Automation in Stock Transfer

Dear All,
Suppose there is one material which is a by-product. On its production (101) entry will be like this.
Material Name:- Pig Iron
1
Production Scrap Inventory (Pig Iron)  Debit    - Stock Account    
Inventory Change     Cr - P&L Account
Now the same will be  converted in to RM category with new material i.e. Pig Iron One
At that time entry will be
2
Raw Material Inventory (Pig Iron One) Debit - Stock Account
Production Scrap (Pig Iron) Cr. - Stock Account
Now my question is what about my inventory change amount as it should also be knocked-off to have its P&L impact as in abov entry, there is a stock to stock transfer and not change in P&L.
So I want a trigger entry like below.
3
Inventory change (New Code)                Dr.  (Pig Iron) - P&L Account
RM Consumption for Re Processing Pig Iron Cr. (Pig Iron One) - P&L Account
After this invemtory it will be very clear to guage my P&L impact and also the same can be further used for consumption.
So how to get this trigger entry (No.3) automatically as entries 1 & 2 is as per normal practice.
Regards,

what you describe is not by-product but scrap-postings. You could save your material transfers and the postings if you in fact used the raw material pig iron one as by-product. You could have a planned qunatity of by-products but then always decide at confirmation time what the actual quantity of by-product was.
best regards,
                      Udo

Similar Messages

  • Intercompany Stock Transfer starting from Plant Maintenance

    Dear SAP Experts,
    We are planning to implement Intercompany Stock Transfer Process starting from Plant Maintenance side.
    We would like to be able to order for maintenance work order material which belongs to different plant.
    After adding such material to work order system should automatically create purchase requisition with Item Category U – Stock Transfer.
    Such purchase requisition will be then converted to P.O. Then standard MM process will follow meaning on supplying plant side Delivery & Goods Issue will take place. And on receiving plant side Goods Receipt against P.O.
    Can you please let me know whether there is standard process which covers what was described above especially part on Plant Maintenance side?
    If there is no standard process can you please advise (propose some best practices) how we can realized such request?
    Many thanks in advance.
    Grzegorz

    Grzegorz
    From memory, with intercompany trading you need to create a PO/PR on Company A and a corresponding Sales Order on Company B.
    This can be automated via MM
    I would suggest you ask the question in the MM Forum..
    PeteA

  • Intracompany sales/stock transfer management processes with WBS and New G/L

    Hi all,
    we have a scenario in which we need to transfer project stock between two projects. Both belong to the same Company Code. The transfer must be conduct as if it was a sale.
    Basically the scenario is the following:
    1) Material A is in stock of Plant P1 under Project WBS1 (linked to Functional Area FA1).
    2) Plant 2 needs to "purchase" that stock and put it under WBS2 (linked to Functional Area FA2).
    We have new G/L with the Functional Area set as a balancing dimension so any transfer between the two Plants should generate a billing document to balance the two Functional Areas. The stock should be moved between the two Plants/Projects.
    How would you manage this scenario in SAP?
    I've read all the documentation related to Intercompany Business Processes in SD Billing and everything related to Transfer Prices with New GL however I've found no information on this particular scenario.
    In particular, the STO cannot be used since it allows only to move the stock between two Plants without having the WBS dimension on the receiving plant (i.e. I can move stock from Plant P1/WBS1 to Plant P2/WBS1 - which is not what I need since I need it on WBS2). Besides, but I'm not sure, the automated billing seems to be possible only in case the transfer is between Plants belonging to different company codes (I still need a FI document for balancing the Functional Areas).
    The transfer price scenario, which is the one recommended by SAP for Intracompany sales, is not applicable as well since we don't have Profit Centers and, as far as I've understood, it doesn't seem to allow stock transfer between different WBS as well.
    The only scenario I thought so far is to use a Purchase Order/Sales Order scenario:
    The PO would allow WBS2 to receive in Plant P2/WBS2 the stock purchased against internal vendor Plant P1.
    The SO would allow WBS1 to sell the stock (i.e. issue it from Plant P1/WBS1 to internal customer Plant P2).
    The billing would be done against the SO and the incoming invoice would be posted against the PO (hence recognizing internal revenues and internal expenses).
    This process, however, requires a lot of reconciliation activities and is error prone as there is no cross-check between SO and PO data.
    Do you have any hints or suggestions to manage this differently?
    Thank you in advance for your help.
    Ciao!
    Max

