Batch management AR-Invoices.

Hi everybody, How can I do, when I create an AR-Invoice, to select the  material batches, with an specific criteria? Because the system only permits me take batches in secuencial order

Hi,
It is system behaviour that the batches are always sorted acording to the batch Number.
Say you have received three batches,
BatchNumber            Batch Received Date
C001/2008                11/01/2007
B002/2007                25/05/2008
A001/2008                18/06/2008
System lists the batches in following order
A001/2008
B002/2007
C001/2008
But you are free to choose any quantity from any batch.
Regards

Similar Messages

  • Cost(vprs) of free goods with batch managment

    Dear Gurus,
    I have a problem ahout free goods with batch management.
    Cost(VPRS) is not accumulated in billing(free goods is not relevant for billing).
    My configurations are shown as below:
    Ordered goods (and batch) item category :zta1(copied from tan)
    Free goods (and batch) item category :zann (copied from tann) pricing:B ;not relevant for billing;dermination cost:X
    copy control(from delivery to billing):
    ztan: accumulation cost :X
    If I use the material without batch management,Cost of free goods(without batch) is accumulated to main item(ordered goods).
    So, what can I do?
    Thanks and Best Regards,
    Lykin Kan

    Hi,
    These notes are useful:
    SAP Note 1365939 - VPRS logic and Customizing settings in SD
    SAP Note 547570 - FAQ: VPRS in pricing
    If you have the problem in the transfer from SD conditions to CO-PA, check if you transfer only invoices to COPA, if you don't invoice the deliveries of free goods, then you don't transfer this 'sales' or costs of 'gifts' to COPA. You can check the customizing of COPA in tcode ORKE (IMG for COPA). SAP Note 74486 - INFO: Overview of consulting notes for CO-PA is a good summary about this issue.
    I hope this helps you
    Regards,
    Eduardo
    PD: I forgot SAP Note Number 33968 SD/CO-PA: Characteristics from sales doc tables
    Edited by: E_Hinojosa on Sep 10, 2010 9:44 AM

  • Inventory Audit Report - Not followed FIFO and Batch management

    I have created an Item say XYZ, with Batch management and valuation methode FIFO.
    Then I have created a batch say 1 with posting of opening balance transaction with posting date as 1st April 2009.
    Now when I post an A/R Invoice with posting date as 19th May 2009 in which I have selected above batch.
    I have also posted some more purchase transaction for same item before 19th May 2009 that is the date of sales invoice.
    Now when I see Inventory Audit Report, system has not picked up the cost column as per Batch selection in A/R Invoice, and also not as per FIFO, but it has followed the system date of transaction for deriving cost as per FIFO.
    Can anybody throw light on this ?
    BR
    Samir Gandhi

    Dear Samir Gandhi,
    Irrespective of posting date you use for document posting, with FIFO Method system will arrange all the inventory posting in layers with First inventory posting will form the base for first inventory movement out and so on
    Example:
    1st Entry:(Opening Balances)
    posting date : 01/04/09    Item : XYZ    quantity : 5   Unit cost price : 100
    2nd Entry: Purchase
    posting date : 01/05/09    Item : XYZ    quantity : 5   Unit cost price : 105
    3rd Entry: Purchase
    posting date :25/04/09    Item : XYZ    quantity : 5   Unit cost price : 90
    Layers created :
    1.    Item : XYZ    quantity : 5   Unit cost price : 100
    2.     Item : XYZ    quantity : 5   Unit cost price : 105
    3.     Item : XYZ    quantity : 5   Unit cost price : 90
    4th Entry : Sales
    Item : XYZ    quantity : 8  
    So here cost of goods sold will be : ( 5x100)+ ( 3x105) = 815
    and it wont be  ( 5x100)+ ( 3x90) =770 if that's what you are expecting
    Regards,
    Mukesh

  • Material forgot to tick the batch management but the GR and IR is done

    Hello,
    Material A should be in batch managed but the settings in the material master is forgot to ticked. PO is created as well as GR and IR is already completed. The invoice is posted and according to finance it is paid already and cannot cancel the invoice anymore. When trying to tick the batch management in the material master, an error is "Stocks already exist at plant level". Checking also MMBE, stocks showing in the Open Order quantity since the GR is cancelled.
    Is there anyway I can tick the batch managed in the material master?

    to set the indicator is less restrictiv than removing it. so just make the inventory in current and previous period zero.
    you can see how much inventory you have in thosee 2 periods in MM03  valuation view or plant stock view.
    follow instructions  given in oss note 30656

  • REMOVAL OF BATCH MANAGMENT

    HI,
    I have created a material and maintained the view of batch managment
    in MM01 and now the problem is coming that while creating invoice it gives error of maintainance batch managment.
    now i want to remove the view of batch managment.
    plzz help me out as help will be definately rewarded.

