Consingment stock

Hello all,
I would like to know what the use of consignment stock is and also would like to know the special stock indicator “k” in the put away strategy and how does it influence the put away process.
Thanks,
Maxx

Consignment Stock Processing
Purpose
Consignment goods are goods which are stored at the customer location but which are owned by the company. The customer is not obliged to pay for these goods until they remove them from consignment stock. Otherwise, the customer can usually return consignment goods that are not required.
Consignment Fill-Up: Consignment fill-up replenishes the stock at the customer site. Since the goods remain the property of the company, this process is not relevant for pricing and consequently not for invoicing either.
Create a sales order using order type KB.
Enter the required data on the customer, the consignment goods and the delivering plant.
Enter all other relevant data and save the order.
Create a delivery as the subsequent document for this sales order and, after picking has been completed successfully, post goods issue.
The underlying goods movement type is a stock transfer. This ensures that when goods issue is posted, consignment special stock is created for the customer concerned. If special stock of this kind already exists in the delivering plant for this customer, the goods are posted to this special stock.
Order type: KB (document category C: sales order)
Std. Delivery type: LF
Item category: KBN (not relevant for pricing and billing)
Schedule line category: E1 (relevant for deliveries, uses availability check, 631 (GI consignment: lending) to post the stock into a special consignment category in the delivering plants stock for that particular customer and material)
Copy control rules for the sales doc, item category, and schedule line category.
Use trans MB58 or MMBE to check the stock.
In this case, Accounting document is required to be generated only for taxes, as the stock is still the ownership of the company. In the pricing procedure all condition type except for Taxes should be statistical.
Consignment Issue: The Consignment issue enables the customer to withdraw consignment goods from the special stock that are to be used or sold.
Create a sales order using order type KE.
Enter the required data for the customer, the consignment goods and the plant to which the goods are to be returned.
Enter all other relevant data and save the order.
Create a delivery as the subsequent document for this sales order and, after picking has been completed successfully, post goods issue.
The goods are then reduced by the relevant quantity in the special stock assigned to the customer. This goods issue also reduces your total stock.
Invoice the delivery which issues the consignment goods.
Order type: KE (document category C: sales order)
Std. Delivery type: LF
Invoice: F2
Item category: KEN (relevant for pricing and deliver related billing, special stock indicator W, should determine cost too)
Schedule line category: C1 (relevant for deliveries, uses availability check, 633 (GI issue: customer consignment)
In this case, Accounting document is required to be generated only for most of the condition type, as it is being invoiced to end customer.
Consignment returns: proceed as follows: Consignment returns enable your customer to return goods to the consignment stock that has already been issued from it.
Create a sales order using sales order type CR.
Enter the required data on the customer and the consignment goods.
Enter all other relevant data and save the order.
Create a returns delivery for the sales order (the system automatically chooses delivery type LR). The goods issue posting cancels the goods issue posting which was carried out when the consignment goods were issued. This posting records the return of the goods to the plant where goods receipt was carried out.
Create a credit memo for the consignment return you created in Step 1.
Order type: KR (document category H: returns)
Delivery type: LR
Credit for Returns Order type: RE (delivery or order related billing)
Item category: KRN (relevant for pricing and deliver related billing, special stock indicator W
Schedule line category: D0 (relevant for deliveries, no availability check, 634
In this case, Accounting document is required to be generated only for most of the condition type, as it is being returned by the customer & invoicing already done to customer..
Consignment Pick-Up: The company uses consignment pick-up to take back consignment goods that are faulty or excess materials that the customer does not need. This process is not relevant for billing since the goods remain the property of the company.
It may be beneficial to have a mandatory reference such as the consignment fill-up. In addition to it copy control rules can be used to further control it. In the copy control rules indicate the document flow. As the stock is coming back into the warehouse or plant, you can specify a returns shipping point to be automatically determined. No invoice is necessary, as the goods are not changing ownership.
Create a sales order using order type KA.
Enter the required data for the customer, the consignment goods and the plant to which the goods are to be returned.
Enter all other relevant data and save the order.
Create a returns delivery for the sales order (the system automatically chooses delivery type LR). The transaction is completed by the goods issue posting which initiates a transfer posting from the customer's special stock to your plant stock.
Order type: KA (document category C: sales order)
Delivery type: LR
No invoice
Item category: KAN
Schedule line category: F1 (relevant for deliveries, availability check against the stock on the customer’s consignment, 632 (Consignment pickup)
In this case, Accounting document is required to be generated only for taxes, as the stock is still the ownership of the company. In the pricing procedure all condition type except for Taxes should be statistical, as the stock is being returned from consignment site to plant.
Regards,
Rajesh Banka
Reward points if helpful.