    Hi seesen_rs,
    thank you for your answer.
    We also thought of that but the issue is that the 301Q moves stock immediately while we need to monitor the order and the shipment of the material (the 301Q is posted when the goods arrive at P2/WBS2). Besides, we also need to consume budget upon order so the PO/STO would help us for the first part of the process (i.e. when the goods are requested from P2/WBS2), then we should do the 301Q and then the billing. In order to keep the whole document chain linked we should also make us of custom fields. An alternative would be to use direct Goods Issue and Goods Receipt however they would have no references for budget and material requirement tracking purposes, hence not very helpful.
    Also SAP said there is no easy way for managing this
    Ciao!
    Max

  • Stock transfer between stor loc. of same plant triggered by Sales Order

    Hello everyone
    I need some input regarding triggerring Stock Transfer between 2 storage locations of the plant from a Sales Order.
    Sales Org: ABCD
    Plant: WXYZ
    Stor Location: 0001 & 0002
    Now here 0001 is the Picking location for the Delivery Document.
    However 0002 is where all the stock is stacked.
    Physically they both are different buildings in the same vicinity.
    The Business wants the Sales Order to trigger the stock movement from 0002 to 0001 on a daily basis.
    So from a end user prospective, they will move the stock from 0002 to 0001 for all the items needed to fulfill the Orders due for Shipment for that day.
    What options do I have for this ?
    Thanks
    Vin

    Well actually the Selling Org ABCD is of a different Company code .. it is a typical case of Intercompany Sales .. where the Plant WXYZ is belonging to another company code.
    I have setup the Intercompany Sales Process .. and want to trigger the Stock movement as mentioned above.
    I have configured the STO for storage location - stor. location in a Plant. ...
    However I am struggling to trigger a STO from a Sales Order.
    I tried using the Schedule Lines to trigger a Pur. Req ... however the Supplying Plant field remains blank (which is the same in this case as it is a stock movement between 2 locations of the same plant).
    The flow looks somewhat like this
    Sales Order -
    > Stock Transfer PR in Plant WXYZ -
    > Delivery Doc for the STO --- > MIGO to receipt the inventory in 0001 -
    > Delivery DOc for Sales Order -
    > Invoice for end customer --- > Intercompany Invoice
    If anyone has automated creation of a STO from a Sales Order .. please advice
    Thanks
    Vin

  • Report for Missing qty in stock transfer

    how to Create a Missing Quantity list that gives the difference between sent and received quantities during Stock transfer. and send me tables involved in that, primary keys also

    suppose, if we transfer goods from plant to plant or St loc to st loc with in one plant, if some goods missed due to some problems, i need that info.
    diff beteen sending stock of plant 1 and receiving stock in plant2
    Where can i gte all this fields

  • While doing J1iex In case of Stock Transfer Duty is Getting Inventorised

    Dear Experts,
    In case of stock transfer of capital goods between 2 plants, when we are doing J1IEX (for the receiving plant) and tick the u201Ccalculate excise duties based on ratesu201D, the system copies the credit due amount to inventoried duty.
    Due to this the total duty becomes sum of credit due and inventorised duty.
    Why is the system copying the credit due amount to the inventorised duty in case of stock transfer only
    Edited by: Burzes Batliwalla on Jun 13, 2011 7:17 AM

    I am also checking this out with Burzes .Everything is ok with conditions,if we donot click  "calculate excise duty based on rates" . Nothing is inventorised.
    But problem starts when we tick    "calculate excise duty based on rates"   and duty gets Invetorised.
    which is
    Recalculate Excise Duty
    Recalculates the excise duty on the item.
    Procedure
    Select this indicator if you change any of the excise duty rates in the above fields. Then press Enter.
    The system then recalculates the excise duty amounts accordingly.
    Why is this happening.
    Anyone can send some useful suggestions

