Combining quantities of Two line items while calculating Free goods qty

Hi,
Scenario is: On every sales of 50 pieces( 50 pieces can be of different material like Mat A and Mat B) in single sales order,
5 pieces ( of Material A) should be given as Free goods.
Means: I want to total the quantities of all the line item before calculation of the Free goods.
Is it possible in SAP if yes, how to do it?
Regards
Gaurav

Hi,
I have one solution but I have not tried it. You can try.
What you can do is to group all the materials for which you want to give free goods
Add new field Material group from field catalogue to Condition table - create new condition table
create access seq and put this table in it, put acc. seq in cond. type, assign it to free goods determination
Create condition record, enter this material group and qty., I guess here system will total the qty of all the materials that you will enter in sales order assuming you have assigned mat. group in respective material master
Try this and post your feedback
If it works, it will be good for all friends having similar req.
regards,
Sagar

Similar Messages

  • Refurb sub contract PO one material two line items

    Hi we have the following scenario:
    We have a sub contract (item category L) for a rotable spare.  We create a service PO for the MATERIAL.  When the invoice comes in there are two line items as we charged for materials used to repair the item at one tax rate, and the service to replair the item at another rate.
    How do we goods reciept / SES this to ensure that we only get stock of one coming back in from the vendor but capture two lines in the invoice to ensure that the invoice doesn't block?  So we can't create a two line item PO as the goods reciept would book two into stock.
    Any suggestions?
    Thanks hope this makes sence.
    Other things that might help:
    Single item recursive BOM
    Goods issued to vendor via ME20
    Legal requirement to have two lines as we are paying two rates of tax

    Tracey Durkin wrote:Hi,
      So we can't create a two line item PO as the goods reciept would book two into stock.
    >
    When you have one PO line item for Recursive BOM , and one for service, this will not book two in to stock
    One will be material into stock and other will be service payments, not stock as no material is involved in service
    So you can do recursive BOM for same item , at this item you can capture material used by vendor
    And at the second line with item category "D" you do service entry both can have different tax codes
    Thanks
    Diwakar

  • Two line items created while doing sales excise invoice

    Hi all,
    I have created an excise invoice through J1iin. But when I do so, there are two line items created for BED on excise paid. where as ideally there should only be one line item created.
    The standard entry should be as follows :
    Excise Duty BED Paid     617.00           
    Excise Duty SEC Pay     6.00-
    Basic Excise Duty  p     599.00-
    Excise Duty ECSPay     12.00-
    In my scenario the entry is as follows :
    Excise Duty BED Paid     181.00     here there are two line items created.
    Excise Duty BED Paid     436.00      
    Excise Duty SEC Pay     6.00-
    Basic Excise Duty  p     599.00-
    Excise Duty ECSPay     12.00-
    can anyone help on this?
    Thanks
    Priyanka
    Edited by: Priyanka Patwardhan on May 19, 2011 12:35 PM

    HI,
    Check the below settings are exist or not at your order to delivery copy controls.
    Order requirements     001    Header
    Combination requirmt   051    Combination
    Header Data            001    Header
    Header Data Ext. Sys   0
    Handling Units         000
    check and revert
    Regards
    Ram

  • Different Pricing date for two line items

    Hi guru's
    How to give different pricing dates for two line items
    in a sales order
    To elaborate
    I have two line items one i need pricing date order date
    second one i need pricing date should be delivery date
    Thanks in advance
    Srinivas

    Dear Srinivas,
             While creating sales order select the item which you want to change the pricing date then go to menu>GOTO>Item -->Click on Sales A here you can able to change the pricing date as you like.
    You can change the pricing date of the item in the sales order through sales order change mode but that sales order should be open.
    I hope it will help you,
    Regards,
    Murali.

  • BDC recording(updating two line items in a single call)

    Hi,
    I have a problem with the transaction PK31,while recording we enterd material number,plant,supply area in the first screen,after that it display line items for that control cycle,I want to update some fields in that line items,when i updated quantity and status fields in the first line item after that i cliked the change "qty/status button" and it saves that field values and it comes out from the transaction.
    can you please suggest what is the solution for updating two line items in a single call(PK31 transaction).

