Categoires->Org.units (button Cats->(OU)".
You obtain a list of the global valuation categories.
c) Activate the categories to be used in this valuation area.
The system creates the local valuation types based on the allocations under point 2.2.
Now you assign the Valuation Category in Material MAster Accouinting View.
Hope this is useful for you.
Regards,
Smitha -
Hi Friends,
I need bach anagement for all our raw materials and some materials need split valuation ( imported, domestic) based on orizin. When I assign both, valuation type only selectable . But I want the batch control for FIFO. can anybody suggest, how to maintain both options?
Regards,1. split valuation
Valuation type
http://www.sap123.com/showthread.php?t=29
2.batch
2-a - active batch mgmt in mat master
2-b- do batch config steps.
3. FIFO.
If Batch Management is active for the materials then use following process;
First create characteristic in CT04 for Batch Creation Date, under "Addnl data", enter Table Name MCH1 or MCHA (As per Batch Class 022 or 023) and Field ERSDA and save it.
Assign this characteristics in CL02 in your Batch Class.
CU70 - Create a Sort Rule and specify the Characteristic of Batch Creation Date and activate "Ascending" indicator.
Now assign the Sort Rule in MBC1 and keep Selection criteria as "O" for the Strategy type.
Now do batch determination in MIGO. -
Stock Out to Enable Split Valuation on Material
We need to activate split valuation on a particular material on one specific plant, in order to do so we must stock out from all st. locations and cancel all opened documents.
We did it !
In Stock report it shows zero stocks in the following plants and Storage locations.
we also checked MBEW and MARD Tables and the values are zero their.
However it still display errors:
Stocks already exist at plant level.
Material Plnt SLoc
236670030 D920 M920
236670030 D920 M921
We checked Plant stock and Storage Location in MM03:
There it shows the Following:
Plant Stock in previous Period:
Unrestr.-use stock 45,836
How can settle the above.
Please advise!
MASKHi There
Check in Stock in transit or Stock in transfer or Reservation for a material in a plant,,
Once you confirmed everything Zero, again check the Stock and try
Based on your below post, i am doubting of transfer or Transit or reservation open qty
236670030 D920 M920
236670030 D920 M921
Hope it helps
Thanks
Senthil P -
Material Split Valuation Error
Hi,
We have recently implemented ECC 5.0 version of SAP. In case of certain
material we are tracking value based on split valuation. In case of one
material the code was opened without activating valuation category,
subsequently we tried to activate the same , but the system lists out
the POs and stock details in error message, in response we issued the
stock and made it nil and blocked all open POs still the system does
not allow to change valuation category in MM02.
Please guide to resolve problem.
Regards
Milind NairHi,
Thanks for all your replies...
Only one PO was created earlier & GRN was also done against it for the entire qty. Later, the corresponding stock was consumed.
Then, valuation category of this material was set to blank. At that time, it was ensured that there wasnt any stock or any open PO's against it.
Still I am getting this error. Please help me in resolving this issue.
Thanks,
Komal -
VPRS incorrect cost when using Split Valuation
Hello,
We are using split valuation thus each valuation type has a separate moving average price. When creating a billing doc, my pricing procedure is called which includes VPRS. The problem is the cost returned is not for the correct valuation type which is passed in the billing document (Field BWTAR). The cost returned in pricing is the moving average without any valuation type. Does anyone know of any configuration to calculate VPRS based on the batch/valuation type provided in the billing document?
My pricing procedure includes condition VPRS which is set to SUTOT = B, Reqt = 4 and statistical. The condition type is set to defaults (Cond Class = B, Calculation Type = C, Condition Category = G). The article master has field Price Control set to V and split valuation is enabled.
The billing document type being used is FP (POS Interface)
The item category is DLN
Any help would be greatly appreciated.
Thanks,
PierreHello Pierre
I am not totally knowledgeable on this subject but want to give my best shot.
I think you need to ensure that the system takes (redetermines) the cost from Valuation segment in the material master.
1) So make the cond category a T (Moving price). Don't change VPRS but copy it and set up ZPRS and then use it in the pricing procedure as an alternative to VPRS.
2) You may also need to work on the copy control- Item cat level- especially Pricing Rules- Probably you need to set up a custom one which says 'keep manual prices as they are, but redetermine cost". Then you need to set up USEREXIT_PRICING_RULE from Program RV61AFZA to make this work. . Use OSS note 24832 to set up your new pricing rule.