    Hi,
    Changing from tick to untick or untick to tick of Batch Management indicator follow the procedure (Changing of status in Material Master Record)
    Changing the status of the material from Uncheck to checked or viseversa is possible only if the following conditions are met
    1 Check the Status of material MMBE
    2 There should not be any open Purchase Order Use SE16 & Table EKPO Give the material number for which we have to find the Open Pos; Alternateively ME2M can also be used
    3 There should not be any Open Production Order Use SE16 & Table AFPO Give the material number for which we have to find the Open Production Orders
    4 There sould not be any Sales Order Use SE16 & Table VBAP Give the material Number for which we have to find the Open Sales Orders
    5 There should not be any Purchase Requistion Use SE16 & Table EBAN Give the material Number for which we have to find the Open PRs
    6 There should not be any Stock in Transit MB5T
    7 There should not be any Plant availability Stock MB53
    8 There should not be any Reservation MB25
    9 Previuos Period Stock should be zero Use MM03 with Plant Stock & Storage Loc. View If Stock Exists follow the Procedure mentioned in next chapter to close
    10 Stock requirement should be zero MD04
    11 There should not be any open Delivery Use SE16 & Table LIPS Give the material Number for which we have to find the Open PRs
    12 There should not be any open Warehouse Transfer Request Use SE16 & Table LTBP Give the material Number for which we have to find the Open PRs
    13 There should not be any open Warehouse Transfer Request Use SE16 & Table LTAP Give the material Number for which we have to find the Open PRs
    14 The Batch Corresponding to the plant has to be set for deletion indicator MSC2N
    If previous period stocks exist, we can make a withdrawal posting as follows
    1. Post the same amount to current period stock (for example, using
    movement type 561) so that previous period stock and current period
    stock are identical.
    2. Make a withdrawal posting in the previous period for the stock
    together with posting date (for example, using movement type 562).
    If any of the above Stock Exists it has to be closed;If Any of the stock exists we cannot uncheck.
    After closing all the open items;the related business documents viz Purchase Orders,Production Orders,Delivery,etc has to be Archived
    Archiving has certain criteria while doing Archiving Process-- Systematic Archival is the Key factor i.e relationship diagram has be met.
    SAP Note Number 533383 - Resetting batch management requirement
    Reward if found useful.
    Regards,
    Vengat

  • Item not relevant for billing - Batch Management

    Dear Experts,
    I'm testing the Batch Management with the configuration detalied on the Building Block - J19 from SAP. So I've created a new item position called YG05 which is working for the batch spliting.
    But now the problem is that when I'm billing with Tx VF04 or VF01 it gives me the following error and doesn't create the invoice.
    VF 044 The item is not relevant for billing
    Now, the problem fixes when I go to Tx VTFL and change the position TAN in the field Copying Requirements from 004 Delivery - Related Item to 003 Header / Dlv. - Related. I can do the billing, but when the system print the invoices it print for each position type, I mean this.
    "Before the system printed 3 copies of the invoice, but now not only print the 3 copies, now it send printing the 3 copies and also 3 blank pages (i assume that those are por the YG05 position"
    If anyone have and advice if the fix i did first is correct.... And also have a solution for this last problem. Please reply...
    Thanks
    Javier Sandoval Vera
    Universal Sweet Industries
    Edited by: Javier Sandoval on Feb 12, 2009 4:46 PM

    Hi Javier,
    for correct settings please check sap note 77414, choose your process and change your settings accordingly.
    Balazs

  • Reg: material needs the batch management

    Hi All,
    The material needs the batch management. We have created without the batch
    first and the few movements were done, then tried to put the flag after the
    stock remove and sales order deletion, however could not process. System
    messaged as below in italic. Please let me know how we could change the MM
    date for the batch. The sales order alive now.
    The batch management requirement cannot
    be changed for the following reasons:
    SD documents exist (orders or deliveries) that have not yet been
    processed or that have been processed only in part.
    Thanks & Regards
    Siva

    Hi,
    This was asked in LE forum also, please read this thread:
    reg. activating batch management for existing materials
    You should fully process the sales documents (sales order - delivery - invoice) or you should delete them and after setting batch requirement for your material master you could recreate the them (SO, delivery).
    Regards,
    Csaba

