Change exchange rate type

Hi,
How can I change exchange rate type for posting principle flow in case of fixed term deposit. System by default takes M type. I want to change it to S type.Define  I have already changed exchange rate type in calculation indicator and Company Code Additional Data but it doesn't work.
Thanks

Hi,
By default the exchange rate type M will only be picked.  The setting you make under calculation indicator is only for securities and loans area.
For you requirement, pls check the note 450171 and see the appropriate place where you have to do the modification.
Regards,
Ravi

Similar Messages

  • How to change exchange rate type for specific pricing condition type

    Hello every one,
    I have a requirement for billing ie VF01.
    currently  all the exchange rate are being calculated with exchange rate type 'M' by default.
    but now client want it should calculate exchange rate with type 'E' for two pricing condition type for all others it should calculate with type 'M'
    Please any body can help me with the exit and code which i can use.
    I have checked exits SDVFX008.
    but how to change exchange rate with type 'E' only for two conditions.
    as changing exchange rate at document header will change exchange rate for all condition type.

    You need to assign KOMK-KURST = 'E', for those two condition types. If it had been item number specific, you could have used USEREXIT_PRICING_PREPARE_TKOMK(RV60AFZZ).
    Do one thing, put a breakpoint on FM 'PRICING' and then do selective runtime analysis.
    Check whether any user exit/BADI/ explicit enhancement are available when condition types are processed in a loop. If nothing is available, try implicit enhancement.
    Link to refer for selective runtime analysis - Runtime Analysis for VOFM
    Also try with VOFM requirements ( not sure whether changing KOMK-KURST is permissable in requirement as normally  we only set sy-subrc values to suppress/allow condition types ). Don't forget to assign requirements against condition types in pricing procedure.

  • ME22N change Exchange rate type at price condition level

    Hello,
    In ME22N exchange rate type is 'M' by default. When a price condition has currency different than purchase order this 'M' rate is used.
    Now I need to change this 'M' rate but for particular price conditions (and exchange rate type can be different for each price condition). Don't ask me why:-) This requirement comes from business consultant and he knows that there is no user exit for this. I need to modify standard. The problem concerns items price conditions.
    I'm not asking you for a complete solution, but maybe you can give me a hint where to start? What is the function module which perform price calculation (where exchange rate is used) in ME22N.
    I tried to change KOMK-KURST in price condition rule (the procedure which is called to check if price condition has to be calculated or not). It is called for each price condition and I know a name of price condition. But I think the exchange rate type is read at the beginning and stays unchanged even I changed KURST.
    I also found function module READ_EXCHANGE_RATE, which has rate type 'M' by default. I could put my modification in place where it is called. But it is not called when I press button Update price. It is only called when I change the currency of condition and press enter. This FM is called in few places in ME22N but not when I'm refreshing prices. Maybe during a refresh it has already an exchange rate? If so, READ_EXCHANGE_RATE could be a solution, but... It is not called when price conditions are created for the very first time (when I create PO item). Maybe system calls different FM?
    I also tried to use trace (ST05) to see where systems reads from TCURR, but I think some buffers are used and TCURR is not in trace.
    So now I'm stuck hoping for your help.
    Best regards
    Rafal

    Prabhu Peram wrote:
    Hello Rafal ,
    >
    > still im trying to understand your requirements , anyhow if you change/propose new exchange rate at header level , then system wont put type as 'M'.
    >
    The problem is that if I set a new exchange rate type, it will be the same for all price conditions. My requirement is to have different exchange rate type for each price condition. The pricing procedure will loop at each price condition, and depending on condition name I need to have different exchange rate type.
    Example:
    condition XMER is in EUR and must be converted to USD (factor should be 1,234)
    condition XMET is in EUR and must be converted to USD (factor should be 1,567)
    Now the factor is the same for all price conditions.
    I have found interesting table XKOMV. It contains price conditions and there is a field with factor value. Now I will look for the place where this table is filled with data or for the place where I can modify factor values before XKOMV is used in pricing procedure.
    Best regards
    Rafal

