About vendor of stock transfer oder

Hi  experts,
In the sceniro of intercompany STO, I want to know how to set up the link between supply plant and the vendor ?
Thank you.

Dear all,
     Issue Resolved
thanks

Similar Messages

  • BAPI for creation Stock transfer oder

    Hello Gurus
    Is there a BAPI to create a Stock transfer order( UB - within the company code )?
    regards
    mohammed

    Hi,
    You Use this BAPI_OUTB_DELIVERY_CREATE_STO  and also check the BAPI_PO_CREATE1 with adding Logic check with your Abaper he may help you.

  • How to specify the vendor for supply plant in stock transfer oder process

    Hi experts,
    In the sceniro of intercompany STO, I want to know how to set up the link between supply plant and the vendor ?
    Thank you.

    Hi
    I think you are talking about Inter Company STO...if yes,
    Follow the below steps to to make STO between two plants belongs to  different company company codes.It is also called as Inter Company STO.....
    *1)Create one Customer Master in XD01 with respect to Supplying Plant Sales Area and assign this Customer no with Receiving Plant in OLME->PO-> set up STO->Define shipping data for plant and for the supplying Plant assign the above sales area.( Make sure,In Customer Master,sales Area Tab: you are maintaining shipping condition)*
    *2) For Receiving Plant Pur. Org and Co.Code Combination create Vendor master in XK01 and in this vendor master assign the Supplying plant in Pur.Org.Data screen->Extras--> Add.Pur.data
    3) OLME->PO-> Set up STO------>For your supplying plant assign document type NB, Delivery type NLCC and Checking Rule RP
    4)then For your supplying Plant and receiving Plant assign Document type NB
    5)Make sure you are maintaining Sales View for the material at supplying Plant and in Sales /Gen plant Data view maintain Availability check, Loading group and Transportation group.
    6) In SPRo-->Logistics execution> Shipping->Basic shipping functions->Shipping point Determination>assign shipping points-> For your Loading group,Shipping Condition and Supplying plant combination,Assign shipping point
    these are the configuration settings you have to do in background.
    Then Create STO from Receing Plant in ME21N with document type NB.
    Based on that STO, Create Delivery in VL10B from supplying Plant
    Do PGI in VL02N from Supplying plant
    Do GR in MIGO at Receiving Plant keeping Outbound delivery as a ref. document.
    Now your STO bet. two plants belongs to diff. Co.Codes will be completed.
    Reward if useful
    Regards
    S.baskaran
    Edited by: baskaran srinivasan on Feb 28, 2008 9:53 AM
    Edited by: baskaran srinivasan on Feb 28, 2008 9:54 AM

  • Control of vendor consignment stock

    Hello
    We have agreements with some of our suppliers about vendor consignment stock. Problem is that from a financial point of view, we don't fell we are having enough control about the values of the consignment stock.
    When the supplier deliver the goods physically on our location, we agree about the prices. Deliveries to other prices can be mixed with each other - in other words; we do not empty the consignment stock before getting new materials from the vendor. When ordering materials for consignment stock it is done via a purchase order, item category K and price 0.
    When using the consignment stock material we do it via MVT 411, which creates a posting - value of this posting is the price from an info record. Monthly the consumed materials are settled via MRKO.
    Problem is that we would like to know the price of the consignment stock - before it is used in production, even though it is not our goods, but we have committed to pay a specific price.
    Best regards
    Søren Kirch

    Hi
    Please note that in ECC 6.0 way back in 2006 SAP had introduced new functionalities for Consignment material for Retail (internal distribution) and for wholesale customer sale (SD sale).
    To over come this problem of stock determination for DC to store distribution (Plant to Plant) we need to do customization for stock determination and prioritization of stock (which type of stock should be considered when a particular movement type is called).
    The same stock determination group once configured and assigned to movement type should also be maintained in Article master Store or DC view. Article consignment indicator in the Article Store or DC view should also be marked as "1".
    Depending on the Source of supply 2 or A the transactions pick up stock types as mentioned in the Stock determination group (As prioritized).
    When you create an STO (Stock transfer order) the item category for Consignment is not populated any where but when you do Goods issue in outbound delivery the 411 K indicator will be picked up in the background.
    This will allow movement of Vendor consignment stock from one plant to another.
    I hope i answered your question.
    Devesh

  • Vendor code in Stock Transfer Inspection Lot(08)

    Hi Everybody,
    I have noticed that when a Stock Transfer lot is created, the 'Data for lot orogin' tab in the Inspection Lot shows Vendor code in 'Data for goods receipt' section at times and at times Vendor code is not included in this section.
    Please throw some light on the situations under which the vendor code is included and excluded.
    Regards,
    Manish.