  • Switching ON Batch Management

    Hi Gurus,
    Need your help. I am sure you have done this before
    In a live system, I need to switch ON Batch Management. Till now these materials were managed without Batch Management. So they have stock on hand, open sales orders, open deliveries, open invoices, open purchase orders.
    When I try to change the indicator in MM02, it lists all those open transactional data. I possibly have to reverse/cancel all those open orders etc - then write off the stock - then switch on batch management - then finally re-enter all the open orders.
    But to do it manually is a monumental task. Also, it needs to be done in a very short time frame. Can you please suggest any program or automated/semi-automated way to do it.
    Or is there any other smarter way you can suggest.
    I appreciate your help.
    Regards
    Bis

    Hi Venkat,
    Thanks a lot for your suggested notes. They are helpful indeed.
    Would you by any chance know of any report that I can run for a range of materials which will list all the open documents, ie, sales orders, deliveries, billing documents ?
    And, other than MM03, is there any report which will list the stock in previous period ?
    Thanks again.
    Regards
    BP

  • Batch Management & Reporting

    HI ALL Experts,
    USING SAP 2007 B PL17
    I am maintaing Inventory by batch management with every transaction.
    Opening balance of the item is 7 nos with XYZ batch
    Transfered to another location 7 Nos with same batch XYZ
    Made A/R INvoice + Payment from that location with same batch XYZ
    Did inventory transfer from X location to Y location 1 Nos with same batch XYZ
    which is not possible but batch report and inventory audit reports showing the quantity balance minus 1
    Can anybody tell me what are the cause for the same
    Thanks
    Ashish Gupte

    Hi rahul/ Prasanna
    Please do following activity
    Create item with managment method Batch method / Every Transaction.
    item having opening balance with 10 Nos with certain batch eg XYZ.
    inventory transfer to another warehouse with quantity 10 Nos. (system will ask you which batch) select the batch and add the document.
    From that warehouse make a A/R Invoice + Payment with same batch quantity is 10 nos.
    Now stock must be zero of that perticular item
    Now make one mmore document inventory Transfer with 1 quantity. the system should ask from which batch ( now in my scenario zero stock) how system can accept this last entry and showing in batch report in negative and in audit report also in negetive.
    I hope i had cleared my points in detail
    No matter whether you block the negative inventory or not.
    Ashish Gupte

  • Selected Serial/Batch Management Method can't be canged

    Dear All,
    I could not change selected serial/batch management method. it is blocked. is it possbile to change it ? Let me know.
    Rgds,
    Edu

    Hello,
    I copied the answer directly from SAP Notes, here it is :
    The option to change the method specified in the Manage Item by field is blocked both from within the application and via the DI, unless all the following conditions are fulfilled:
    The In Stock (=on hand) quantity of the item must be zero in each and every warehouse.
    The available quantity of serial numbers created for the item must be zero in each and every warehouse.
    The available quantity of batch numbers created for the item must be zero in each and every warehouse, as well as:
              o There are no open Sales Orders for this item with allocated batch numbers.
              o There are no open A/R Reserve Invoices for this item with allocated batch numbers.
    The following queries provide you with relevant information about the items you maintain in your database (relevant for SAP Business One 2005 A SP01 PL: 18 and higher):
       1. To find all items that are currently managed by batches and can NOT be changed to "not managed by batch", generate the following query:
    select distinct t0.itemcode, sum(isnull(t1.onhand,0)) in_stock, sum(isnull(t2.quantity,0)) on_batch, sum(isnull(t2.IsCommited,0)) allocated
    from OITM T0 INNER JOIN OITW T1 ON T0.ItemCode = T1.ItemCode
    INNER JOIN OIBT T2 ON T0.ItemCode = T2.ItemCode and t1.whscode = t2.whscode
    where t0.manbtchnum = 'Y'
    group by t0.itemcode
    having (sum(isnull(t1.onhand,0)) <> 0 or sum(isnull(t2.quantity,0)) <> 0 or sum(isnull(t2.IsCommited,0)) <> 0)
       1. To find all items that are currently managed by serial numbers and can NOT be changed to "not managed by serial numbers", generate the following query:
    select distinct t0.itemcode, sum(isnull(t1.onhand,0)) in_stock,
    count(status) available_serials
    from OITM T0 INNER JOIN OITW T1 ON T0.ItemCode = T1.ItemCode
    INNER JOIN OSRI T2 ON T0.ItemCode = T2.ItemCode and t1.whscode =
    t2.whscode
    where t0.mansernum = 'Y' and t2.status = 0
    group by t0.itemcode
    having (sum(isnull(t1.onhand,0)) <> 0 or count(status) > 0)
    Let me know if you need further assistance.
    JM