  • Using Diffrent Exchange rate Type for Payroll

    Hi All experts,
    We wish to use a different exchange rate type for Payroll currency conversion. As we all know that the Payroll driver uses the currency coversion rate M and is hardcoded in the standard Programmes.
    Now please suggest me whether it is possible in any means to use different currency conversion rate for Payroll?
    Also we have explored the Global payroll, but the same has been not yet released for all customers, can I use it as it provides with the option of choosing exchange rate type on a particular date and have standard excahnge protection IT.
    Awaiting guidance from u all....
    Thanks in advance
    Regards
    learner

    Hi,
    No i want system to pick diffrent exchange rate so i want to change exchange rate type for 1st Local Currency.
    But that area is greyed out. Is there any system setting where i can maintain diffrent Exchange rate type for 1st Local Currency instead of "M". or is there any other way out that system will pick up diffrent exchange rate.
    Problem is that two entities are operating in different market having same local currency but conversion rate for Foreign currency will be diffrent e.g. Local Currency EUR Exchange rate between EUR -USD in France 1.20 and Exchange rate between EUR-USD in Germany 1.25.
    Is there any wayout to deal with such situation.
    Please suggest.
    Regards,
    Manish

  • Diffrent Exchange rate type for 1st Local Currency

    Hello,
    I have following problem:
    E.g.
    One company code in Germany having Local Currency as EUR and Another Company Code in France having Same Local Currency as EUR.
    If i am posting transaction say on 12/09/2008 in USD for both company code and Exchange rate in Two Countries are as follows:
    Germany  -EUR to USD -1.25 on -12/09/2008 EXRTTY: M
    France     -EUR to USD -1.50 on -12/09/2008 EXRTTY: M
    By default system picks up "M" exhchange Rate Type [EXRTTY]. And we cannot change exchange rate type for Currency "10" Local Currency.
    Please help me how take care of such situation.
    Regards,
    Manish

    Hi,
    No i want system to pick diffrent exchange rate so i want to change exchange rate type for 1st Local Currency.
    But that area is greyed out. Is there any system setting where i can maintain diffrent Exchange rate type for 1st Local Currency instead of "M". or is there any other way out that system will pick up diffrent exchange rate.
    Problem is that two entities are operating in different market having same local currency but conversion rate for Foreign currency will be diffrent e.g. Local Currency EUR Exchange rate between EUR -USD in France 1.20 and Exchange rate between EUR-USD in Germany 1.25.
    Is there any wayout to deal with such situation.
    Please suggest.
    Regards,
    Manish

  • Implications of change of Exchange Rate Type from P to M in Version in CO

    Hi SAP Experts,
    We have a requirement to change the exchange rate type in Versions. In fact, exchange rate type P has been configured in Version 0. This version is being used in Costing Variant PPC1. Price updations are being made with this costing variant. Costing Variant PPC2 is being used for internal evaluations. No price updations have been done using this costing variant.
    Client wants exchange rate type M in a new version to use in costing variant PPC2. I have created a new version X and assigned exchange rate type M in new version X. I have assigned the same version in Receiver version of Profitability Analysis and Version for indicators actual.allocations in Orders/Projects tab in T-code OKEQ. In Settings for Operating Concern, I have assigned currency type "Operating Concern currency" and exchange rate type M. Cost center activity price planning (KP26) has been done with new version X for all the cost centers.
    My question is "Will the above changes affect any Plan or Actual values of other versions existed in the system ?"
    Please let me know will there any affect on already planned data in the system with any version.
    Thanks in advance.
    Best Regards,
    K.S.K

    I don't think it's going to impact other versions but you may need to do simple test for other versions. One more thing is versions are controlling area specific and the M or P rates will be applied based on value date you setup in OKEQ configuration.
    You don't need to assign the version for  'Version for ind.act.alloc.'  indicator until unless you use WBS for project planning. By default it will be assigned to zero version.
    Thanks
    BR

  • Is it possible to change the standard exchange rate type?