    Hi,
    In one screen . Put 2 containers with different names.
    cont1,cont2
    on each of the container call grid,grid1 like below .
    1. this is for item line display
    IF g_r_grid IS INITIAL.
          CREATE  OBJECT  g_r_cont
                      EXPORTING  container_name  =  'CONT1'.
        g_r_variant  =  sy-repid.
    *--Build  field  catalog
        PERFORM build_field_catalog.
    *--Layout selection
        g_r_layo-cwidth_opt  = g_c_set.
        g_r_layo-no_rowmark  = g_c_set.
        g_r_layo-sel_mode    = space.
        CALL METHOD g_r_grid->set_table_for_first_display
          EXPORTING
            i_buffer_active = g_c_set
            is_variant      = g_r_variant
            is_layout       = g_r_layo
            i_save          = g_c_set
            i_default       = g_c_set
          CHANGING
            it_outtab       = g_t_alv
            it_fieldcatalog = g_t_fieldcat
            it_sort         = g_t_sort.
      endif
    1. this is for error data display
    IF g_r_grid1 IS INITIAL.
          CREATE  OBJECT  g_r_cont
                      EXPORTING  container_name  =  'CONT2'.
        g_r_variant  =  sy-repid.
    *--Build  field  catalog
        PERFORM build_field_catalog.
    *--Layout selection
        g_r_layo-cwidth_opt  = g_c_set.
        g_r_layo-no_rowmark  = g_c_set.
        g_r_layo-sel_mode    = space.
        CALL METHOD g_r_grid->set_table_for_first_display
          EXPORTING
            i_buffer_active = g_c_set
            is_variant      = g_r_variant
            is_layout       = g_r_layo
            i_save          = g_c_set
            i_default       = g_c_set
          CHANGING
            it_outtab       = g_t_error
            it_fieldcatalog = g_t_fieldcat
            it_sort         = g_t_sort.
      endif

  • Multiple line items while clearing with f-44  abd f-32

    Hello Team,
    While clearing a vendor in f-44 or customer in f-32 system showing the double line items for bank account
    in F-44
    Vendor account  DR 5000
             to Bank account 4000(2000+2000)
             to bank account 1000
    in the above synario we have a open items  6000 (200020002000) but we are paying 5000 through check, system is showing bank account two line items instead of one line item.
    it should  show only one line item.
    Would you please help me how to solve the issue
    Regards,
    Anantha.

    Hello Ray,
    I am very happy that some have taken tthe responsilibility of answering my query.
    When i do the F-54, I am able to clear the vendor invoice against with the down payment. But if i go and see the WHT in respective GL account, they are still showing as " Open".
    Please help me how to resolve it.
    If this is not the correct way, kindly suggest me the right way.
    Thanks for all your help
    Regards,
    Narasim

  • FB60 - Two line items for tax amount (Posting Key - 50)

    Hi,
    I am facing some issue in FB60 invoice posting. For the same vendor(say V1) I am posting 2 different invoices for 100 USD - the <u>company code, G/L, CostCenter & Tax Jursdiction code are different</u> in both the cases. Once I do FB60 and got to document overview screen this is what I see...
    <b>Case1</b> - in the document overview screen I see a Posting key(PK) 31(invoice amount), PK50(tax amount) & PK40(total amount)...which is fine.
    <b>Case2</b> - in second case the document overview shows two line items for PK50(credit - tax amount) and tax amount is different.
    Two questions...
    1) Why there are two tax items (PK50 items) - is that dependent on tax rule or vendor or company code?
    2)My client says the tax amount should be same in both cases - but I am wondering how can it be, when tax codes are different in both the cases? Where can I check how these tax values are getting calculated.
    Any adivse/hints will be greatly appreciated/rewarded.
    Thanks
    Kiran

    AKu
      I got the same scenario also
      this second document display because of material price change u can double click that document

  • Why two line items for vendor credt

    hi EXperts,
    At the time of doing MIRO entry , System has generated two line items for vendor credit
    GI/IR    dr 2275.00
    Vendor   cr 2252.25
    Vendor   cr  22.75
    That means while 1% of the INvoice value system has created one more line item.
    Pls suggest why it has created like this. don't offer points
    Thanks in Advance,
    Arabinda Parida

    do you have a split payment term (different due dates) as defined in OBB9

  • VENDOR LINE ITEM INTEREST CALCULATION

    Hi Friends.
    I configured all the settings relating to the line item interest calculation on vendor line items with interest calculation frequency as 1 month.
    When I run the program for the first month by using T.code F.47 by specifying the from date and to date, the system is calculating interest amount correctly but when I run the same program for the second month by specifying the from date and to date, the system is calculating interest for the current month as well as the previous month.
    Please respond.
    Regards.
    Srini

