Batch management reg

hi,
We are activated batchmanagement for all type of materials.
but we are not selected batchmanagement check box in material master for some materials.
we have done some transcations in that materials and also using continuously.
Now we need to active the batchmanagement for that particular materials.
system is not accepting the batchmanagement check box due contineous usage of materials.
Is there any provision to select the check box in material master for usage materials.

No,system willnot let you do so as user transaction has already happened against those material.It will show the possible reasons in the display errors tb.These you have to rectify first and then you can.
An unprofessional suggestion can be if this is that most needed then you can go for direct table entry through SE16N with the help of ABAP er.
Regards,
Indranil

Similar Messages

  • 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

  • Reg.Batch management configuration guide

    Dear Experts
    We want to maintain batch at material level. How to configure in ECC6.00. Pls help me giving the step by step configuration guide. and also AFS configuration guide.
    Thanks
    Rajakumar.K

    Hi,
    Follow the steps:
    1.Field---VFDAT and table-MCHA should be created as a charecter in CT04 and assigned to a class in CL02N.
    2.create MM01 and add the class to it in classification view.
    3.In mm01 plt storage1 view give data for remainning shelf life and total shelf life and in purchasing view activate batch management.
    4.OMJ5- activate SLED for your plant and mvt type 201.
    5.opj2- set BD for your plant.
    6.create sort sequence in cu70 and assign your charecteristic value to it.
    7.create batch serch strategy in MBC1 for access sequence(plt/matrl/mvt typ) create a condition record.
    8.Do a GR using 501 and enter SLED related details.(production date and exp date values)
    Repeat the above step and enter diffrent values for SLED details.
    So now two batches are created with SLED as the charecteristic.
    9.Do a GI using 201 mvt tye in MB1A and enter * in batch field(system will determine the batch using the SLED value basedon the criteria(ascending or descending which was set in the sort rule.)
    (or)
    view this thread
    Re: Batch Search
    Reg,
    Deepak

  • Reg batch management

    Dear all,
    During uploading of material master templtes for one packing material batch management tick was not activated and stock was taken in without batch management, is there any procedure by which we can activate batch management now
    Please advice
    regards
    venkat

    Dear Venkat,
    You must have loaded stocks with 561 movement ( initial entry of stock), best way is to reverse this entry (do 562)  and  then activate batch management.
    Best Regards,
    Shekhar

  • 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

  • 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

  • Can we use batch management in repetitive manufacturing?

    Can we use batch management in repetitive manufacturing?
    If not, can we use classification or something else?
    or what else options we have.
    Thnx!

    why not?
    http://help.sap.com/saphelp_47x200/helpdata/en/25/283c594f7811d18a150000e816ae6e/frameset.htm

  • 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

  • Specific Identification Cost for batch managed items (Follow-Up from P2P)

    Specific Identification Cost method is used for serial and batch managed item. Using this method, the outbound cost of such items would be the original cost of specific goods, which can be determined according to the serial or batch number of that item.
    Business One allows the user to receive batch managed items with a batch number that already exists in the DB. It’s possible that the received quantity is added to on-hand quantity in the warehouse. In such case, the quantity on-hand of that batch and the received quantity may have different costs.
    What should be the system behavior in such case:
    1. Block receipts to the same batch with different costs.
    2. Write the difference to a price difference account, as done in Standard Cost method.
    3. Manage the batch cost with Moving Average method.
    This thread is continuation from 'Specific Identification Cost for batch managed Items' <a href="http://p2p.sap.com/businessoneforum?type=join&login=1&uid=41FB661A76CED536C825C4E2B6FF4397&cid=91&go=z37225">discussion</a> in P2P SAP Business One Forum (Product Development Collaboration).
    Previous discussion on P2P is summarized in the attached file.