Similar Messages

  • Consingment stock report with values and periods..

    hello guys,
    i have an issue here.. consignmet stock are "managed" within SD. Is there a standard report which cointains info about consigment stock, its amounts (values) and periods ?
    Main point here - consingment stock is processed within SD, so for example t.code MB54 is not useful here .
    Thanks guys !
    Best regards,
    Laimonas

    Hi......MB54 wont help since that shows the Vendor consignment stocks.
    Use MB52 creatively like this.
    Goto MB52
    Put your plant name.
    In the section 'Selection : Special stock', Mark the check box and put 'W' in Special Stock indicator.
    Choose the other settings as per your choice.
    Execute.
    Now you will see a whole lot of stocks along wioth the Consignment stocks. If you only want to see the consignment stocks, do like this
    In the list, put you cursor on the column 'S' which is special stock (i think the 4th colm in the list). Now choose the filter icon and put the filter criteria a 'W' i.e. customer consignment stock.
    You can save this is a variant with a name, say /ZCONS.
    Now come back to the initial MB52 screen. In the bottom section for display options, put this variant name in the field Layout.
    So now when you next run the report with this variant, you will only get the customer consignment stocks with their values.
    Hope this helps.

  • Consingement Stock during the availibility check

    Dear All ,
    During the availibility check I want to consider  the customer consingment  .
    E.G   if the plant level stock is 300 and customer consingement  stock is 30  then the ATP quantity should be 330 wen i am performing the Availibility check ...
    Pls help me in this regard
    Thanks in advance
    Regards
    Satish

    hi,
    you cannot take into consideration the stock available at consignee for availability check. the consignment stock is treated as special stock unlike unrestricted.
    For transactions such as make-to-order production, consignment or returnable packaging processing that create special stock, the availability check is performed against special stock.
    The following elements can be included in the availability check:
    Stock
    safety stock
    stock in transfer
    quality inspection
    blocked stock
    regards
    sadhu kishore

  • Negative stock caused by vl06g for consingment stock W

    Hi Gurus,
    We are facing following problem in our company.
    When we post collectively goods issues for consignment stock (W) for previous period thorugh transaction VL06G, system lets negative stock while it shouldn't.
    When we post GI for current period everything works fine - system doesn't let us proceed GI if we don't have enough stock.
    Below listed our settings:
    1. we didn't allow negative stock in valuation area- OMJ1,
    2. availability check of item category KAN (consingment pick-up) is on,
    3. in material master- in "Sales/General:Plant" View, negative stock is not ticked.
    Thank you

    Hi,
    As Jürgen said price can't be negative. You need to correct MAP first before posting the invoice. Try running consistency check (Tcode: MB5K) you might know the reason why system is showing -ve moving average price and then you can correct.
    Regards,
    Rakesh

  • Consingement stock consumption

    Dear All ,
    FOllowing is the scenario i need to map in SAP :-
    Company XYZ is  giving a stock on the consingement basis to a  customer ABC.Now please tell me how can the customer will  take inward of this stock and further  distribute it on the consingement basis to his customers .
    Comany XYZ and the cutomer ABC belong to two differnent company codes
    thanks in advance
    Regards
    satish

    Any Answers pls

  • Consingment stock report with values

    Hello guys,
    I need one standard report, which includes amounts (values in money) of consignment stock. Could you please help ?
    Thanks guys !
    Best regards,
    Laimonas

    Hi,
    In the transection code MB52 select the Special Stock Indicator W in the selection screen and run the report.
    Regards,
    Manish

  • PRs generated every day for consignment stock

    Hi all,
    we have schedualiing agreemet in place for some of our consingment stock but we are fadng issue that every day system generates PR for some of those materials for no reason.Ithese materials are MRP relevant.
    any suggestion.
    thanks

    If scheduling agreements have been set up for the consignment materials, the schedule lines should have been created instead of PRs.
    Do check your source list for the affected materials; ensure that the scheduling document and line items are entered. Also ensure that '2' is entered under the MRP relevancy field.
    Other things you can check include the validity date of the source list.
    Hope this helps.