    Hi Venkat,
    The system takes the open items into consideration when calculating the interest. May be the open items that were there in the first month still continue to be existing during the current month also.  Try clearing some of the previous month's open item and run the program.  You should see some difference in the interest calculation.
    Thanks,
    P.k

  • Procurement tab in Sales order displays two line items per material

    Folks
    I am not a SD guy and i have a very basic question on how to read the details in the procurement tab for a sals order.
    In the Procurement tab of a Sales order, two line items per material are displayed as shown below. whats does this mean ?
    Further, I had observed the below differences in the below 2 lines
    1. Mat. Avail Date is 06/19/2007 for line 1 & 06/20/2007 in line 2.why r the dates different ?whats the significance?
    2. Confirmed qty is 0 line 1 & 1in line 2.( when does confirmation trigger or update ? Is it upon ATP check or upon delivery ?)
    3. Order qty is 1 line 1 & 0 in line 2.
    Item     Material     Plant     Confirmed Qty     SU     Mat. Avial Date     SL     Req. Type          Deliv. Date     ATP Qty     Loading dt     Route     Part. Deliv/ Item     Deliv priority     Desc                              
    10     NTE801NC     2400     0     EA     6/15/2007     CT          D     6/19/2007     0     6/15/2007     24GB03     C     98     Priority 98 (Normal)                              
                                    1     EA     6/15/2007     CT          D     6/20/2007                   6/15/2007                    Priority 98 (Normal)                              
    Thanks

    It means  2 schedule line for that materials ,
    06/19/2007  is the date on which material is requested by  customer  but there is not sufficient stock on that day so 0 quantity is confirmed for that day.
    On 06/20/2007 material is availabe and you can start delivery to customer on 06/20/2007 and system confirms the material for 20th and it is reserved for this sales order.
    Confirmation is based on your MAT ( Material availability date ), but you can revist these dates through by triggering availabilty check or Back order processing through GATP or ATP.
    Manish

  • Not cleared two line items from the GR/IR clearing

    For one of the items in PO following transactions are done...
            Mtype   Date            Quantity             Amount
    GR   101    06/14/09        1 02.001            887.85
    GR   102    06/14/09        102.001-            887.85
    GR   101    06/14/09        101.999             887.85
    GR   101    07/22/09        102.001             923.61
    IR-L            06/14/09        102.001            887.85
    IR-L            06/14/09        101.999            887.85
    FBL3N: out put
    Open items
    Doc Type  Date                           Amount
    WE           06/14/2009 86            887.85
    WE           07/22/2009 96            923.61-
    Cleared items:
    Doc Type  Date                           Amount                                                                     
    WE            06/14/2009  96              887.85-
    Z9             06/09/2009  86              887.85
    WE            06/14/2009  96              887.85-
    Z9             06/09/2009  86              887.85
    System has not cleared two line items from the GR/IR clearing for this line item in PO.
    What could be the reason these items are not cleared and now how these line
    items can be cleared?

    Hi,
    When the Dr and Cr amount are equal to zero system will automatically clear the line items in F.13.  Here the open items are appearing with different amounts due to that system not able to clear.
    By passing some manual JV or something you done to make Dr and Cr equal to zero then you clear through F-03(untick post automatically for this clearing in T.cdoe FS00)
    Regards,
    Sankar

  • Delivery get created with one line item from sale ord having two line item

    I have an issue when delivery is created with reference to a sales order.
    The sale order consist of a header with customer group VBKD-KDGRP = '01'. There are two line item for this header with item 10 having customer group '01' and line item '20' having customer group '02'.
    When delivery is created with reference to this sale order the delivery contains only one line item corresponding to line item 10 having customer group '01' of the sale order. But I need to have both the line item in the delivery irrespective of difference in customer group.
    What makes this split up of delivery? Is there any configuration or user exit that need to be applied in order to adress this.
    <REMOVED BY MODERATOR>
    Thanks in advance
    Ramachandran Babu
    Edited by: Alvaro Tejada Galindo on Jun 13, 2008 5:45 PM

    Check if there is any copy routine applied in the copy control from order to delivery - transaction VTLA. The routines themselves can be found in transaction VOFM (Data transfer -> Deliveries). LIKP-ZUKRL field contains the split criteria (by the way, check what's in that field on your deliveries).
    It's possible that there is something in the current routine that is forcing the delivery split. Otherwise you can probably use similar approach to make it stop splitting.
    Hope this helps.

