Bill to party in intercompany billing.

Hi Experts,
In inter company billing partners bill to is same as the sold to. Where as in master data it is same as payer.
I.e. If in master data Sold to and ship to are A
                              Payer and Bill to are B
But in IV billing the Sold to , ship to and bill to also become A.
Any ideas why its happening like this.
Thanks in advace,
Raj.....

Hi Raj,
Check the customer maintained for Inter company billing as shown
SPRO- Sales & Distribution-Billing-Inter Company Billing-Define Internal Customers by Sales Org
Regards
Sekhar

Similar Messages

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    Dear All
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    No. Both are two separate process.
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    For additional information on the same, please refer to link below:
    Link: http://help.sap.com/
    Path: SAP Best Practices --> Baseline Packages --> Based on SAP ECC 5.00 --> Select Country: for eg, Localized for India --> Technical Information --> Building Blocks --> Select Country for eg, India --> List of Basic Configuration & scenarios will be listed.
    Select the required basic configuration / scenario. These will consist of overview, configuration guide, business process, master data &so on ...........
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    You can get good information from help.sap.com
    Regards,
    Rajesh Banka
    Reward points if helpful.

  • Can any one tell me the difference between third party sales & intercompany

    Hai
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    reg

    Hi,
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    In THIRD PARTY, We will Pay to the Vendor and Bills Customer.
    In THIRD PARTY, the PR will be generated automatically from the Sales order
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    In INTERCOMPANY,, Plant of the supplying company code will be assigned to the Ordering Sales Organisation
    In INTERCOMPANY , We Bills the customer and settles to the SUPPLY COMPANY CODE
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    Please check these and revert back if you need more details
    regards,
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  • Order and Third Party Related Intercompany Billing

    Dear All ,
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    Hi
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  • Third party PO - Intercompany

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  • 3-d party proc. intercompany

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  • Third party & intercompany

    Hello SAP gurus
    I have small confusion regarding the thirdparty and intercompany sales.
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    Srikanth

    Hi
    Intercompany-
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  • Requirment in tpt and intercompany sales

    Hi Friends,
    You have worked in Third Party Sales & Intercompany billing? how did you configurate? dont explain steps, i  need your real time experience, what are the things you have configurate, how its work?
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    Martin

    Hi there,
    You might find this link very usefull.....real screen configurations....[SCM Expert on-line|http://www.scmexpertonline.com/archive/Volume_04_(2006)/Issue_01_(January_and_February)/V4I1A1.cfm?session=]
    Let me know if it helped you !.
    Thanks,
    Alcides Fialho

  • Difference between Intercompany sales,thirdparty sales

    where th eexact difference comes in configuration in third party sales,intercompany sales .explain with examples
    regards,
    cpdatt

    Hi,
    Go through the explanation given below with test cases.
    Business case: -
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    2. Maintain intercom any billing type as IV for sales document type OR
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    5. Ordering sales org will create billing document F2 with reference to delivery for end customer.
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    Dear gurus
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    Do you know any solution for it?
    Yoshi

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    Group Customer    03
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  • Order Related Intercompany Billing - Third Party Order

    Dear all,
    I have configured intercompany billing that is based on the delivery and i have done that successfully, then I tried the third party process but after billing the third party order then the intercompany billing doesn't show up in the vf04, I have searched the SAP Notes especially SAP Notes 63459 but I really haven't got the clue how to do that clearly, if somebody can help me how to configure the intercompany billing for my requirement. I'm using SAP 5.0. I believe something missing in the copying control between sales document and billing document and also for the output type.Please help me very urgent.

    hi,
    Customizing settings are reported in notes 338922, 109254 and 308989.
    During delivery creation the LIKP fields VKOIV/VTWIV/SPAIV/FKAIV/PIOIV/FKDIV/KUNIV must be filled in program FV50XFLK_LIKP_FUELLEN_IV_UML. If you checkt this table and not all of these fields are filled, you have the wrong the customizing. If the error is in your pruduction there is a report with which you can correct the relevant deliveries (of course after correcting your customizing): see note 176476.
    Balazs

  • Give me the Configuration steps  for intercompany billing and third party s

    Hi Gurus,
    Give me  the Configuration steps  for intercompany billing and third party sales and give me a brief description with examples.
    Regards,
    YSR

