Change Delivery Plant in Good Issue

Hello,
Is possible to change the delivery plant in a Good Issue?
Exist some User exit or BAPI to use to change the Good Issue?
Thanks for all,
Nat.

Hi Guiseppe,
can you please answer some questionsa to understand your requirement.
if you want to transfer the goods from plant to plant you can do it through Stcok transfer MB1B t code.
1.then why you want to change the plant? in which element you are trying to do in sales order or production order?
2.you mention it as intercompany and MTO can you be clear for whoom you got the sales order(internal or External Customer?

Similar Messages

  • Error Message V1810 - Make to Order No Change delivery plant in Sales Order

    Hello, for a client where I'm setting the flow intercompany , but i have  an error on the Sales Order when I must be change delivery plant.
    Scenario: Make to Order, Product configuration, Sales Order BOM created by  CS60
    Step:
    1 - I create sales order fo company X delivery plant 1000
    2 - Creates Order BOM on plant 2000 Company Y
    3 - creates MRP Planned Order
    4 - Convert Planned Order to Production Order
    For different issues can happen that you decide to ship the goods to a different plant than the X. Production Plant remains 2000.
    If I try to change the plant on the Order system stops me with the following error:
    Message V1810 - Plant can no longer be changed
    Diagnosis
    The plant can no longer be changed in the Following situations:
    The item has been assigned to a project.
    There is a production order for the order item but it is not a staticassembly order.
    Already have accrued costs.
    For the very complex structure of the product I can not delete the production order and sales order BOM.
    How do I handle these cases?
    Can anyone help me?
    Best regards
    Giuseppe

    Hi Guiseppe,
    can you please answer some questionsa to understand your requirement.
    if you want to transfer the goods from plant to plant you can do it through Stcok transfer MB1B t code.
    1.then why you want to change the plant? in which element you are trying to do in sales order or production order?
    2.you mention it as intercompany and MTO can you be clear for whoom you got the sales order(internal or External Customer?

  • Delivery date and goods issue date anomaly

    I am seeing issue in client site where when an order is entered for customer with a delivery date in December 2010 the goods issue date and loading are all correct. Soon as I put a delivery date after Jan 6, 2011 all the dates become the same. For example I enter Jan 29, 2011 as delivery all the goods issue, loading etc become Jan 29, 2011. Is there some config issue somewhere causing this issue.

    hi harvinder
    this is all happening because
    when you entered the customer and material in sales order the system automatically prompts the delivery date of the material.
    because in SPRO there is a setting called - DELIVERY SCHEDULING AND TRANSPORTATION SCHEDULING. with the help of factory calendar or shipping point calendar.
    in the same process it has shown these dates and these dates might be the tentative because material may not be available at that time & as soon as you changed the delivery date in the system manually again system will do RE ATP and would have given confirmed date as 14.01.2001 & basing on the confirmed date every date follows.
    this is standard behaviour of the system.
    balajia

  • Want to change Del Date and Goods Issue date in Delivery scdl tab of PO

    Hi Gurus,
    I am in a situation wherein i need to change the Goods Issue date in Delivery schedule tab of Purchase Order and make it equivalent to Delivery date in the same tab.
    Currently the Goods issue date that is taken by default will always be one day after the Delivery date.
    Where is the control for this???
    Regards,
    Trishul

    Hi Jürgen,
    Thanks for your response. You are right. The Process is STO.
    The delivery has not been created as yet.  Everything is happening while creating the PO. The settings are such that the delivery date will be taken by the system automatically by doing the Availability check and simultaneously the goods issue date will be updated. But it will be one day later to the delivery date. But i want this to be same.
    Incase if i change the Goods Issue date manually, this is the message i get "Goods issue cannot be carried out in the past"
    Message no. V1062
    Please let me know if i am not clear.
    Regards,
    Trishul
    Edited by: Trishul Das on Mar 17, 2009 4:09 PM

  • How to prevent changes qty. reservation after goods issue

    Dear Expert,
    Is there a way to prevent user change their reservation qty. after goods issue?
    Example :
    Reservation No 32XXXXX item 01 requirement.qty = 5 PC
    Goods issue                                                            = 5 PC
    After GI, user change qty of reservation to            = 3 PC
    and Save it
    Best regards,
    Dedy W

    Hi,
    You can delete respective Reservation Item with MB22 t-code.
    With this deletion indicator, you can manually earmark an item for subsequent deletion (if, for example, you do not expect any further movements in respect of this item or prevent any changes in the reservation). The actual deletion process is then performed by a reorganization program (MBVR).
    Regards,
    Girang

  • What to do if delivery-date exceeds goods issue date?

