Automatic rebate settlement

Dear Friends,
1.  We want to do the rebate settlement automatically periodically (monthly, quarterly or annually). How can I do this in SAP? When I see tthe VB(7 do not see much details.
  Also is it possible to do the partial settlement automatically for % of the accrual amount or fixed amount periodically, if possible how can I achieve this.
2. We would like to give the rebate independent of the sales volume, like $500 everymonth needs to be accrued & able to create the partial settlement automatically by running a job monthly. Is this possible & how can I do this.
3. New rebate procedure, how can I activate it & what are the precaution need to be taken before implementing & what is the implication of this.
Thanks for your help in advance.
Best regards,
Sharan

Hi
For Rebate processing
Activate rebate in customer master data ( sales area data under billing tab )
salea org,
Billing type .
Maintain the Agreement in VBO1
In VBO1 Maintain the condition records .
In pricning procedure Maintain the condtion type and  account keys ERB , ERU.
the requirement is 24 for rebate condtion types.
In VKOA Maintain the GL Accounts for both rebates and accurals.
run the cycle from sales order to billing
If the conditon amounts are not updated
use VBOF  with this tcode and run it.
Atlast you need to settle using with the tcode VBO2
In VBO2  , enter your agreement number and goto menu bar .
In menu bar  select the rebate payments-> final settlement-> using payment screen.
enter it and save it , system automatically give the credit memo request number ,
Using with credit memo request number you can create credit memo for rebate amount.
Thanks,
KP

Similar Messages

  • Automatic partial settlement of rebates.

    Hello,
    For automatic partial settlement, we have to run VB(7. My questions are  :-
    1) Iif we need to give our own amount to be partially settled , then how to do it in this T code. I cannot see any amount column in VB(7
    2) How can we partially settle a fixed amount (let's say 500 dollars) every month though VB(7
    regds

    Hi,
    I am also having the same issue. So can you kindly share the answer for the same thread posted by you.
    Best Regards
    Ankur 

  • Customer final rebate settlement based on respective delivering plant

    Dear Friends,
    Can you please give your valuable suggestions.
    Issue : Customer final rebate settlement based on respective delivering plant.
    Let me explain: Customer has purcahsed some goods worth Rs. 200000.00 by 10 invoices. Different delivering plants are involved , lets say Plant 1000 & Plant 2000. Via plant 1000 - Material worth 50000 sold by 3 invoices & via Plant 2000- material worth 150000 sold by 7 invoices ). Customer is supposed to get 2% rebate means Rs. 4000.00.
    Client needs how during the final settlement they can create two rebate credit memo request of Rs. 1000. 00 & Rs.3000.00 automatically with respect to the delivering plants involved in the process.
    No partial rebate payment will be done. I think it will help in this process. So we can put accural same as rebate rate.
    Any more clarification please let me know.
    Thanks & Regards,
    Gyana Ranjan.

    Hi Anup,
    if I get you right you want to give the customer the rebate when he reaches the sales volume of 25,000.
    Please use the scales (F2)
    Scales type "A" (from-scale) is probably standard, so the rule is
    from scale value: 25,000 Amount 3%
    If you want to give the customer the rebate when he reaches the sales volume of 25,000 and then stop
    Go to condition details (F6), change the scale type to B (To-scale), go to scales again and and fill the scales table as follows:
    to scale value: 24,999 Amount: 0
    to scale value: 25,000 Amount :3%
    Regards,
    Nicole

  • What's the next step after the rebate settlement running?

    I had created the final settlement for the some rebate settlements via vb(7,so what's the next step for it? Is it going to be routed to the financial side for the next amount payment?Please advise.

    You need to create a rebate credit memo request "Standard Document Type B1". It is created automatically while settling rebates.
    Just check if any sales document of type B1 has been generated? Go to VBO2 under menu 'Rebate Payments' you will see 'Credit Memo Request', if you are able to click on the Change/Request that would mean rebate credit memo request has been created.
    If not change the Agreement status in control data to 'B' and click on execute settlement. In the next screen enter the amount for which you want to create rebate memo and save.
    This would generate rebate credit memo request if all customizing is correct. Either case you will get a message.
    Now this credit memo request needs to billed as a normal sales order and if all SD-FI integration settings are correct this would also completes your rebate process.
    Sudhir

  • How to make rebate settlement

    Hi everyone,
    My problem is related to rebate system ,
    i am creating a report in which user is entering the amount to be accrual , this could be partial as well as complete amount pending for accrual which is already displayed to him in report,
    how to make a settlement after he has entered the value ,
    both partial and complete settlement.
    Please guide , its urgent
    helpful answers will be awarded.
    Edited by: Akash Jain on May 12, 2008 1:48 PM