    I can't say for sure but I would compare the triggering document.  I.e. Exactly what material movement is used in each case and what type of document triggered it, (I.e. an STO order).  Than look at those documents and see if and why a vendor number is available.
    FF

  • Error message : Vendor is not an invoicing party in stock transfer PO

    Dear All,
    i need help on this issue
    1. user create a Stock transfer PO
    2. in condition he put condition but he forget to enter vendor code in condition detail.
    3. GRN is done
    4. after GRN he entered vendor code in the condition detail ( in the PO)
    5. but at the time of MIRO user is getting  error "Vendor is not an invoicing party"
    Note : here it is not possible to reverse GRN.
    so please guide me on this
    Thanks
    h shah

    Hi,
    Check the vendor for Fright vendor.
    If fright vendor then check in MIRO --> selected planned delivery cost ... or not..
    SAM

  • Intra-Company Stock Transfer PO is requiring vendor inv to bill customer

    I am trying to configure a process where a new item category on a sales order will trigger a purchase requisition (new req type) to create a UB purchase order.  When I deliver the PO from the supplying plant, then do the goods receipt in the receiving plant, then deliver and PGI the delivery for the sales order, I cannot invoice the customer because I get the error message 0141 Vendor Invoice has not yet been created (Individual Purchase Order).  I don't think I should need to create a vendor invoice for a stock transfer between 2 plants in the same company code, and when I try I get a message that no suitable item is found for the purchase order.
    Can any of you experts tell me what determines whether or not a vendor invoice is required, and why I'm getting the message that one is required?
    REGARDS,

    Yes, that is correct.  The delivery from the stock transport PO supplying plant->receiving plant is NL and the item category is NLN.  The delivery from the receiving plant to the end customer is type LF.  It is that delivery to the customer I am trying to bill.
    Regards,

  • The Question about stock transfer between HU-Management and WM-Management

    Hi,
    There is a scenario about stock transfer between HU-Management and WM-Management storage location. I use transaction MB1B , movement type 313 , 315. After Good issue from WM-management storage location, outbound delivery will genarated, then Pack, Create/Confirm TO, at last post goods issue for the outboud delivery. But when i do movement type 315, there is a warning message "Data of preceding document was not transmitted", and from the F1 help i find this system reponse "You can maintain an indicator that makes information about preceding documents in this delivery available under delivery type in Customizing. For some characteristics of this indicator, the type of preceding document and the related document and item numbers must be transmitted to delivery creation. At least one of these parameters is missing.".
    So, My questions are:
    1. Generallily, Outbound delivery is created by SO, inbound delivery is created referenc PO, but how the stock transfer for 2 steps generate the outbould delivery and inbound delivery? Could you pls tell me the where i can config this in the IMG?
    2. What's "Data of preceding document was not transmitted" mean ? how to fix this issue ?
    Best Regards
    Boxer Du
    I am the SAP fans, focus on MM and WM. I am interesting TRM Yard Management and Cross Docking now.Very Gladly to talk you about these areas. I want to exchange the knowledge with you, and want to be a good friend of you. Pls contact me. You can find My MSN in the profile. Thanks.

    Hi,
    Sure, The inbound delivery type is set up in the IMG->Logistics General -> HU management -> Basics ->Delivery type -> Delivery type determination.
    For Inbound delivery type 'HID' is maintained in this view.
    Best Regards.
    Some One want to discuss the details , can contact me. Thanks.