    Hi all,
    is there a way to adjust this date after trigger 'POST GOODS ISSUE' ? User-Exit...Function Module...
    Many TX for your help,
    Christian

    IM sorry this was such a mess.  It's not normal. 
    DId you sign up online?  I have had good service in Verizon stores and will not do business online.  Your experience confirms my concerns about lost phone, wrong computer entries and wrong billing.
    there are a few mobility CSR on this forum, you should seek them out and hopefully get this fixed.
    i Understand you can contact on Facebook and Twitter Also.

  • Billing of outbound Delivery only after Goods Issue

    Hello Experts,
    I am stuck in one of the requirements and require assistance from all the experts out there.
    I want to automate the creation of the billing document after POST GOODS ISSUE.
    I appreciate your fast reply.

    Hi,
    This is a normal practice in business. VF04 is used and and a batch job is created which runs on specific date/time and creates Invoices for deliveries which are PGI'd already.
    You can also set a batch job with a particular variant to run in background, and this will meet your clients needs.
    SAPBILLDL is the program behind VF04. This program will first list down all the deliveries meeting the Variant conditions,  and which are PGI'd and are ready to bill. Invoices will be created in the background.
    Regards,
    Vivek

  • OutBound IDOC for Delivery when Post goods issue is trigered

    Hi All
    Does any body have idea which IDOC contains data regarding delivery header and item details.
    for header - sap delivery number , delivery date, ship mode, vessel name, container
    for detail - product code, expiry dt, batch.
    cheers
    AJ

    Hi
    List of IDOC's
    http://www.informatik.fh-wiesbaden.de/~werntges/lv/edi/specs_EN/SAPdoc/IDoc_d.htm
    regards
    pavan

  • Accepted change after post goods issue

    when i made delivery and post goods issue in sap then if any body change the quantity of order in va02 the system accept ?
    how can i change this

    Hi,
    yes..it will accept...but it will show a warning message as per standard.
    Example: " Delivery of 1 EA has already been made for item 10" message no V4096
    if you want to show as an error message try to change the category " W" to "E" in OVAH
    so that it will not allow you to change the order quantity.
    Note: Order quantity will be grayed out after creation of Billing only.
    Hope it helps.
    Thanks,
    Krishna.

  • Need User Exits for Creation of Delivery and for Posting Goods Issue

    Hi,
    I need User Exits for
    Creation of Delivery
    Posting Goods Issue
    I need to make some checks regarding customer license expiration and if checks fail, I need to stop Creation of Delivery and Posting Goods Issue.
    Thanks in advance,
    Will reward,
    Mindaugas

    In the delivery you can use userexit USEREXIT_SAVE_DOCUMENT_PREPARE to make your checks and send an error message to the user in case they fail.
    You can find this user exit (form routine) in include MV50AFZ1.
    Hope that helps,
    Michael

  • Different movement types for goods issue via outbound delivery

    Hi gurus,
    How can I use different movement types for goods issue via outbound delivery?
    Thanks&Best Regards,
    Burcu

    To use different schedule lines, we need different item types and different document types. Is that right?
    Is there a user exit in outbound delivery to post goods issue?
    Thanks...

  • Stop generating delivery IDOC output (outbound IDOC)  if goods issued!

    How to stop generating delivery IDOC output (outbound IDOC)  if the delivery has been goods issued?! Any user exit or BADI for this?!
    Thanks

    We take a routine in output requirement! it's done!

  • Receiving plant - goods issue

    hi
    can someone tell any function module that gives me receiving plant # for goods issue that is already posted?
    I will reward point
    Thanks
    Nash.

    Hi Nash,
    Check LIPS-UMWRK field,some times it may be blank.
    Else Try WERKS in EKPO table with values from LIPS as given below
    LIPS-VGBEL = EKPO-EBELN
    LIPS-VGPOS = EKPO-POSNR
    regards
    Avi...