    Hi,
    1.  at the end of the period or intermittently rebate settlement can be done as per requirement.
        go to VBO2, change the status open to released for settment, then click on execute settlement fof final settlement. and save it automatically cr memo req is saved, go to va02 remove billing block and save it,  go vf02 process cr memo.
    2. some time accruals are made manual depending on the business requirement.  for this settlement can be done as automatical accruals.
    3. settlement material role is used to reckon the product costing and profitability for those products come under rebates.  because any business want to know what is product cost and profitability.  after settlement the rebate discounts go to the respective material accounts and reduces profit and increases expenses on those products i.e. increases cost price indirectly.
    4. go to VBO2 and give agreement no which u want to settle and go inside change the status open to release and click on final settlement and process the step no.1 as above
    regards,
    sadanandam kasarla

  • Getting an unusual error while running transaction for rebate settlement

    Hi Experts ,
    While i am running a customized transaction for vb7 that is rebate settlement , I have input field on agreement screen of payment method . Whenever , i put any value in that field and run the transaction , it gives me an error " Input values must be defined in Table T042Z. The value or
    values ' T ' are not specified in this table. " whereas when i check the table T042Z for payment method values , the values i m entering are present there . I cannot get why its showing this error .
    Could anyone plz help as its very urgent req ..
    Thanks in advance ..
    Ankit

    Ankit,
    Set a breakpoint very early in the program's soruce code.  When you hit that breakpoint in the debugger, go to the menu bar and choose Breakpoints > Breakpoint at > Statement .  Enter the word MESSAGE into that pop-up window and continue the program's execution.
    This will stop the debugger at all MESSAGE statements... Including the one that is generating your error.  You can then analyze the code just prior to that error.... and address the issue accordingly.

  • How the sales returns will effect after rebate settlement in sap

    Dear SD Experts,
    I have a query that the Rebate settlement is done (Material Rebate) after that the sales returns has taken place and again in the credit memo the system is showing the rebate accruals.
    Can any one please suggest me how the actual postings will takes place? what changes need to be done to reverse the rebate accrual already posted.
    Thanks in advance.
    Anjan kumar

    Hi Imran
    1. The first entry should ideally happen along with the invoice posting or when you run VBOF.
    Dr. Rebate Discount
    Cr. Rebate Accrual
    This means that rebate accruals are happening. This means you are keeping a provision to pay. You are booking a liability in your books.
    2. The second entry is when you pay out to the customer.
    Dr. Rebate Accrual
    Cr. Customer
    This means you are reducing the customer balance by adjusting against the liability. Ideally this entry is passed when you do a partial settlement. If a final settlement is executed then the additional accruals if any in the account will get reversed.
    3. While taking returns the entry that you say that is happening is
    Dr. Customer
    Cr. Rebate Accrual
    This is also correct since he has returned the good, we ideally should not pass on the benefit to him. Additionally if this is happening that means the rebate is still active. When you finally settle the rebate if there is any balance in the rebate account it will get reversed. This means liability will be reversed in your books of accounts.
    Thanks
    Indranil

  • Rebate settlement at Sales order level

    Insight requested..
    How to do rebate settlement at sales order level, generally rebate settlement is done after the invoice creation and with reference to accounting document.

    Dear sud
    The definition for rebate is A rebate is a special discount which is paid retroactively to a customer. This discount is based on the customer's sales volume over a specified time period.
    Having said that if you are willing to give some discount to your customer, on the order itself, we can call it as DISCOUNT and it should not be called as REBATES.
    For discounts, you can create a condition type and assign it to your pricing procedure.
    Incidentally, can you please let me know what warrants you to ask this question.  I am sure, the sales process won't be like that.
    Thanks
    G. Lakshmipathi

  • Rebate settlement not posting

    Hi,
    I encounter the following problem with B3 and B1 billing types: Error in account determination message VF051 for Partial settlement and Final settlement
    A bit more detail:
    Create a rebate agreement with relevant conditions.
    Complete Customer Order Cycle Process with Billing.
    Accrual posted successfully.
    However when you display the open items in this Provision GL account, items are shown when you select Normal items. When Noted items is selected, nothing is displayed.
    I have create a rebate settlement credit memo request limited to amount in accrual account. It saved successfully, remove the billing block and created the Credit Memo that don't want to release to accounting.
    The same rebate conditions are displayed in document in 2 lines: one with a positive and one with a negative. The positive in the Net Value amount. When you check account determination analysis on the credit memo then it determines the accrual account and the rebate sales deduction account.
    It is possible that the accrual posted as a normal item could prevent the system from reversing the accrual in the provision account and we should therefore change it to post as a noted item.

    Hi,
    Try the transaction code KE4I, to assign SD condition type to COPA.
    Thanks,
    Rudi

  • Account Determination Error for Rebate Settlements

    I have question on Account Determination for rebates
    Here are the entries that I have made in VKOA
    ERB - R201051
    ERU - R201051 / R120201
    ERS - R120201
    ERL - R559001
    I am able to accrue the money to right accounts, but I am getting an Account Determination error when processing rebate settlements
    Any input on this would be really helpful.
    Thank you!