    Dear YSR
    Check the links
    [Cross Company Configuration|http://help.sap.com/bp_bblibrary/500/Documentation/J62_BB_ConfigGuide_EN_DE.doc]
    [Third Party Without Shipping Notification|http://help.sap.com/bestpractices/BBLibrary/html/J55_ThirdPartyWOSN_EN_US.htm]
    Third party order processing is as follows:
    Assume three companies X, Y and Z
    X - The company,
    y - The customer
    Z - Vendor
    When ever X gets a PO from Y to supply some goods, X has an option of either manufacturing those goods or procuring those goods.
    If he is procuring the goods, there are two methods that are generally followed:
    Method 1)
    After receiving the PO from Y, X creates a sales order against Y.
    Now at the same time he also creates a PO to a vendor Z to produce the goods
    Z produces the goods and supplies to X
    X receives the goods from Z
    Then X delivers the same goods to Y.
    After that X invoices Y and Z invoices X.
    Note : Here there is no direct/ Indirect relation between Z and Y.
    This process is known as Trading Process. and the Material here is created  with Material type HAWA.
    The other method is a Third party order processing method:
    Here the glaring difference is that instead of Z supplying the material to X and X in turn supplying the same material to Y.
    X authorizes Z to supply the material to Y on his behalf and notify him once the delivery is complete.
    Now Z supplies the material to Y and acknowledges the same to X.
    Z  will send a copy of delivery acknowledgement and invoice to X.
    After receiving the delivery confirmation and invoice from Z, X has to verify the invoice and this process is known as invoice verification and is done in SAP through Tcode MIRO.
    The next step for X  is to create an invoice and submit to Y
    Only after the invoice verification document is posted  then only X can create an invoice for Y.
    This is the business flow that is followed for third party order configuration.
    There are few steps that have to be configured to enable the system to function as mentioned above.
    Step1)
    If you are always followwing a third party process for a material then you have to create the material using item category group BANS.
    The procument type should be marked as External procurement (F) in MRP 2 view of the material master record.
    if you are not always allowing third party order processing then u can create a material master record with item category group as NORM and the procurement type should be marked as ( X) meaning both types of procurment ( in house manufacturing and external procurement).
    Step 2)
    the item category in the order should be manually changed as TAS.
    For that you need to confugure the item category determination
    ord type + item cat grp + usge + Hiv level = Item cat + Manual item cat
    OR + NORM +      +       = TAN . + TAS
    OR + BANS +       +       = TAS
    Step 3)
    make sure that during the item category configuration for TAS  you need to mark relevnat for billing indicator as F
    Step 4)
    The schedule line cateogry for this type should be CS.
    make sure that you mark  subsequent type as NB - purchase requisition  in this schedule line category as this will trigger the purchase requision order immediately after the creation of the sales order and the PO to vendor is created against this purchase requiesion.
    thanks
    G. Lakshmipathi

  • Intercompany Billing with 3rd party

    Hi,
    Can anyone help me in Steps of Intercompany billing with Third Party.
    Regards
    Amit Gupta

    Process is u will get an order from the customer.U will not having the stocks in this case u will send the po to vender and ask vendor give the delivery to the customer and finally u will send the bill to the customer.
    In Third party Item category plays major role.Third party Item catogery in TAS.
    In the material u have to the Item cat group as BANS and create the material.If u r using NORM then make assinment in VOV4 as follows
    Saty ItcGrp Usg HLevItca Dfltc mltca
    OR NORM - - TAN TAS
    So that u can change the iteam category and do the sales order and save.In VA02 u will get the PR in schdule lines with this u can do PO then vl10b,MIGO,MIRO then finally u have to do order related billing.
    INTER COMPANY:
    This is STO beteen company to compnay ( EX: 1000 & 1100)
    In this u haveto create 1100 as customer in 1000 sales area and 1000 has to create as vendor in 1100.
    Then go to IMG-MM-PURCHASING-PURCHASE ORDER-SET UP STOCK TRANSPORT ORDER In this 5 steps r there do this.IN the 1st step in 1000 plant u have to give ur sales area and in 1100 plant u have to give the customer.In the 2nd and 3rd step check whether the rules r available r not,because standerd will be available.In 4th step Assign Delivery Type and Checking Rule the document type is NB and delivery type is NLCC.In the 5th stepAssign Document Type, One-Step Procedure, Underdelivery Tolerance Suplying plan Receiveing plant Document Type has to assign.
    In vendor in puchasing data go to EXTRAS select ADD PURCHASING DATA in this give the suplying plant.And give the customer in CONTROL.
    In this billing type is IV.For this u have to create pricing procedure.This will be available in IDEAS as ZIV--- copy from this and give the different name and assing to ur sales area.
    Then do the rmaing process ME21N,VL10B,BIILING,MIGO,MIRO.
    Third Party
    http://www.sap-img.com/sap-sd/process-flow-for-3rd-party-sales.htm

  • Configuration of third party billing and intercompany billing

    Hi,
    can u give me details of Third party billing and intercompany billing with full details.