  • Error in MIGO durng intra-company stock transfer by STO

    Dear gurus,
    I am facing an error while posting MIGO during intra-company plant to plant STO.
    Settings for STO:
    SPRO >IMG > MM >Purchasing > Purchase Order>set up Stock Transport Order
    Define Shipping Data
    Define/assign Checking rule
    Assign Delivery Type
    Assign Doc type
    I have maintained the following pre-requisite master data
    1. Supplying/Receiving plants are created as customer/vendor master
    2. Excise details (customer/Vendor/Plant) data are maintained in J1ID
    3. Assessable value is entered in J1ID
    Process flow:
    1. ME21n - Create STO (PO type:UB)
    2. VL10B - Create Outbound Delivery
    3. VL02N - PGI
    4. VF01 - Create Pro-forma Invoice (Stock Transfer Invoice)
    5. J1IIN - Post Excise Invoice
    at the receiving Plant
    6. MIGO-Post Goods Receipt.
    After entering the excise invoice and clicking on CHECK buttin in MIGO, the following errors are appearing
    1. Excise Details are not maintained for Vendor .-Message no. 8I565
    2. Maintain Vendor for the excise invoice -Message no. 4F185
    3. Please check excise base for the item is zero ! -Message no. 4F121
    Please reply your valuable suggestions.
    Regards,
    Anbu

    Hi Anbu..
    Post Migo without excise entry and try in J1IG to post the excise invoice.
    In J1iG..enter material doc of GR ,Excise invoice no from Manufac plant,check own plant and
    Click Details to get the excise values as in excise invoice.
    Hope this works !!
    Thanks
    R.Kannan,

  • Stock transfer PRs are not getting created in APO

    Hi,
    I have a plant-to-plant transfer is configured using special procurement type. When APO creates stock.PRs , it does not provide any numbers to PRs and they are not getting trasnfered to R3. CIF model for PIR & POs are running good.
    In CIF post processing these PRs as stuck and  I see " Vendor master data does not exist for plant A" . There is vendor master data created for plant A in R3 and material info record also exists.
    How to de-bug this post processing queue to see what is missing in vendor master data?
    regards,
    shan

    Hi
    Can you explain in detail your scenario..you say plant A so I suppose there is plant named B in your scenario. which one is the source location and which one destination location?
    In Stock transfer from plant to plant scenario, key is to have correct settings for the system to do source determination.
    Assuming plant A as destination and plant B as source. First, The material should be maintained at both the plants.
    You need to have a purchasing info record(ME11) linking your material and the source plant B.
    I assume you are using external procurement type in your material master. Special procurement type 40 (stock transfer)should be maintained in material master.
    Then the system creates a STReq and PurReq using the source plant B. For the system to do this source determination should happen. To verify that..you can check the following...
    When you transfer the purchasing info record, system automatically generates the external procurement relationships with  source location as plant B, destination location as plant A and info record reference.
    When you transfer material master data, the system auto'lly generates transportation lanes between plant A and plant B. (keep in mind transportation lanes should be manually created here)
    So in essence you have to check if all the above things are done by the system.
    Hope Im clear in this
    regards
    Mohan V R Chunchu

  • Urgent Condition Tab Missing In  Stock Transfer Order

    Hi All ,
                When I a m creating Stock Transfer Order from One Plant In one Company Code to  Another Plant in another Company code the Invoice and Conditions Tab Is Missing .
    How to get the Conditions tab, Do I have to do any Customization ?
    Please suggest me of how to go about .....
    Regards ,
    Sriram.

    Hi Srirama,
    Yes, if you have only one Calculation schema then there is no meaning in assigning to different Porgs.
    In that case please proceed with the following configuration.
    This is done in customizing; IMG for MM > Purchasing>Conditions>Define Price Determination Process>Define Schema Determination>Determine Schema for Stock Transport Orders
    For the combination of the Schema POrg; doc.type( UB ) and Supplying plant
    you must specify the price schema to be used.
    Hope this will solve your problem.
    Regards,
    DilliB

  • GR no & GR date in stock transfer report

    Hi, Team
    we have developed report for stock transfer (from plant to Depot) in that up to Dec-12 all the relevant information showing correctly but if i run the report for the period 01.01.2013 to 30.01.13 all the Excise details i.e. Excise invoice no,Ex inv date, BED, GR no & GR date data showing blank
    i inform this to our ABAP consultant for this error and he replied that due diff. in period in FI & MM this data showing blank and after April-12 this data showing correctly .
    so kindly advice me how to resolve this issue
    attaching report screen shot for ref.
    pl find below details
    Input :-
    Material
    Plant
    Receiving Plant
    Posting date (From- to)
    Thanks
    Paramanand Shinde

    Hi Sridhar,
    So, do you mean I need to take MSEG(BWART-Movement type field) first, and then MKPF(BUDAT-Posting dt) ?
    Thaks in advance,
    Irfan.