  • How to add the line items while running the VA01

    HI All,
    I want to add the line items while I am running the VA01 t-code(In run time).Could anybody give the FM to create the line items....Its urgent

    Hi ,
    User Exits In Sales Document Processing
    This IMG step describes additional installation-specific processing in sales document processing. In particular, the required INCLUDES and user exits are described.
    Involved program components
    System modifications for sales document processing affect different areas. Depending on the modification, you make the changes in the program components provided:
    MV45ATZZ
    For entering metadata for sales document processing. User-specific metadata must start with "ZZ".
    MV45AOZZ
    For entering additional installation-specific modules for sales document processing which are called up by the screen and run under PBO (Process Before Output) prior to output of the screen. The modules must start with "ZZ".
    MV45AIZZ
    For entering additional installation-specific modules for sales document processing. These are called up by the screen and run under PAI (Process After Input) after data input (for example, data validation). The modules must start with "ZZ".
    MV45AFZZ and MV45EFZ1
    For entering installation-specific FORM routines and for using user exits, which may be required and can be used if necessary. These program components are called up by the modules in MV45AOZZ or MV45AIZZ.
    User exits in the program MV45AFZZ
    The user exits which you can use for modifications in sales document processing are listed below.
    USEREXIT_DELETE_DOCUMENT
    This user exit can be used for deleting data which was stored in a separate table during sales document creation, for example, if the sales document is deleted.
    For example, if an additional table is filled with the name of the person in charge (ERNAM) during order entry, this data can also be deleted after the sales order has been deleted.
    The user exit is called up at the end of the FORM routine BELEG_LOESCHEN shortly before the routine BELEG_SICHERN.
    USEREXIT_FIELD_MODIFICATION
    This user exit can be used to modify the attributes of the screen fields.
    To do this, the screen fields are allocated to so-called modification groups 1 - 4 and can be edited together during a modification in ABAP. If a field has no field name, it cannot be allocated to a group.
    The usage of the field groups (modification group 1-4) is as follows:
    Modification group 1: Automatic modification with transaction MFAW
    Modification group 2: It contains 'LOO' for step loop fields
    Modification group 3: For modifications which depend on check tables or on other fixed information
    Modification group 4: is not used
    The FORM routine is called up for every field of a screen. If you require changes to be made, you must make them in this user exit.
    This FORM routine is called up by the module FELDAUSWAHL.
    See the Screen Painter manual for further information on structuring the interface.
    USEREXIT_MOVE_FIELD_TO_VBAK
    Use this user exit to assign values to new fields at sales document header level. It is described in the section "Transfer of the customer master fields into the sales document".
    The user exit is called up at the end of the FORM routine VBAK_FUELLEN.
    USEREXIT_MOVE_FIELD_TO_VBAP
    Use this user exit to assign values to new fields at sales document item level. It is described in the section "Copy customer master fields into the sales document".
    The user exit is called up at the end of the FORM routine VBAP_FUELLEN.
    USEREXIT_MOVE_FIELD_TO_VBEP
    Use this user exit to assign values to new fields at the level of the sales document schedule lines.
    The user exit is called up at the end of the FORM routine VBEP_FUELLEN.
    USEREXIT_MOVE_FIELD_TO_VBKD
    Use this user exit to assign values to new fields for business data of the sales document. It is described in the section "Copy customer master fields into sales document".
    The user exit is called up at the end of the FORM routine VBKD_FUELLEN.
    USEREXIT_NUMBER_RANGE
    Use this user exit to define the number ranges for internal document number assignment depending on the required fields. For example, if you want to define the number range depending on the sales organization (VKORG) or on the selling company (VKBUR), use this user exit.
    The user exit is called up in the FORM routine BELEG_SICHERN.
    USEREXIT_PRICING_PREPARE_TKOMK
    Use this user exit if you want to include and assign a value to an additional header field in the communication structure KOMK taken as a basis for pricing.
    USEREXIT_PRICING_PREPARE_TKOMP
    Use this user exit if you want to include or assign a value to an additional item field in the communication structure KOMP taken as a basis for pricing.
    USEREXIT_READ_DOCUMENT
    You use this user exit if further additional tables are to be read when importing TA01 or TA02.
    The user exit is called up at the end of the FORM routine BELEG_LESEN.
    USEREXIT_SAVE_DOCUMENT
    Use this user exit to fill user-specific statistics update tables.
    The user exit is called up by the FORM routine BELEG-SICHERN before the COMMIT command.
    Note
    If a standard field is changed, the field r185d-dataloss is set to X. The system queries this indicator at the beginning of the safety routine. This is why this indicator must also be set during the maintenance of user-specific tables that are also to be saved.
    USEREXIT_SAVE_DOCUMENT_PREPARE