    Hi Shailesh
    When you are getting the error in rebate settlements it means you carefully check
    all the combinations for VKOA settings. Whether the Account assignment
    group in all the Materials used in settlement document along with the customer account assignment group
    is maintained or not. Also check in the pricing procedure the account key used.
    For all these account key the settings are made in VKOA or not. Hope it will help you
    Thanks
    sushant

  • Profit centre error while vendor rebate settlement

    Hi
    this is regarding vendor rebate settlement TC- MEB4.
    while settlement of agreement, system is not able to determine the profit centre, hence unable to post the entries. in this regards, i have checked following:-
    1. material used in rebate agreement - profit centre maintained
    2. field status of all GL used in settlement process is optional for profit centre and cost centre
    3. in document splitting, categories of the GL's are Balance Sheet Item and Revenue
    4. field status of the posting key also open for profit centre
    5. document type is defined as Unspecified posting in splitting
    do i need to look some other place for possible cause of error? please revert
    Regards
    DD

    If you have mainatained the Rebate as accrual based on agreement adn Sales conditions then you should use Item Category as "01300-Cash Discount Clearing".
    Change and try in atest system and while changing the category read the warning message carefully that the system issues and understand the implications.

  • Rebate settlements should not hit the VAT account

    Hello everyone,
    There is a question on Rebate Settlement.
    There is a customer who is entitled to a 15% BPR rebate.
    We are accruing for this rebate successfully
    The issue we are having is that the materials that this customer buy from us attract 20% VAT but when the customer claims back from us they do not claim the VAT component.
    We need to  be able to do rebate settlements that do not hit the VAT account.
    I ran a test in SAP on a sample rebate agreement but the only way I could get the rebate settlement to not hit a VAT account was to change a material to be not liable for tax and then settle against that material.
    Billing doc 1-Posts to VAT since the material is Tax inclusive
    Billing doc 2-Does not posts to VAT since the material is Tax exclusive
    Any of you aware of any other way to do this (perhaps using a payment type)??
    Kindly suggest,
    Regards
    Manjunath

    Hi Manjunath,
    As Brian already explained the way how usually rebate settlements happen with settlement or dummy material.
    Is our business needs to have settlement against actual materials billed ?
    If yes, we did an approach in our client.
    we have a six document concept which is custom developed.
    You have 2 documents created for rebate settlement run. Rebate credit memo request and rebate credit memo for settlement or dummy material maintained in rebate agreement.
    These two documents gets cancelled with corresponding cancellation documents.
    New set of documents created for Rebate credit memo request and rebate credit memo with actual materials.
    All of these documents are created using a batchjob and these documents form document flow in our case.
    You can try with help of an ABAPer for achieving this.
    Thanks
    Rama

  • Extenede Rebate Settlement: Item not relevant for billing

    Hi Friends,
    While processing the Extended Rebate Settlement, either Partial Settlement or Final Settlement, I'm getting the message "Item is not Relevant for Billing"
    Can anyone help me resolve this.
    Regards,
    Srikar

    Dear Srikar,
    While doing the rebate settlement in the settlement documents settlement material (which is assigned in the Rebate agreement) will be used to settle the amount.So you check the item category settings of that sattlement material through VOV7 transaction.
    Go to VOV7 transaction then select your settlement material itemcategory then go in to the detail screen here you check the settings for the field Billing Relevance maintain this field as B then try.
    I hope this will help you,
    Regards,
    Murali.

  • Issue in Vendor Rebate Settlement (ECC 6.0)

    Hello All,
    We recently upgraded from SAP 4.7 to ECC 6.0. In the new system, the vendor rebate settlement (MEB4) is giving the following errors:
    1. Error messages generated during billing document check run
    Message no. MN236
    Diagnosis
    Settlement accounting for rebate arrangement 85 is carried out using the general billing interface in the system (credit-side settlement type) or the general billing interface for customer billing documents (debit-side settlement type).
    It is also possible that credit memos (invoice verification, credit- side settlement type) are involved.
    The documents cannot be created without errors.
    2. For vendor 1885 no partner exists for partner function PI
    Message no. WS723
    The process used to work in the 4.7 version and no changes have been made to the configuration in the new system. Can someone please suggest the reason for these errors and how they can be resolved?
    Thanks,
    Rugmani

    HI,
       Please chk in the config....
    SPRO>MM->Partner Deter->Partner setting in Rebate Arrangement->Define partner schemas for Rebate..
    Here please check the partner function "PI" is made mandatory...
    You can main the Partner function "PI" in the agreement itself...
    Goto-- txn.MEB2-- enter the agreement no... inside click the icon "Agreement Partner" or (Ctrl+F2) and maintain the partner function PI..
    Regards
    GK.

  • Rebate settlements in RBT_ENH_BADI_SETTLE t code

    Dear sd experts
    we can use this T.code RBT_ENH_VB7 To settle Manual payments For for extended Agreements Because we cant do in VBO2
    but i have one doubt one more t.code is available  T.code  RBT_ENH_BADI_SETTLE here also rebate settlement will be done For extended agreements
    May i know exact Difference

    First one referred by you is a standard transaction code and the second one is a BADI where you can modify the logic to suits the Business requirement.  For more information, go through this documentation.
    Extensions to Settle Rebate Agreements - Extended Rebate Processing - SAP Library
    G. Lakshmipathi

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