  • Problem about sales order stock stock transfer and batch determination

    Hi, experts, I get a problem about sales order stock stock transfer and batch determination.The following is the current situation of my system:
      In OMCG I assigned search procedure ME0001 to both 311 and 311 E and ticked check batch. After that, I found  that if iI need to tranfer unrestricted-use material from storage location 1000 to 2000 with movement type 311, I just need to input * at the field batch, then the system will display all of the available batches. But for the transferring of sales order stock with movement type 311 E, after I input * at the batch field, no batch is displayed and there is also no message from the system.
      Can anybody help me? Is there anything else I need to do? Thanks very much.

    I think my question is not clear, actually I tried 562 E , 411 E and 413 already. all the transaction looking for the sales order but unfortunatly the sales order is deleted  from SAP.

  • About goods issue from vendor consignment stock

    Hi, I meet some issue needs your help!
    The outbound delivery needs to post goods issue from vendor consigment stock directly. then how to choose which vendor's
    stock for this delivery base on the actual process?
    thanks
    Best Regards,
    Rory

    Hi
    In R3 it is not possible
    If say material X is 100 units lies in your premises the vendor  consignment stocks (the vendor property lying in your premises ) and out of that 100 units if you are making a sales order and then a goods issue means it is not possible
    To sell that material you need to make it your own stock ( that is transfer from vendor consignment to your own ) as good as buying that stocks and then sell it
    But the same scenario is possible in IS retail
    For this iS retail server is reqd
    In Retail you can play with vendor consignment stocks as much as possible without making our own stocks
    You can search SAP library regarding the settings of the same
    http://help.sap.com/erp2005_ehp_04/helpdata/en/c6/af3c415e5dde2be10000000a1550b0/frameset.htm
    Regards
    Raja

  • Vendor Return and Stock transfer with Shipping

    Dear Experts
    As per our business requirement we have customized Stock transfer process through SD delivery
    In this case in IMG for delivering plant we have maintained sales area as 2000/30/10. (IMG-MM-Purchasing - PO- Setup STO - define shipping for plant)
    If this IMG setting is missing, then in STO the shipping data is not getting determined.
    Now in new business scenario we want to send the vendor returns via shipping with new sales area 2000/40/80.
    How to maintain two different sales area (in above mentioned IMG setting) so that while creating STO and vendor return PO shipping tab gets determined.
    Please help.
    Regards

    Hi Padman,
    Please refer the thread Re: Return Purchase Order with delivery to a Vendor
    Please find the following settings,
    1. Flag Returns to Vendor in vendor master record in purchasing data view.
    2. Create a customer master and assign the above vendor in the CONTROL DATA view.
    3. Extend Material master to the sales area which is created customer master record.
    4. Assign shipping data for plants for this plant in Set up Stock Transport Order node.
    5. Do the config of return to vendor as " F-NB-Plant-RL".
    Now try and let me know.
    Regards
    Mallikarjuna K Durgavara
    Edited by: Mallikarjuna K Durgavara on Apr 19, 2011 10:32 PM

  • Doubt about stock transfer process

    HELLO FRIENDS,,
    I am doing stock transfer from plant to plant...i have done
    me21n--vl10b vl02nvf01j1iinmigo-j1i5-j2i5--j2i6
    please advise me  whether this process is right or wrong..........
    Thanking you

    Hello,
    Have you run the Stock Transfer cycle that you have mentioned? (me21n--vl10b vl02nvf01j1iinmigo-j1i5-j2i5--j2i6
    Did it run properly? Were excise value properly posted in RG Registers?
    There are couple of ways of doing Stock Transfer Process. What is your specific query?
    Thanks,
    Jignesh Mehta

  • About stock transfer

    Hello friends
    what is one step and two step in stock transfers in real time sceanario
    In stock transfer process from plant to plant under same company code....
    normally me21n...vl10b....vl02n...vf01...j1iin....
    normally i know 1 step means it updates automatically...and 2 step means stock in transit will be there....i want to know in real time view....
    plz help me friends....i am configuring stock transfers in my company

    Hi
    Please find the below links
    STO PO Process
    http://wiki.sdn.sap.com/wiki/display/ERPLO/TRANSFER+POSTING
    Note: Please search before posting the issue.
    Thanks
    Dasaradha