    Use this user exit to make certain changes or checks immediately before saving a document. It is the last possibility for changing or checking a document before posting.
    The user exit is carried out at the beginning of the FORM routine BELEG_SICHERN.
    User exits in the program MV45AFZA
    USEREXIT_MOVE_FIELD_TO_KOMKD
    Use this user exit to include or assign values to additional header fields in the communication structure KOMKD taken as a basis for the material determination. This is described in detail in the section "New fields for material determination".
    USEREXIT_MOVE_FIELD_TO_KOMPD
    Use this user exit to include or assign values to additional item fields in the communication structure KOMPD taken as a basis for the material determination. This is described in detail in the section "New fields for material determination".
    USEREXIT_MOVE_FIELD_TO_KOMKG
    Use this user exit to include or assign values to additional fields in the communication structure KOMKG taken as a basis for material determination and material listing. This is described in detail in the section "New fields for listing/exclusion".
    USEREXIT_MOVE_FIELD_TO_KOMPG
    Use this user exit to include or assign values to additional fields in the communication structure KOMPG taken as a basis for material determination and material listung. This is described in detail in the section "New fields for listing/exclusion".
    USEREXIT_REFRESH_DOCUMENT
    With this user exit, you can reset certain customer-specific fields as soon as processing of a sales document is finished and before the following document is edited.
    For example, if the credit limit of the sold-to party is read during document processing, in each case it must be reset again before processing the next document so that the credit limit is not used for the sold-to party of the following document.
    The user exit is executed when a document is saved if you leave the processing of a document with F3 or F15.
    The user exit is called up at the end of the FORM routine BELEG_INITIALISIEREN.
    User-Exits in program MV45AFZB
    USEREXIT_CHECK_XVBAP_FOR_DELET
    In this user exit, you can enter additional data for deletion of an item. If the criteria are met, the item is not deleted (unlike in the standard system).
    USEREXIT_CHECK_XVBEP_FOR_DELET
    In this user exit, you can enter additional data for deletion of a schedule line. If the criteria are met, the schedule line is not deleted (unlike in the standard system).
    USEREXIT_CHECK_VBAK
    This user exit can be used to carry out additional checks (e.g. for completion) in the document header. The system could, for example, check whether certain shipping conditions are allowed for a particular customer group.
    USEREXIT_CHECK_VBAP
    This user exit can be used to carry out additional checks (e.g. for completion) at item level.
    USEREXIT_CHECK_VBKD
    The user exit can be used to carry out additional checks (e.g. for completion) on the business data in the order.
    USEREXIT_CHECK_VBEP
    This user exit can be use to carry out additional checks (e.g. for completion) on the schedule line. During BOM explosion, for example, you may want certain fields to be copied from the main item to the sub-items (as for billing block in the standard system).
    USEREXIT_CHECK_VBSN
    You can use this user exit to carry out additional checks (e.g. for completion) on the serial number.
    USEREXIT_CHECK_XVBSN_FOR_DELET In this user exit, you can enter additional criteria for deletion of the serial number. If the criteria are met, the serial number is not deleted (unlike in the standard system).
    USEREXIT_FILL_VBAP_FROM_HVBAP
    You can use this user exit to fill additional fields in the sub-item with data from the main item.
    USEREXIT_MOVE_FIELD_TO_TVCOM_H
    You can use this user exit to influence text determination for header texts. For example, you can include new fields for text determination or fill fields that already exist with a new value.
    USEREXIT_MOVE_FIELD_TO_TVCOM_I
    You can use this user exit to influence text determination for item texts. For example, you can include new fields for text determination or fill fields that already exist with a new value.
    User-Exits for product allocation:
    The following user exits all apply to structure COBL, in which the data for account determination is copied to item level.
    USEREXIT_MOVE_FIELD_TO_COBL
    Option to include new fields in structure COBL.
    USEREXIT_COBL_RECEIVE_VBAK
    Option to assign values from the document header to the new fields.
    USEREXIT_COBL_RECEIVE_VBAP
    Option to supply values from the item to the new fields.
    USEREXIT_COBL_SEND_ITEM
    A changed field can be copied from the structure into the item. You could use the user exit to display a certain field in the account assignment block (see also MV45AFZB).
    USEREXIT_COBL_SEND_HEADER
    A changed field can be copied from the structure to the header (see source text MV45AFZB)
    USEREXIT_SOURCE_DETERMINATION
    You can use this user exit to determine which plant will be used for the delivery. In the standard system, the delivering plant is copied from the customer master or the customer-material info record. If you want to use a different rule, then you must enter it in this user exit.
    USEREXIT_MOVE_FIELD_TO_ME_REQ
    With this user exit you can include additional fields for the following fields:
    EBAN (purchase requisition)
    EBKN (purchase requisition-account assignment)
    USEREXIT_GET_FIELD_FROM_SDCOM