  • Regarding Goods Reversal & Goods Issue Process for PO

    Hi Experts,
               Could you any one tel me what is Goods Reversal and Goods Issue process for PO...
    How to create the FM & detailed Procedure Pls?....
    Please any one tel me.......
    Thanks & Reagards
    HB

    Hi Hans,
    SOURCE : HELP.SAP
    Purpose
    Inventory Management uses this process in such a way that the goods issue posting is divided into two parts that run in separate systems. Posting the GI document in the supplying plant results in a message to the receiving plant. The receiving plant then performs a complementary posting. The physical goods receipt takes place as usual.
    Prerequisites
    When using batch processing, the following prerequisites must be fulfilled:
    Both the original and target systems have the same batch definition level.
    The batch definition level is either the material or the client.
    An ALE scenario exists for materials and classes (characteristics).
    Unique batch numbers exist cross-system.
    Batches can only be changed in their original system when they are not decoupled. From an organizational point of view, this must also lead to the batch status being changeable in a local SAP R/3 system. For example, this is impossible when transfer posting to a new batch and results in further actions, for example, relabeling containers, palettes and so on.
    Characteristics
    As for the purchase order in a one-system situation, the system should automatically post the material into the stock in transit at the receiving profit center and the corresponding Profit Center Accounting using intra-CC transfer prices at goods issue for the purchase order and the unchecked delivery. This requirement is valid for one-system situations as well as for two-system situations where there is an ALE interface. No internal billing document should be created.
    In a two-system case, the receiving profit center should be derived at goods issue from the unchecked delivery. Profit Center Accounting then takes place with
    Stock change transfer price to stock
    Internal expense to internal sales
    Internal clearing account to stock change transfer price.
    Account determination in a purchase order for an intra-company-code transaction must be different from account determination in external transactions. Automatic GR/IR account clearing is required in both one-system and two-system situations.
    The stock in transit must be visible in the receiving profit center.
    The system must send a shipping notification at goods issue in one-system and two-system situations.
    You need to create an invoice document for the internal and external trading statistics for cross-boundary deliveries as well as for customs purposes.
    GR/GI slips are created.
    Process Flow
    Goods Issue Posting for Stock Transfers
    The delivery triggers the goods issue in the issuing system.
    The call contains the stock transport order data known in the delivery, including the PO item and the logical system of the recipient.
    The transaction (quantity and value updates) is selected using the movement type:
    Movement Type     
    Function
    641     
    Goods issue with UB logic (Creation of stock in transit at recipient, immediate value posting).
    647     
    As 641, however the goods receipt line (movement type 101) is added automatically, so that the goods receipt is posted at the same time as the goods issue (one-step procedure).
    You determine the movement type according to the schedule line category in Sales and Distribution. The goods issue for a cross-system stock transfer must be different from the integrated transaction. This is achieved by adding a new movement type.
    You post quantities and values at goods issue in the same way as a goods issue for a sales order. That is to say, the quantity is posted in the supplying plant and the value is adjusted to that of the stock account. The offsetting posting is made to a clearing account. The known data from the delivery is copied to Accounting to balance the account where necessary.
    The system creates a message to the appropriate receiving system for all items with reference to a cross-system purchase order. The system does not perform any validity checks on the recipient’s data before posting begins. Incorrect Customizing results in the update being terminated.
    If a goods issue has receiving plants in different logical systems, an IDoc is sent for each system.
    In order that the goods receipt is able to use the values on the receiver side, you must add the values used to post the goods movement, in particular the transfer prices, to the IDoc.
    The logic for recognizing the profit center switch functions as follows: At goods issue, the system recognizes that the profit center of the issuing plant is different from the profit center of the receiving plant. The system derives the profit center node from the relevant profit center.
    Data Transfer
    The IDocs sent by the issuing plant trigger the goods issue postings in the receiving plant.
    Background Posting in the Receiving System
    The goods receipt is posted in the receiving system using the IDoc. The interface receives the data from the goods issue in the supplying plant. The following processes now run at the recipient:
    The system finds the update control for the GR part of the posting.
    The goods movement is posted with the new movement type.
    During valuation of the goods receipt, the system might, where necessary (UB logic), refer to the values (legal value and the value from the parallel valuation type, if you are using the transfer price function) from the IDoc.
    The PO history is updated. The PO history is updated with the material document number from the second part of the GI posting. The GI document number is not stored in the supplying plant, because there is no way to display this document.
    In two-step procedures the goods receipt is posted to the stock in transit.
    Reversal
    You can only reverse this goods issue for the PO using the cancellation transaction in SD. You cannot reverse the GI in Inventory Management.
    The material document that is automatically created in the receiving system cannot be canceled. This reversal is triggered by the sending system (the actual reversal of the GI document takes place there) and transmits the data, including the reversal movement type, to the receiving system. No actual reversal is posted in the receiving system, because the material document number of the original document does not exist in this system. This scenario is applicable for cases where you use the two-step procedure (with stock in transit).
    Distribution of Batch Master Data and Characteristics
    The batch information is transported using the message category BATMAS.
    When you create a cross-system goods issue, the system creates the corresponding IDoc using the message category BATMAS.
    When the delivery arrives in the target system, the batch and all the information is already present in the system.
    Changes to the batch data are also distributed using the message category BATMAS.
    The batch can be decoupled in the receiving SAP R/3 system. This means that the batch can have a different status in the receiving system than in the original system. By setting an indicator at material level, you decide whether the batch can be decoupled or whether the batch and all its attributes are copied from the original system. "Decoupled" i.e. "locally independent" batches are no longer distributed from its own system.
    The batch data does not need to be available before the physical goods receipt takes place. The goods receipt into the stock in transit does not usually refer to the batch unless you are working with batches with assigned active ingredient values.
    If the GI cannot be posted for organizational reasons, for example because the goods cannot be loaded onto a truck until 10pm, then you can post the goods into the GR blocked stock. This stock is also non-batch-specific.
    In cases where the GI IDoc arrives before the batch IDoc, then the GI IDoc can be subsequently posted by a periodically scheduled report (transaction BD87). A program like this exists in the SAP standard system. In Customizing for MM Inventory Management (activity Copy, Change Movement Types), you should make settings to define that manual creation of batches at goods receipt is not allowed.
    Shipping Notification
    The shipping notification is required in the receiving system due to its relevance for MRP. In this way, for example, a change in delivery date determined at goods issue is sent to the receiving system using the shipping notification. The shipping notification can also be used when posting the GR batches.
    Reward if found helpfull,
    Cheers,
    Chaitanya.