  • Vendor Consingment

    Dear All,
    Can any one tell me how to make a consingment fill up  to customer ,from the vendor consingment  stock ( indicator K).
    Regards
    Satish

    Dear Satish
    Consignment in SD and MM side is different, can you be more specific what exactly you are looking for
    SD process
    http://help.sap.com/saphelp_47x200/helpdata/en/dd/55ffe4545a11d1a7020000e829fd11/frameset.htm
    In SD K ig given by system in VOV6, you can refer the schedule line category for consignment fillup, pickup, issue and returns, 631-634 movement type.
    So you can view the stock in MMBE as consignment.
    Regards
    Jitesh

  • Customer consignment stock ason date

    Dear All,
    Can anyone suggest me on how to find out the backdated customer consignmnet stock.
    I am geting this stock from table MSKUH but being history table i dont want to use it.
    Is there any otherway how I can find out the customer consignment stock .

    Dear Donsandy
    Check this thread where myself and the other friend have proposed suggestions to similar requirement.
    [consingment stock report with values and periods.|Re: consingment stock report with values and periods..]
    thanks
    G. Lakshmipathi

  • EU Consignment issue - Tax determination during billing

    Hi Experts,
    We have a consignment setup with a customer in DE and the delivery plant is located in NL.
    During customer billing the system determines the delivering plant country as the departure country for taxes. So whilst the consingment stock is located in DE in the customer consignmnet warehouse, SAP determines the taxes as if the country is NL and applying the export taxes.
    We want to apply the domestic VAT of DE, as the stock is already available in the country DE. How can we modify the system to determine the departure country as DE (customer consignment warehouse) instead of delivery plant (NL).
    We don't have plants abroad configured in our system.
    Regards,
    Rama

    Hi,
    The goods issue sets up a special stock at the customer's.The stock is physically availlabe at customer site. However, the goods remain in the valuated stocks of the delivering plant. This transaction isn't billed because the consignment stock remains the property of your company.
              When goods are issued, both the customer special stock and the stock in the delivering plant are reduced. This transaction is relevant for billing. In the billing dep country (country of your plant) and dst country copied from consignment fill up.Which is NL---DE.
    Solution---Manually you can change dept country as DE in consignment fill up.Actually not true.
    Suggestion:But the above solution could lead to discrepency in the vat report.
    Regards,
    Sumit

  • Reporting in MM

    please help me with steps to create a Z screen for ME2L for consingment stock?

    Use Standard Report MB54 on Consignment Stocks

  • Subcontructing

    is it possible to transfer consingment stock to sub con directly with setting of automatic stock determination?

    Hi,
    First make TP of Consigment to own Stock. then only a acct document generates. and you settle the cost via MRKO.
    Now, Subcontractor stock is also company stock there is no acct document generated only location is changed for the stock.
    then it is only possible to TP to subcontractor from own stock only from unrestricted.
    Regards,
    pardeep malik

  • Consignment Sales - Problem : Dual Ex. Duty Paid, but recovered only once

    Dear Experts,
    We are working on Consignment Sales configuration.
    we have done all configuration as per standard practice and observing correct postings.
    Post Goods Issue, we normally have two seperate postings :
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                                Ex. Duty Paid Dr
                                Ex. Duty Payable Cr                                                                               
    Set 2 :
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                                E. Duty Recovered Cr
                                Sales A/c Cr
    We are using same pricing procedure as that of regular Sales.
    But in trials, we are observing that the Excise Duty Paid  / Payable is getting posted twice, but is recovered only once.
    how do we investigate & correct the error of this dual posting of Ex Duty Paid / Payable. If new pricing procedure is to adopted, what should the change in it?
    pleae help and Yes, wish you all a very happy diwali.
    Experts, please help.
    Edited by: Hussein  Merchant on Oct 20, 2009 6:51 AM