  • STO batch management

    Dear All,
    i have configured batch management , Now when i am doing STO and in that is the process is
    ME21N > Vl10B > VL02N > VF01 > J1IIN.
    NOw here in VL02 N when i am doing batch split > Error no batch determination procedure can be determined, and i am not able to do the automatic batch pick up for my delivery material and no PGI. BUT when i am giving Manul Batch system is allowing me to do PGI. Plz guide as how i will cofigure
    batch search for REPLEINSHMENT STO delivery

    I faced the similar issue, Posted here & I solved it as myself.
    Batch Management:
    -While Creating Invoice for Batch split material, System copies all the batch items including main item, where as, system should copy/combine all batch split items into Main item, batch split items should not be shown in different line items in Invoice.- ?
    In copy control from the delivery type to billing type VTFL, for the item category maintain billing quantity as G. This will ensure that the batches are clubbed into single line item.
    In Item Category of the Billing, goto VOV7 u2013 maintain billing relevance as u201CMu201D.
    - Batch Management in STO, after creating delivery via VL10F, wrt: STO order, automatic batch determination is not happening for the batch managed material. But for the same Material, from SD it is working fine. System displays message as u201C No Batch search procedure assigned to the order typeu201D
    In V/C5, batch has to assigned to the determination procedure in combination of Sales Org / Dist Channel / Division / Order type u2013 Search Procedure / Check batch indicator.
    *Sales area should be taken from STO-ME22n, Shipping tab at item level.
    *Order type should be, default Order type from the specific Delivery type eg:NL-
    Item Category for STO main item : NLN / batch item: ULN, both has to be marked for automatic batch determination indicator in IMG-LG-Batch Mgmt u2013 Batch detu2019n & Batch check u2013 Automatic batch detu2019n in SD u2013 Activate Auto. Batch detu2019n for Delivery Item Catu2019s
    After following above procedure, system displays error message as u201C Item Category is not maintainedu201D
    -Tcode:0184-Delivery item cat detu2019n
    Maintain entries as u201CDel type/Item cat group / Item Usage / High.Item Cat- Default, Item catu201D
    Eg: NL u2013 NORM u2013 CHSP -= ULN
    CHSP u2013 Batch split item.
    Hope this helps you. Try & revert

  • Error while importing N Accounts to 1 Address with UCM Batch Manager

    Hi,
    I got a problem with importing Accounts using the UCM Batch Manager. Previous steps were loading the EIM Tables EIM_UCM_ORG and EIM_UCM_ADRPER. To associate addresses I used the column EIM_UCM_ADRPER.PAR_UCM_ACCNT_UID. No errors occured during an Enterprise Integration Mgr jobs to load the data into SDH tables.
    The error described below occurs if I have N Accounts using one Address. Example:
    h5. Account Name --> City --> Postal Code --> State --> Street
    Account #1 --- Munich --- 80331 --- N/A --- Some Street 1
    Account #2 --- Munich --- 80331 --- N/A --- Some Street 1
    h5. If I try to get the Accounts into the Base tables using the UCM Batch Manager I get the following message from the log file:
    ObjMgrBusCompLog     Error     1     000003084c571160:0     2010-08-03 19:11:14     (odbccon.cpp (2097)) SBL-DBC-00111: An error has occurred writing to a record.
    Please continue or ask your systems administrator to check your application configuration if the problem persists.
    DBCLog     DBCLogError     1     000003084c571160:0     2010-08-03 19:11:14     SQLError: [23000],[Microsoft][SQL Native Client][SQL Server]Cannot insert duplicate key row in object 'dbo.S_ADDR_PER'-Objekt with unique index 'S_ADDR_PER_U1'.
    DBCLog     DBCLogError     1     000003084c571160:0     2010-08-03 19:11:14     SQLError: [01000],[Microsoft][SQL Native Client][SQL Server]The statement has been terminated.
    ObjMgrBusCompLog     Error     1     000003084c571160:0     2010-08-03 19:11:14     (sqlobj.cpp (43735)) SBL-DAT-00381: A record that contains identical values to the record you have created already exists.
    If you would like to enter a new record, please ensure that the field values are unique.
    ObjMgrLog     Error     1     000003084c571160:0     2010-08-03 19:11:14     (adptutils.cpp (5715)) SBL-EAI-04381: For instance of Integration Component 'Account_Business Address', using user key '[City] = "Munich" AND [Postal Code] = "80331" AND [State] = "N/A" AND [Street Address] = "Some Street 1"', a record with identical values already exists in the Siebel database.
    Please ensure that the field values in the input message are unique.
    EAISiebAdpt     EAISiebAdptErr     1     000003084c571160:0     2010-08-03 19:11:15     [0] For instance of Integration Component 'Account_Business Address', using user key '[City] = "Munich" AND [Postal Code] = "80331" AND [State] = "N/A" AND [Street Address] = "Some Street 1"', a record with identical values already exists in the Siebel database.
    Please ensure that the field values in the input message are unique.(SBL-EAI-04381) (0x75017d)
    h5. Result:
    Account #1 gets inserted with Record Type: "Source-Insert"
    Account #2 will not be imported and gets Record Type: "Incomplete"
    Does anyone know how to handle this problem?
    Many Thanks
    Sebastian
    Edited by: user13098670 on 04.08.2010 06:34