    Process is u will get an order from the customer.U will not having the stocks in this case u will send the po to vender and ask vendor give the delivery to the customer and finally u will send the bill to the customer.
    In Third party Item category plays major role.Third party Item catogery in TAS.
        In the material u have to the Item cat group as BANS and create the material.If u r using NORM then make assinment in VOV4 as follows
    Saty ItcGrp  Usg  HLevItca  Dfltc  mltca
    OR   NORM  -        -           TAN  TAS
    So that u can change the iteam category and do the sales order and save.In VA02 u will get the PR in schdule lines with this u can do PO then vl10b,MIGO,MIRO then finally u have to do order related billing.
    INTER COMPANY:
    This is STO beteen company to compnay ( EX: 1000 & 1100)
    In this u haveto create 1100 as customer in 1000 sales area and 1000 has to create as vendor in 1100.
    Then go  to IMG-MM-PURCHASING-PURCHASE ORDER-SET UP STOCK TRANSPORT ORDER In this 5 steps r there do this.IN the 1st step in 1000 plant u have to give ur sales area and in 1100 plant u have to give the customer.In the 2nd and 3rd step check whether the rules r available r not,because standerd will be available.In 4th step Assign Delivery Type and Checking Rule the document type is NB and delivery type is NLCC.In the 5th stepAssign Document Type, One-Step Procedure, Underdelivery Tolerance Suplying plan Receiveing plant Document Type has to assign.
        In vendor in puchasing data go to EXTRAS select ADD PURCHASING  DATA in this give the suplying plant.And give the customer in CONTROL.
    In this billing type is IV.For this u have to create pricing procedure.This will be available in IDEAS as ZIV--- copy from this and give the different name and assing to ur sales area.
    Then do the rmaing process ME21N,VL10B,BIILING,MIGO,MIRO.
    Regards
    RV

  • Third party+ intercompany STO with billing ???????

    Hi Experts.
    Would like to take ur inputs.
    My Client has 2 Company Codes 1000 and 2000
    The 1000 Company code has 2 Distribution Centres- A001, A002.
    And Company Code 2000 has 2 Sites-B001, B002.
    My Client 1000 Company Code procures on Behalf of 2000 Company Code and sales the Material on a Specific Margin from 1000 Company code to 2000 Company Code.
    Site B001( Company Code 2000 ) will raise P.O to Distribution Center A001 ( Company Code 1000 ) and then Distribution Centre A001 ( Company Code 1000 ) will raise P.O to the External Vendor.
    a) How Can we inter-Link the respective transactions between Site B001 to Distribution Centre A001 and from Distribution Centre A001 to External Vendor ?
    b) Is it Possible to Farward the raised P.O from Site B001 to Distribution Centre A001 to External Vendor ?
    Please advice your valuable input on this.
    Thanks in advance
    Best Regards

    Hanumant Nimbalkar,
      1. a) How Can we inter-Link the respective transactions between Plant B001 to A001
               Plant B001( Company Code 2000 ) will raise P.O to Plant A001 ( Company Code 1000 )
    We use the Inter Company stock Transfer with Billing
    Partis involved:
    1. End Customer
    2. Supplying Plant
    3. Receiving plant
    2. from A001 to External Vendor
         Plant A001 ( Company Code 1000 ) will raise P.O to the External Vendor.
      We use Third Party process
    Process.
    1. First Company code 2000 - Plant B001 will raise a P.O to Company Code 1000 - Plant A001
    2. The Company code 1000 Receives the PO and Finds it has not stock within its plant
    3. The company code 1000 will raise a new PO with reference to PO sent by Company code 2000 to its vendor.
    4. The Company code 1000 asks the vendor to deposit the material in their plant site.(by providing plant A001 Address)
    5. The Vendor will raise an invoice to the Company code 1000
    6. Now From the company code 1000, from plant A001 STO will be performed keeping receiving plant as 2000
    7. An Intercompany invoice will be raised by plant 1000 to plant 2000
    8. The Plant 2000 after the receipt of the material / invoice will pay to Company code 1000
    9. The Company code 1000 in return will settle the vendor invoice.
    Regards
    Sathya

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