    Hi all,
    at the moment, standard setting is that exchange rate type M is associated with the local currency of my company code, is it possible to define a new exchange rate type and assign it to the standard local currency instead of M?
    Thanks!
    Dusko

    Hi
    All postings and Clearing happen thro the Exchange rate type M which is the standard setting and cannot be altered. However for valuation and other purposes, we can have our own types
    Jayaram

  • Exchange rate type for version - error message GP541 during confirmation

    Hi FICO Experts,
    I bumped into a problem during confirmation in CO15. (I would like to get the SFG by mvt 101 and consume the raw material by 261).
    The error messase I get is:
    Maintain the exchange rate type for version 000 in 2009
    Message no. GP541
    Diagnosis
    You want to use plan version 000 with controlling area 1000 in fiscal year 2009.
    You have not specified an exchange rate type for this plan version for fiscal year 2009. Since the update of all currencies in 2009 is active in the control indicators of the controlling area, currency conversions are possible and sometimes also needed.
    It is therefore necessary to specify an exchange rate type for plan version 000 in year 2009.
    System Response
    The system will not accept your entry.
    Procedure
    1. Please maintain plan version 000 first using the function 'Change Plan Version', or
    2. correct your typing error.
    I'd like to ask you to please help to resolve this issue.
    Thanks,
    Csaba

    go to Maintain Version at SPRO-Controlling-General Controlling-Organization->Maintan Version and do what ever it says. Provide Exchange rate type P or M would resolve your issue

  • Exchange Rate Type default different from M for a company code

    Dear SAP guru,
    Would you shed some light on this?
    How would we be able to default/assign a different exchange rate type from M at a company code level?
    I have a company code - finance company - that every foreign currenty transaction needs to be translated using different exchange rate type (i.e. daily hedge rate) than other operating companies.
    The OB22 screen makes it appear as M rate is specificied as 1st currency in company code, but grayed out and not able to change.
    Please help me with your expertise on this.
    Kind regards
    taro

    Hi,
    ExRateType is hardcoded in
    Main Program     SAPL0F03
    Source code of   L0F03I01
    *------- Daten zur ersten Hauswährung -
      rfcu4-curtp = '10'.
      rfcu4-bwer1 = '0'.                                        "AT 23039
      rfcu4-kurst = 'M'.               <<<<<
      rfcu4-cursr = '1'.
      rfcu4-curdt = '3'.
    The reason why the assignment of exchange rate type M to the first company code currency is a historical reason. A lot of coding within the SAP system is directly developed under the prerequisite that the exchange rate type for the first company code currency is M.
    As you described you want to setup several company codes in one client that all have the same first company code currency but should use different exchange rates. To solve that issue there are 2 ways available:
    The first way is that you use the functionality to assign an exchange rate type to a document type. That would mean a lot of work because in that case you would have to define all document types seperatly for
    every company code.
    The second possible solution is that you use different names for the fist company code currency.
    That means for example that you name the first company code currency in company code 0001 USD and in company code 0002 US1. So you can use different exchange rates for the same currency.because in that examle USD and US1 are only different names for the same currency. Using this approach you can have different exchange rates for different companies with the same company code currency by setting only different names even though the exchange rate type M is fix asigend to the first company code currency.
    Best Regards,
    Gladys xing

  • Exchange Rate Type not working during plan assessment in T Code KSUB

    Hello Experts
    We had different exchange rate types created for different plan versions. We had Exchange Rate Type Z1 for Plan Version 01.
    We had maintained the same in Planning settings for the fiscal year 2011.
    We had created a new plan assessment cycle with version 1.
    Now when we execute assessment cycle it is not using the exchange rate from 01/01/2011. Instead it is selecting the rate from 01/01/2010.
    Is there something wrong when we copied fiscal year 2011 from 2010 for version 01.
    Request your inputs and help on this.
    Thanks
    Satya Alapati

    Hi Ajay
    Thanks for the information.
    We had not maintained the value date for any of our versions since we keep changing the rates for every period and wish to have the system pick the latest rate for the period.
    It has been the case in earlier years also.
    Thanks
    Satya

  • Alternate Exchange Rate Type Not Picked while converting from Document Currency to Group Currency

    Hello Gurus,
    We have setup an alternate Exchange Rate type MNB for rate M for the postings happening in Hungary. Local currency is HUF. Group currency is USD.
    If the document currency is, lets say, EUR, latest MNB rate is correctly picked up (EUR to HUF) and postings are correctly converted into local currency (HUF).
    Although, for the same document, when a group currency is being calculated (EUR to USD), exchange rate type M is being picked up. Same happens if  document currency is HUF. Even then, the conversion is based on exchange rate type M.
    Is this a normal SAP behavior? How to prevent/correct this? This is also throwing off balances when we check in FAGLB03 or BSEG values in local and group currencies. In OB22, we have local currency1 and local currency 2 setup with exchange rate type M and we may not want to make any changes there as it is setup at global level.
    Do we need to run any valuations after the fact? if so, how?
    Thank you for your inputs in advance.
    Regards,
    Sagar