    I have selected the option
    Add new metadata and replace existing objetcs. But it is not importing. Also I tried other options like
    1. deleting the existing mapping and tried.
    2. Putting the mapping in recycle bin and try.
    3. Take it from recycle bin.Even during taking it from recycle it is giving me the following error .
    Error occurred importing mapping
    <DWH_CMMDTY_INVC_FACT_MAP/DWH_CMMDTY_INVC_FACT_MAP>
    (at line 141).
    Detailed Error Message:
    API2014: Internal Error: Error in createStage:
    In above all cases it is giving me the error.
    Could you please help?

  • Free Goods with Batch Management Activated !!!

    Hi Gurus,
    I have defined a free goods master data for material on which batch is activated. I have defined the it as with a min of 10 qty 1 free good will be delivered as exclusive item
    Now as the batch management is active and each batch has 1 qty in it. Now in order to deliver 1 free good first i have to enter 10 line item of the same material and after the 11 th line system should generate 1 free good item. But this is not happening is there any standard configuration required for this process
    Early reply will be awarded accordingly.
    Thanks in advance
    Edited by: Abaper Abaper on Jul 10, 2008 12:31 PM
    Edited by: Abaper Abaper on Jul 10, 2008 12:32 PM

    Hi Abaper,
    Free Goods Determination follows the condition technique and hence you should have one condition type assigned to it one access sequence and then maintain the condition type (NA00) in a Free Goods Determination  Procedure (NA0000).
    Then assign this procedure to your permitted sales area and maintain the free goods determination master data (VBN1).
    Also Check the settings of Item Category Assignment
    It should be ORNORMFREE+TAN -
    > TANN.
    By this settings your free goods should work.
    Reward if it helps you
    Regards
    Harsh

  • VPRS with Free Goods and Batch Management

    Dear Experts,
    I have a problem on the products billing with Free Goods.
    I will explain this, before the implementation of Batch Management (with batch split) the billing document show the condition VPRS on the main item (TAN) and the free goods item (TANN).
    Now, when the Batch Management was up, the condition VPRS disappeared on the TANN item, I checked the order and it does shows the VPRS conditions. When i check the conditions on the billing document it shows me the following message when i check the VPRS condition
    Condition ignored (requirement 004 not fulfilled)
    Then I tried to debug the price determination and i realized that only on the TANN position the field komp-evrwr (price determination on the item category) is not 'X'.
    Aditionally i can mention thar the batch split item category is defined as YG05.
    Actually i only managed to show the cumulated VPRS cost on the main item.
    Please someone say to me if this correct or there is a way to put the VPRS on the free goods item.
    Javier Sandoval Vera
    Ecuador

    Hi Javier,
    what do you do with the VPRS in your calculation- system ?
    If you need i, you delete the requirement 004 in your calculation -system.
    on the other hand, you can change TANN to komp-evrwr (price determination on the item category) is  'X'. Then you have to add an 100% rabate for TANN and the resukt will be free good.
    Hans

  • Free Goods (With Batch Management)

    Hi Gurus,
    I have defined a fee goods master data for material on which batch is activated. I have defined the it as with a min of 10 qty 1 free good will be delivered as exclusive item
    Now as the batch management is active and each batch has 1 qty in it. Now in order delivery 1 free good first i have to enter 10 line item of the same material but after the 11 th line system should generate 1 free good item. But this is not happening is there any standard configuration required for this process
    Early reply will be awarded accordingly.
    Thanks in advance

    Free goods is determined per sales order item. The system does not take the sum of more items. You have to insert the quantity on one item.
    /Torben

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