  • Stock transfer Price calculation

    Dear expert,
    I got following request from my client about calculating the Stock pricing for Excise calculation,
    u201CWhenever stock transfer of any material happens from one excisable plant to another excisable plant we have to pass on the excise duty, irrespective of MRP of that material i.e. assessable value for Excise calculation will be same.
    In order to find out accessable value we divide the material in four category i.e.
    a. Domestic Purchase
    b. Imported
    c. In-house production
    d. Interplant transfer
    In the z transaction we put material code & plant as an input field.
    System will first check that whether BOM of that material exist or not, if yes than take the MAP value of the same, add 10% on it give assessable value.
    If BOM does not exist than search movement 105, if exist than check that whether its purchase order has INR currency, if yes than it is domestic purchase if not than it is Imported, in case of domestic purchase take its accessable value, in case of imported we have to add customer duty.
    If 105 does not exist than check 101, check that this 101 is against production order or purchase order, if production order than take MAP + 10% if purchase than take its accessable value.
    If 101 does not exist than check 310, 305 movement & take supply plant of the same & again check the all the above scenarios.u201D
    Please advise which condition or Table can be used for finding out the requirement
    Regards,
    Pranav Dave

    Hi Astricks,
    I'm not really sure, but please check the different settings.
    For the store there should be a customer defined.
    The DC should be in a different distribution chain than teh store to ensure possibility of different prices.
    There must be a valid inforecord from the vendor and further please check the table KNVV if there is an entry between the customer of the STORE and the distribution chain of the DC.
    Also check in the transaction WB02, if the delivery sites are maintained.
    If this will not help, please open an customer message on IS-R-BD-RPC  (retail pricing) with example. Someone will take care about it.
    Regards
    Björn

  • Intercompany Stock Transfer - MIRO Accounting Error

    Hi Experts,
    In Intercompany TSock Transfer with Delivery and Billing, I am facing Problem in MIRO - Invoice Posting Accounting Entry.
    Consider the following scenario:
    Plant 0002 orders 10 kg of a material from plant 0001. The following prices apply:
    Valuation price (MAP) of material in (plant 0001): Rs. 10/kg
    Price for intercompany billing (plant 0001) in VF01: 12/kg
    Order price (plant 0002 in PO ): Rs. 11/kg
    The following postings are made for the individual transactions:
    Goods issue in Plant 0001          100 -        Stock account
    (643 mvmt)                                  100 +        Change involving stocks
    Billing in Plant 0001                     120 -       Sales revenue account
    in VF01                                       120 +      Customer account
    Goods receipt in Plant 0002       110 -    GR/IR clearing
                                                       110 +   Stock account
    when I am posting Invoice in MIRO Tcode, Accounting Entry generated as below which is WRONG.
    Invoice Posting in Plant 0002     110 -    Vendor account
    in MIRO                                       110 +    GR/IR clearing
    Actually, the accounting Entry should be as per below.
    Invoice Posting in Plant 0002     120 -    Vendor account
    in MIRO                                       110 +    GR/IR clearing
                                                        10 +   Price difference account or stock account
    Can any one tell what configuration is missing, where Billing Doc (VF01) value  needs too be adjusted while Posting Invoice as above.
    Thanks and Regards,
    Selvakumar. M

    Hi,
    I do it 4 year ago (in a 46B release). I don't remember these details (differences), but I remeber that you only need one document (the IDOC makes the FI document in the company that receipts the goods). Check these notes that I forgot tell you before, because note 31126 tells us:
    "You can also use this EDI processing for the logistics invoice verification of the stock transport order in Materials Management (module MM). Only some of the parameters must be adjusted in Customizing for the output control. These adjustments are described in the following solution."
    I remember that I avoided this problem because in pricing procedures I forced that conditions were equal. You can use VOFM to achieve it.
    Note 659590 - EDI: Stock transfer and cross-company sales
    Note 31126 - Intercompany billing - posting to vendor account using EDI
    Note 127178 - Questions about user exits in IDoc INVOIC01 (FI)
    Regards,
    Eduardo

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