    Hi Peter,
    This is a very important functionality that you are describing here. For example, in the Steel industry, it could be extremely useful to cost by batch or serial number.
    If you receive a batch that already exists in the system and if the costing method for the product is moving average, then teh cost of the batch should be calculated based on the moving average as well.
    If the costing method is standard, then the cost should go in a variance account.
    If the costing method is FIFO, then it is a getting trickier...
    Regards,
    Vincent

  • Wants to activate batch management for a material which already had a Stock

    hi,
    i want to activate batch management for a material which already has a stock and open Purchasing documents.
    is there any way by which we can do it without removing the same.
    please help.

    program name is RVBCONVMAT2BM
    but i am doubtfull it will be delivered with standard SAP, you need to request you from SAP as they charge for this.
    this program convert the material to batch and all relevant dependant documents will be updated with batch no.
    Regards,
    Pravin Mukkawar
    pasting  some description of the program
    REPORT rvbconvmat2bm.
    Report illustrates the call of function module VBZ0401_CONVERT_OBJECTS
    which sets the batch management flag for one material including
    depending objects. Function module VBZ0401_FILL_BUFFERS helps
    improving the performance.
    then logic......

  • Stock ageing report with batch Management active

    Hi Experts,
    My client wants a Stock ageing report and batch management is active
    According to my client, Inventory ageing report should show stock quantities and stock value as follows,
    1. Below one year
    2. Between one and two years
    3. Above two years
    What are the table and fields to be considered for this report.
    Thanks
    NDS

    What steps do you mean? taking an ABAP course and doing it yourself, or stepping to an ABAPer and let him know what he shall do?
    you asked for a stock report, not for a movement report.
    If I go into my warehouse and looking at all the stuff sitting there and want a report that should tell me how old this stuff is, then i am not intrested if there was a goods receipt movement.
    However I would like to know the last movement date. In this case you have to look into table S032 or into the movements MSEG (with MKPF as header table)

  • Inventory Count for Batch Managed materials - Plant, S.Loc and Batch Wise

    Hi.,
    In the company's current scenario, the printing of batch managed materials are scheduled under 3 Job names.
    1. First job determines the materials/batches that need to be created today using Program RM07ICN1
    2. Second Job Processes the BDC Session created by Program RM07ICN1 using Program: RSBDCSUB
    3. Third Job prints the Inventory tickts at the appropriate Storage location using Program: RM07IDRU
    Each Job has its own variant.
    The Variant for SL.No 1 is defined w.r.t
    i. Material Type : Two Material types have been defined
    ii. Under selection variable, GIDAT ( Planned count date and GBDAT are flagged.
    Current Analysis:
    A. The inventory documents get printed with Materials as per the cycle counting indicators defined which govern which material has to be currently counted.
    B. Inventory documents are generated for all materials in all the plants and in all the storage locations
    C. Batches for a material number may print on different cycle count documents throughout the year. 
    Customer requirement:
    The inventory documents to print on basis of
    1. Material, Plant and S.Loc.
    This would help in identifying the batches which are currently being counted as well.
    2. Customers requirement is to ensure that all batches are accounted for and will identify any overage of batches since in the current process, they are never reviewed as a whole.
    QUESTION:
    1. How to configure the Customer requriement.
    2. How to configure the Variant/s, if thats the place the configuration has to be done to satisfy the customer.
    3. How to activate the Variant in SE37 after definition in the Step Indicator. Does it activate on execution?
    When i run the Program using SE38 , maintaining options in the Screen ( giving Material, Plant and S.loc), i get the desired list (Batches w.r.t Material,plant.S.Loc). But there is a list of over 150 Batch managed materials and it would not be physically possible to maintain the variant for each each Material,plant,S.loc wise.
    Is there a way to configure the customer requirement/s.
    Any and all help is much appreciated.
    Thanks

    Hello Mahesh,
    <b>Customer requrirement is specific, they want a list of Inventory Documents to be generated on basis of Material in each Plant-S.Loc batch wise.</b>
    Then you need to define multiple varinat for the program.
    <b>(a) If i am giving two variants in the same Program name RM07ICN1, how to execute one after after in sequence.
    In testing, I have defined in the " Step", Progran RM07ICN1 with one variant and Program RM07ICN1 with another Variant. But on execution of Program RM07ICN1 thru SE38, the screen defined latter ( second variant screen data ) is displayed.</b>
    You need to define several steps in SM36 transaction for the program using each variant. SE38 you can use only to save your variant data so later you can use this variant in SM36.
    Once you schedule the job with SM36 and release it then it will automatically execute this job as per your criteria (timeline)
    Hope this helps.
    Regards
    Arif Mansuri

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