  • Missing pieces during stock transfer

    Hello folks!
    I have a typical problem. i guess if u have worked for domestic deployment project, u wouldnt laugh!!.
    Well, i make a 2-step plant to plant stock transfer, say with 100 pieces. when i complete the stock transfer at the receiving plant, i find 2 pieces missing, how would system accommodate this loss?? it would constantly display the material as in transit.
    (the great Indian Scenario : There are thefts happening in the broad day light in the name of OCTROI. There WILL be a problem in the documents u r carrying with the goods at any given time unless u r ready to part with one or two pieces of what u r carrying. now there are 2 pieces with barcocdes are missing. how to destroy these barcodes legally. so that audit person has no problem with it/ or we have sufficient documents duly signed by the senior most employee in the client company to show why these barcodes have been destroyed)

    Hi,
    SAP suggest the following:
    1) either receive the missing parts and scrap them in the receiving plant or
    2) receive in the receiving plant and make a return STO to the supplying plant and scrap there.
    MdZ

  • Required Standard report for Deliveries Made vs Stock Transfer POu2019s

    Hi,
    Is there any standard report for Generate Daily Report detailing Deliveries Made vs Stock Transfer POu2019s...
    Plz help.

    Hi,
    Using MKPF table take all material document, then usign the doc no (mblnr) take data from MSEG table
    with movement type 641 and 642 in case of reversal (STO). 101 and 102 for (Delviery) .
    take STO po of above movement type from table EKPO with PSTYP (item cat, field ) = 7. Comparing sto and delivery details and you will get the output.

  • Authorization for certain warehouse in stock transfer

    I'm trying to create an authorization for stock transfer when To Warehouse equals a certain value. Is there a way to do it?

    Hi,
    How could I do it with an approval procedure?
    You can create approval stages and template by using query
    Is it with a query?
    Yes
    Will it be similar to a formatted search?
    Yes
    Try this query for row level with only one item.
    Select Distinct 'True' FROM OWTR T0 inner join WTR1 T1 on T0.docentry = T1.docentry
    Where $[$23.5.0] = 'ExScrap'
    Note: Replace Exscrap with your warehouse name.
    Thanks & Regards,
    Nagarajan

  • 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

  • Pricing Procedure in stock transfer orders

    Hi
    I have a standard cost material which is to be stock transferred from one plant to another. (std cost in both plants). In this movement, I need the accounting document to generate an accrual to another account for Royalty that has to be paid at a later date to government.
    This is not a delivery cost for which I will do any invoice verification. It is only an amount to be accrued to this account for every movement.
    Example: Material at 10/- std cost in supply plant, 12/- std cost at receiving plant, when I am moving 1 unit, accounting normally will have cr inventory supply plant 10/-, dr inventory receiving plant 12/- and price difference 2/-.
    Assuming a royalty of 1/- per unit, the above accounting should have an additional entry cr 1/- Royalty account.
    I tried using stock transfer pricing procedure with a condition for Royalty (not delivery cost condition) with account key. But it is not hitting the royalty account.
    Can some one suggest how to setup the pricing procedure in such case for stock transfer?
    Greatful for any help.
    Sriram

    Hi
    Any suggestions?
    Thanks
    Sriram

Maybe you are looking for

  • Substitution prerequisite problem

    Dear all,   I try to create substitution for business place and section code when i am trying to create the prerequisite condition in table fields  tab i am not getting the bseg table fields how to add that field details in  to prerequisite details p

  • Lcd displays

    Hi, I'm looking into purchasing a new LCD monitor to replace my old Panasonic 17" CRT. I know very little about what to look for in a monitor other than size. What i'm interested in is a 19" widescreen to work with photo and video. I'd love an apple

  • Improperly Displaying some webpages in a desktop adobe air app

    Hello, with flash builder 4.6 and adobe air 3.9 I am making a desktop app which contains few Tabbed sectiosn each section has its own HTML UI component that retrieves a certain web page of web-based admin control panel. Everything is fine as it shoul

  • Internal Batch Number Allocation

    Dear Gurus ! I want to allocate internal batch numbers after releasing the production order Kindly let me know How can I do this. Regards Debjeet

  • Random hard drive question

    i know it's a weird question, but will upgrading from a 5400 drive to a 7200 drive make apps not bounce so many times on the dock when I open them? FYI - i already am maxed out on ram.