    Hi,
    As per stand.SAP consingment is divided in to four types i.e CF, CI, CR, & CP.
    When you are snding goods to your consingment stock which is in costumer premices, you have to pay Excise duty while moving the goods from yuor manufacturing plant.
    so at that time only you have to pay Excise duty. i.e at the time of consingment fill up only.
    At the time of consingment issue , your actual sales happend means your actual stock will decrease & sales happend.
    See first you have to check from your business that your consingment fill up  price & consingment issue price is same or differnt.
    for example if you are removing goods from your manufacturing plant at price Rs.100/- that time you have to pay Excise duty Rs. 14/- only.
    At the time of Consingment issue if you are saling the same goods may be at the price of Rs. 150 then you have to pay excise only for Rs.50 only . In most of the cases both CF & CI prices are same so you have to create two pricing procedure in which at the time of CF only excise will get calculated & postings will be happend. At the time of CI no excise will get posted only it will show or get printed on invoice , no postings will be hapend. You can do this by making changes at condition type level.
    Please feel free to contact me if still you have any doubt.
    Thanks
    Devdatta.

  • Two consignment vendors during stock determination

    Hi all.
    Under customizing related to stock determination I included to have prirority own stock over consignment (for both MM and WM).
    My question is how is the stock determination performed in consigment when there is stock of two different vendors for the same part?
    I read in Help-SAP that stock determination is applied first in MM and then the system forwards this data to WM (WM stock determination int his case is not possible). There is no sort for prices, nor quantity.
    In my particular case, I have two steps for production process (REM); in this case no own stocks exists but consingment for two vendors:
    1. In MF60 (movment 319) TRs are created (and then TOs) to move materials into 100 storage type. When 2 different vendors are managed I thought that the system would transfer the older quant but when both stocks are in the same storage bin with the same GR date I don´t understand exactly the stock determination made.
    2. MFBF is performed to consume all components (movement 261K); here stock determination is executed again first in MM but I don´t know exactly how the system chooses the vendor
    Could it be the criteria different in the first step rather than the second one, so I move physically stock from one vendor but informatically consumed the other one? is there a way to avoid this?
    Any clarification will be wellcomed!!!

    1) Please read OSS note 365570.
    For instance:
    - WM dominates
    Warehouse Management System WMS picks the necessary quantities independently of the stock category of the materials and only takes the picking strategy into account that is defined in the WMS here (for example, FIFO).
    2)
    In the stock determination header table you define the priorities of:
    - item table (V_T434K-RAPOS)
    - price (V_T434K-RAVAL)
    - quantity (V_T434K-RAQUA)
    Based on these priorities the system will determine a number for each relevant stock item and then sort the internal table (check include: LMDBFFS0).
    Additionally you can use user exit EXIT_SAPLMDBF_002 (XMBF0001) to influence the sort sequence.
    So, the vendor id itself has no importence in standrard system from stock determination point of view.
    Edited by: Csaba Szommer on May 10, 2011 2:44 PM

  • Return Consignment Stock

    Dear Gurus,
    Can anyone explain me the stock status after the Consignment Return happens. For example : Company A is doing the Consignment Fill up  of 100 nos to Customer B and Consingment Issue happend for 50 nos where as Customer B returned 10 nos as damaged. Now can anyone tell me how the stock status will be and also how the company will know the stock is damaged in case they want to raise delivery immediately for the same customer.
    Regds
    Jeevagan

    Consignment fillup happens for 100 nos. which means, still it is treated as a special stock under the companyA.
    Through consignment issue, commercial sale was made for 50 nos to CustomerB, which means, now the special stock available is 50 nos.
    CustomerB returned 10 nos. which means, you are taking back the 10 nos. to your parent plant and the available stock with the customer is 40 nos.
    how the company will know the stock is damaged
    Against the consignment return, you have to do a return delivery by which, the stock should be posted to QI for inspection.  Based on their indication, delivering plant will act accordingly.
    thanks
    G.Lakshmipathi
    ps:- So far you have posted 11 questions out of which, 9 are still open and invariably, in many threads, once you post the question, you have not updated further.  Please develop the habit of updating the forum as to which suggestion helped you or you need still further clarification.  By this way, you can show you respect the forum members time.

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