    Option to include new fields for the variant configuration. Fields that are included in structure SDCOM can be processed and then returned to the order.
    USEREXIT_MOVE_WORKAREA_TO_SDWA
    You can use this user exit to format additional work areas for the variant configuration. You will find notes on the user exit in MV45AFZB.
    User-Exits for first data transfer:
    The following user exits can only be used for the first data transfer.
    Note
    Only use the user exits if the names/fields do NOT have the same name.
    USEREXIT_MOVE_FIELD_TO_VBAKKOM
    Option to include additional fields in structure VBAKKOM (communiction fields for maintaining the sales document header)
    USEREXIT_MOVE_FIELD_TO_VBAPKOM
    Option to include additional fields in structure VBAPKOM (communication fields for maintaining a sales item)
    USEREXIT_MOVE_FIELD_TO_VBEPKOM
    Option to include additional fields in structure VBEPKOM (communication fields for maintaining a sales document schedule line)
    USEREXIT_MOVE_FIELD_TO_VBSN
    You can use this user exit to include fields in structure VBSN (scheduling agreement-related change status).
    USEREXIT_MOVE_FIELD_TO_KOMKH
    You can use this user exit to include new fields for batch determination (document header).
    USEREXIT_MOVE_FIELD_TO_KOMPH
    You can use this user exit to include new fields for batch determination (document item).
    USEREXIT_CUST_MATERIAL_READ
    You can use this user exit to set another customer number in the customer material info record (e.g. with a customer hierarchy)
    USEREXIT_NEW_PRICING_VBAP
    Option for entry of preconditions for carrying out pricing again (e.g. changes made to a certain item field could be used as the precondition for pricing to be carried out again). Further information in MV45AFZB.
    USEREXIT_NEW_PRICING_VBKD
    Option for entry of preconditions for carrying out pricing again (e.g. changes to the customer group or price group could be set as the preconditions for the system to carry out pricing again). Further information in MV45AFZB.
    User-Exits in Program MV45AFZD
    USEREXIT_CONFIG_DATE_EXPLOSION
    The BOM is exploded in the order with the entry date. You can use this user exit to determine which data should be used to explode the BOM (explosion with required delivery date, for example).
    User exits in the program FV45EFZ1
    USEREXIT_CHANGE_SALES_ORDER
    In the standard SAP R/3 System, the quantity and confirmed date of the sales document schedule line is changed automatically if a purchase requisition is allocated, and it or the sales document is changed (for example, quantity, date).
    If you want to change this configuration in the standard system, you can define certain requirements in order to protect your sales orders from being changed automatically. Use this user exit for this purpose. Decide at this point whether the schedule lines are to be changed.
    User-Exits in Program RV45PFZA
    USEREXIT_SET_STATUS_VBUK
    In this user exit you can you can store a specification for the reserve fields in VBUK (header status). Reserve field UVK01 could, for example, be used for an additional order status (as for rejections status, etc.).
    The following workareas are available for this user exit:
    VBUK (header status)
    FXVBUP (item status)
    FXVBUV (Incompletion)
    USEREXIT_SET_STATUS_VBUP
    In this user exit you can you can store a specification for the reserve fields for VBUP (item status).
    The following workareas are available for this user exit:
    FXVBAP (Item data)
    FXVBAPF (Dynamic part of order item flow)
    FXVBUV (Incompletion)
    USEREXIT_STATUS_VBUK_INVOICE
    You can use this user exit to influence billing status at header level.
    User exits in the screens
    Additional header data is on screen SAPMV45A 0309, additional item data on screen SAPMV45A 0459. These screens contain the Include screens SAPMV45A 8309 or SAPMV45A 8459 as user exits.
    Fields which are also to be included in the sales document for a specific installation should be included on the Include screens for maintaining. If an application-specific check module is needed for the fields, this can be included in the Include MV45AIZZ. The module is called up in the processing logic of the Include screens.
    For field transports, you do not have to make changes or adjustments.
    Example
    A new field, VBAK-ZZKUN, should be included in table VBAK.
    If the check is defined via the Dictionary (fixed values or check table) the field must be included with the fullscreen editor in the Include screen SAPMV45A 8309. In this case, no change has to be made to the processing logic.
    User Exits in Program MV45AFZ4
    USEREXIT_MOVE_FIELD_TO_KOMK
    You can use this user exit to add or edit additional header fields in the communication structure - KOMK- for free goods determination. For more information, see the New Fields for Free Goods Determination IMG activity.
    USEREXIT_MOVE_FIELD_TO_KOMP
    You can use this user exit to add or edit additional item fields in the communication structure KOMP for free goods determination. For more information see the New Fields for Free Goods Determination IMG activity.
    User Exits in the SAPFV45PF0E and SAPFV45PF0C Programs
    EXIT_SAPFV45P_001
    You can use this user exit to decide whether intercompany billing data is used in the profitability segment for cross-company code sales, or whether the data comes from external billing (external customer, sales data from the selling company code.
    regards
    P.