3) Also check out 'Price Source' field- in copy control again- to see if it helps you achieve your objective.
Also about VPRS, OSS note 547570 says "If the condition control (KSTEU) is set to 'H', the cost was taken from the goods issue. If it set to 'A', it was redetermined from the valuation segment of the material master, in case of 'D' or 'E' it was copied from the preceding document:. But I don't know how you can use this information.
Go through these OSS notes and those mentioned within for a good idea of VPRS.
372772 - How does the system determine the cost?
547570 - FAQ: VPRS in pricing
24832 - Pricing rules / TVCPF
371844 - Correction of incorrect costs
372760 - Several problems with VPRS
Hope this helps, Let me know. -
Material Split Valuation : Procurement Domestic & Import
Dear CO Experts,
I m in a situation where my client has a Raw Material (RM), which is procured domestic & also imported. This RM is attached to a single FG in a BoM.
Do differentiate domestic & import procurement, they have used Split Valuation.
The reason behind such a decision is, since that RM is very sensitive and delay could not be affordable.
Clients are now requesting to have a seperate view of Standard Cost Estimate based on Slipt Valuation. We have observed that execution of Standard Cost Estimate picks only RM which is based on local currency.
Please help me to understand & few steps of missing config, how to have a dual view (based on Slipt Valuation) of Standard Cost Estimate.
Regards,
Hussein.Hi Hussein
Two RMs are required - But its not a good option... It creates lot of probs in MRP if you have duplicate codes...
Two FGs are not required if you go for 2 RMs....
a. You can create 2 BOMs... The RM will be different in each BOM
b. Routing may be the same
c. Create 2 Prod versions i.e. BOM 1 + Routing = PV1 and BOM2 + Routing = PV2
d. Create 2 Proc Alternatives in CK91N using the Prod 2 Versions
e. Create a Mix ratio in CK94 i.e. weighing factor that you can assign to each PV
f. Calculate cost from CK11N... Costs will be calculated separately for each PV and at the end system would apply the mix ratio specified in CK94
Eg: Cost of PV1 = 100 and Cost of PV2 = 120... If mix ratio is 50:50 - Then Std cost would be 110 (100 * 0.5 + 120 * 0.5)
From my experience - I would advise you to drop your requirement and educate your client about the same... have one single raw material (you can use Split Valuatoin) and use the Average price for Std cost... While execution - The cost of consumption would be charged as per Domestic or Import... This would hence, reflect the price variance....
br, Ajay M -
Split Valuation X Automat. Batch, FI entry not correct
Dear all,
During post the goods receipt ref of PO for split valuated material (Valuation Category = u201CXu201D Automat. (Batch). This material type is FERT but valuation class is different and price indicator is u2018Vu2019 MAP. In Material type setting for FERT is in Valuation Tab contains, fields Price Control set as u2018Su2019 Standard Price. When post the goods receipt note the accounting entries is like Price Difference A/c Dr To GR/IR Clearing. But standard entry should be like Stock (Equipments) A/c Dr. to GR/IR Clearing.
In system standard FI entry comes in following changes.
1. When remove the valuation category u201CXu201D Automat. (Batch).
2. When change the material type properties of valuation tab field Price control u201CVu201D in place of u201CSu201D thru T code OMS2 and in Material Master remain with Valuation category u201CXu201D Automat. (Batch).
Requirement is keep in Material Type properties like Price control u201CSu201D and in Material master we keep valuation category with u201CXu201D Automat. (Batch). And FI entry should become standard one as Stock A/c Dr. to GR/IR.Hi Santosh,
if you want to activate the batch split (automatic bath ), the material must be moving average price not standard price.
when you receive the goods againt the purchase order, syytem will ask you to enter batch.
Then it will update the new batch price in the material master, and update the stock postings without any price difference.
If it is fixed batch split ( auto batch split), then you can maintain both the pricing catagories.
Ex;
if the material is procuring form different places ie Import and local
Here there are two fixed valution types based on the origin
IMPORT VALUATION TYPE : FIXED PRICE "S"
LOCAL VALUATIONTYPE : MOVING PRICE "V"
In the material master create the accounting view (without valuation type) maintain the price as moving average,
Then extend the accounting view for the valuation type IMPORT, price as standard price
extend the accounting view for the valuation type LOCAL , as moving average price.
In case of LOCAL valuation only the price difference will trigger, for IMPORT will not trigger.
Thanks
Srinivas
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