  • Posting goods issue

    Hi all!
    my Z program has to pass delivery number to RV_INVOICE_CREATE in order to create debit / credit memo invoice, but before retrieving delivery number, post goods issue must have been done. Any ideas?
    Reminding - sequency is like this:
    1 Order 2 Delivery 3 Billing
    Will award points.
    Kind regards,
    Mindaugas

    Hi,
       I worked on similar issue earlier, just try whether my solution will work for you or not ..
    1) First check the table 'SHP_IDX_GDSI', to findout whether the PGI done for the delivery or not, The table SHP_IDX_GDSI will store all the deliveries for whose PGI not done.
    2) If you are sure that PGI is not done for the delivery then, you can use the below logic, when order quantity is confirmed.
    DATA: l_kostk TYPE vbuk-kostk."Picking
    *If order quantity is picked completely
    *Check the status of picking
    SELECT SINGLE kostk FROM vbuk
    INTO l_kostk
    WHERE vbeln = w_del.
    if l_kostk = c_charC.
    f_flag2 = c_charx.
    else.
    clear f_flag2.
    endif.
    READ TABLE i_idoc_data WITH KEY segnam = c_e1edl18 INTO wa_idoc_data.
    IF sy-subrc = 0.
    MOVE wa_idoc_data-sdata TO wa_e1edl18.
    If its completely delivered
    IF f_flag2 = c_charx.
    change the qulifier to PGI
    wa_e1edl18-qualf = 'PGI'.
    else.
    clear wa_e1edl18-qualf.
    endif.
    MOVE wa_e1edl18 TO wa_idoc_data-sdata.
    MODIFY i_idoc_data FROM wa_idoc_data
    TRANSPORTING sdata WHERE segnam = c_e1edl18.
    ENDIF.
    CALL FUNCTION 'IDOC_INPUT_DELVRY'
    EXPORTING
    input_method = w_in_method
    mass_processing = w_mass
    TABLES
    idoc_contrl = idoc_contrl
    idoc_data = i_idoc_data
    idoc_status = idoc_status
    return_variables = return_variables
    serialization_info = serialization_info.
    Regards,
    Donepudi.
    Reward, if its helpful.

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