  • Noted items in Two line items

    Hi All,
    Please help me in this. My client requirement is to post Noted items in two line items. As Debit and credit. How to configure this technic. Max points will be awarded for the solution.
    Thanks & Regards..
    Srikanth

    Hi,
    Noted items are special G/L transactions with informational character which only remind the user about due payments or payments to be made and are not displayed in the general ledger or added to it.
    Only one line item is updated if a noted item is created. No offsetting entry is made. That is why no zero balance check is made.
    There is no standard functionality in SAP to do so.
    Regards,
    Jigar

  • PDS has input component twice, hance PReqs have two line items.

    Hi,
    In a subcontracting scenario, we are using PDS at Vendor location with only one component. However, the PDS has two entries for the component. Hence, the PRqs created frpm the plant on vendor have two line items.
    What could be a cause (setting) for the PDS to be created like this?
    Regards,
    Shiva

    Hi Senthil,
    The BOM/ PRod Vers looks correct. In fact, the PDS is created correctly using CURTO_CREATE transaction in test system, and so are all orders correct.  But, as a standard, we are using CIF IMods only for PDS transfer.
    What is the difference between transferring PDS using CIF IMods and CURTO_CREATE?
    Regards,
    Shiva

Maybe you are looking for

  • Date wise invoice amount

    Dear all, I am in need of a report which will tell me what is the vendor invoice value posted for any particular date. I checked in MC$4 report where the invoice amount is shown cumulated for a particular month. - can i have a date wise details for a

  • My iPad is not able to connect to 3G network.

    Since last April, I am dealing with a connection problem. My3G connection falls away and I receive the message: No service. I did all kind of restores, soft ones and hard ones, by iTunes etc. but nothing helps. Sometimes it is back and then it is aga

  • What are supported device attributes on iOS during enrollment phase?

    I'm installing configuration profile using over-the-air (OTA) enrollment. What are supported device attributes on iOS during first phase payload? I'm sending sth like: <plist version="1.0">     <dict>         <key>PayloadContent</key>         <dict>

  • Cannot select ldap user profile for SGD Global Admin

    Hi all, I'm trying to select some ldap users to be in the SGD Global Administrators role, but I am unable to check the check box next to the user profile once I navigate to the account. There is no check box to check. I am actively using LDAP for reg

  • MacBook Pro not automatically recognizing external display

    I have an ACER 2216W LCD display connected to MacBook Pro with DVI cable. When I first plugged the ACER display into MacBook Pro, the ACER started right up -- nice plug and play. I disconnected DVI to bring MacBook Pro to school, and when I reconnect