    Hi,
    You mentioned that "in OB22, we have local currency1 and local currency 2 setup with exchange rate type M". Then, I'm wondering how MNB is picked up for the first local curr. conversion to HUF? It should be 'M' instead. There must be some settings in your instance for such behavior. Can you check that?
    Actually, Group Curr. conversion happens with the rate defined for 2nd Loc.Curr.in OB22 which is 'M' in your case. Therefore, all the transactions are converted with M instead of MNB.
    Since you can't change OB22 per global co.policy, the exch.rate defined in OBA7 will overrule OB22. However, you've to make sure it's set up for all doc.types which are affected and posted in different curr. than HUF.
    As a workaround, another thought would be to maintain the same conversion rate for both exch.rate types MNB & M, for eg. HUF > USD rate is the same both exch.rate type MNB & M. This way, you ensure all transactions are posted with correct exch.rate irrespective of whatever rate type is used.
    From business, & global org. perspective, I'm sure they are sending the 'M' exch.rates to all their sister concerns monthly, so they would like to consolidate results as per standard rate in their system. Then, why ,as a local company, would you like to fiddle with standard process? It's a management decision, please run them through again before going ahead.
    Thanks,
    Nirav

  • Exchange Rate Type For MIRO

    Hi, expert
    My customer has a specific requirement. For AP, use exchange rate type B, for AR use exchange rate type G. The easist way is to set in the document type  (Table T003), but this table is cross company code. Here only one company code need it.
    So my proposal are following:
    FI direct posting:
       AR and AP exchange rate are substituted by a user exit.  In the substitution, the field BKPF-KURSF should be release for substitution, change the table GB01
    SD invoice posting:
      Set Exchange rate type G in the customer master of sales area, then the AR is posted with exchange rate type G. The substitution in FI is not effective in SD invoice posting.
    MM LIV posting:
    During MIRO , the substitution in FI don't work here.  and other User Exit not work.
    Is there any other method to make sure the exchange rate type change to B in the MIRO?
    Thanks!

    Please check SAP Note : 518114

  • Exchange Rate Type per Company Code

    HI Experts,
    In our system the conversion rates for EURX are maintained since there are several European companies working with the system.
    Now we would like to use the same SAP-system for companies in China & Taiwan. In both countries there is an individual "official" exchange rate which does not equal the exchange rates stated from the German banks and thus fed into the system.
    Is there any possibility to connect a company (code) with one particular exchange rate type? Since we are dealing with countries outside of the EU.
    Thanks in Advance
    Siva

    Hi,
    as you may have recognized, the assignment cannot be made on company code (or country) level, but only on currency level. In particular, this is table TCURF.
    When (almost) all possible currency combinations (from-to) are redirected to rate type EURX, then this looks like standard SAP delivery settings that you can freely change according to your needs.
    If you are not familiar with TCURF maintenance, however, you should be very careful here and test every change before importing it to the productive environment.
    The basic idea that I have always followed for the same or similar requirements is that local rules for a particular rate type are always control the rates to be applied when converting from any foreign currency to the currency of the particular country.
    If you are a China company and your local company code currency (curr.type 10) is CNY, then you have to make the following changes to table TCURF:
    First, find out all the foreign (non-CNY) currencies that you are dealing with. This may include EUR, USD, and any other currency of the world.
    Then, determine (or create) a new exchange rate type in table TCURV. This should be the rate type for your "own" rates. Let's name it rate type "L" (for Local rates). Note: you can use the standard M rate type as well, but it is more transparent if you define a separate one.
    Then have a look into table TCURF and find the entries as follows:
    Rate type: M
    From-currency: all that you are using in your business (all non-CNY that you use)
    To-Currency: CNY
    Valid-from: find the recent entry for each combination
    With all of these entries displayed, you will find that the alternate exchange rate type field (ABWCT) in these entries is set to EURX.
    Now you want to create a new TCURF entry as follows:
    Rate type: M
    From: the same foreign currencies as above
    To: CNY
    Valid-from: a newer date than the last current entry
    Alternate exchange rate type: L (your new rate type) - in case you want to use just M, then leave ABWCT empty.
    If you are using the L type (which I recommend), then you have to add 2 new entries to TCURF for each foreign currency:
    1.
    Rate type:  L
    From: foreign curr
    To: CNY
    Valid-from: 1.1.1800 (yes!)
    Ratio from and to: as you want, it should be the same as in the corresponding M entry, usually 1:1, but it depends
    Alternate exchange rate type: leave it blank.
    2.
    Rate type:  L
    From: CNY
    To: foreign curr.
    Valid-from: 1.1.1800 (yes!)
    Ratio from and to: as you want, it should be the same as in the corresponding M entry, usually 1:1, but it depends
    Alternate exchange rate type: leave it blank.
    Finally, in OB08, you have to maintain rates like
    type L,  foreign curr to CNY
    You are done
    What is happening is the following (example you post a document in USD in your China company code)
    Doc.currency USD --> must be converted to your local currency CNY
    First, the system looks the current ratios for the M entry:
    M, USD to CNY, valid from: recent, 1:1 and ABWCT = L !!!! (the entry you have added before)
    Then it checks the ratios for L:
    L, USD to CNY, valid from 1.1.1800, 1:1, ABWCT = blank
    Based on TCURF, the system will look for the current rate entered under rate type L, your local rate )
    Now what if a USD-based company has to post something in CNY? No changes there as the TCURF settings were not touched. They should look like this:
    M  CNY to USD, alt.exch.rate type EURX (or blank)
    If it is EURX, then the rates enterd under EURX rate type (once USd to EUR and then CNY toi EUR) are read and the cross-rate CNY to USD is calculated.
    If it is blank, then the rate entered under rate type M is used.
    In both cases, no change to your current process.
    It works similar if the company code is EUR based.
    The main idea is: redirect all M entries in TCURF where <anycurr> to CNY to the new rate type L, but leave all other TCURF entries untouched. Direction <any> to CNY are only relevant for the China company code, the rest of the world does not care about that conversion. They might be interested in conversions like CNY to <any>, like in the above example, CNY to USD, or CNY to EUR, but that could be their German or ECB rate, you do not have to care about.
    <removed_by_moderator>
    Csaba

  • Exchange Rate type determination in PO

    Dear all,
    During purchase order creation for a foreign vendor, system looks into the exchange rate tables to determine the exchange
    rate between the local currency and order currency (foreign currency).
    During the rate processing system always takes the rate mainatined with exchange rate type "M".
    We have a requirment where we want the system to look into the specfic exchange rate type for a company code.
    For Eg, PO's created for the hungary company code, should look into the exchange rate maintained with exchange rate type HU01 which is mainatined in exchange rate tables and not from exchange rate type "M".
    I searched all config elements on the MM side but could not find any. I also understand that we could set this using the invoice document type, but we need to have the po determined the right exchange rate type.
    We are implementing SRM and the shopping cart or the PO created goes through the same logic , it finds the rate maintained in exchange rate type "M"only.
    Kindly advise if we could set this config somehwere or could control through data.
    Regard
    Harish

    Hi,
    it is the sap std behaviour while creating the PO, picking of the exchange rate from the specified tables and from specified type.Seems you can not change.
    Regards,

  • Maintaining a Exchange rate type in CMR

    I have maintain a exchange rate type in Customer master e.g "ZCUS" & wanted to perform the accounting based upon that exchange rate type only .
    When I have created the sales order system gets the Exchange rate based on  the exchange rate type maintain in OB08 . but at the Billing document -Header_data>Accounting tab > Exchange rate-accounting here the exchange rate it is taking Company code setting exchange rate. ultimately accounting documnet is generated with the OB08 exchange rate value u201CMu201D here I need
    Accounting document F-28 also will take exchange rate from u201CZCUSu201D
    I have already checked  VTFL- Pricing Exhange Rate Type  Config setting no use.
    and in sales order header -accounting tab also i have change exchange rate manually

    Hello,
    Please follow the suggestion provided in Solution to Problem A in the Note 22781.
    Regards,
    Raghavendra

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