Copy configuration between company codes tool

Hi,
I would like to know if we can copy configuration between company codes?  If yes, how do we do that?  I know there are some third party tools available, but couldnt recollect now.  Any guesses? 
Thanks,
Abdul

Since it are more than 200 customers, a manual operation isn't very efficient.
As I understand, no standard SAP programs exist to copy multiple customers from 1 company code to another. A new CATT will have to be created.
Does anyone have this kind of program, otherwise I will create it from scratch.
Thanks in advance.
Best regards,
Danny

Similar Messages

  • Netting process between company codes

    Hi Gurus,
    How do i configure a Netting process between company codes when they trade with each other.
    Please advise,
    Thanks,
    Temba

    Hello,
    You can post the cross company code postings even between two controlling areas. The system does not prevent to post documents between two company codes in two controlling area. Need not necessarily they should be under one operating concern. Provided you have to make sure that you have followed the following points:
    In OBY6 - To company codes must be assigned to same Company, meaning that you mus thave created a Company and that company must have been assigned to these two company codes.
    OBYA - You should maintain the clearing accounts in both the company codes. Meaning that you are posting one leg in one company code and the other leg in the other company. Therefore, it is required to have the missing legs in each company code.
    Company Code1 - Posting Key 40 - Clearing Account
    Company Code1 - Posting Key 50 - Clearing Account
    Company Code2 - Positng Key 40 - Clearing Account
    Company Code2 - Posting Key 50 - Clearing Account
    OB08 - In case if the two company codes have different local (company code) currencies, you may maintain the exchange rates.
    You can now go to F-02 and post a cross company code transaction giving the first leg in first company code and the second leg in second company code. Missing leg in the first company code will be posted to the GL Account mentioned in OBYA and the missing leg in the second company code will be posted to the GL Account mentioned in OBYA. That means you will have four line items overall.
    The system will post three document.
    Document 1 in First Company Code
    Document 2 in Second Company Code
    and
    Document3 - Cross Company Code Document.
    The cross company code document consists of the first company code document number plus company code plus last two digits of the fiscal year.
    Hope this must have clarified your doubts.
    Please let me know in case if you need further details.
    Thanks,
    Ravi

  • Stock transfer between company codes

    Dear Experts,
    I am doing stock transfer between two different company codes.  Purchasing order type wil be NB & SD delivery type will be : NLCC
    i have done  all w.r.t configuration requirement for between company code, when i go for ME21N, unable to  get purchasing order type NB but its showing only UB & item category U.  systme giving message like : item category U & pur order type is UB would like to proceed. But it would be for between plants within same company code.
    Please assist me where i am doing wrong...
    Best Regards
    Badari
    Edited by: badaripro on Feb 23, 2010 7:15 PM
    Edited by: badaripro on Feb 23, 2010 7:15 PM

    Dear Badari,
    I don't understand. Do you say that you just start ME21N and can only choose order type UB there? In this case it has nothing to do with the question if the STO is cross-company or not, since the system doesn't know the plants yet.
    I would assume somebody just deleted the document type NB in your customising or you are not authorised to use it - please start ME21N again, observe the error (can't choose NB), leave the trs and run trs SU53 to check your authorisations.
    BR
    Raf

  • Posting a document between company codes

    Hi Everyone,
    Let me know how can I do the below process
    We are implementation SAP for a group of company codes. And these company codes have loans operation between them.
    How can I do this posting between company codes? Is it possible?
    Let me know,
    Thanks
    Moderator: Please, specify your question. If you just looking info for cross-company posting - read help.sap.com

    Hi Daniel,
    Inter company postings configuration is done in OBYA or FBKP  under company code clearing.
    As you have done configuration in FBKP, but entries are not getting posted.
    From your query it is known that your Operative Chart of account is ' PC01'
    It is better to create GL Accounts for each company code centrally in FS00
    For example: You have three Company codes  ABC, PQR, XYZ
    Create three GL accounts - as Balance sheet accounts
    1. 200001  Inter company Account - ABC
    2. 200002  Inter company Account - PQR
    3. 200003  Inter company Account - XYZ
    In OBYA give -   Company Code 1  ABC
                               Company Code 2  PQR
    In company code 1
    Posted in  ABC
    Cleared against   PQR
    for PK 40  Account   200002              for PK 50 Account  200002
    Company code 2
    Posted in PQR
    Cleared against ABC
    for PK 40  Account   200001           for PK 50  Account  200001
    for other Company codes also follow the respective  settings.
    Try with the above configuration, hope your issue will be solved.
    With Regards

  • Stock Transfer Order between company code

    What is the system setting for the STO between company codes.

    Steps to make STO between two plants (Different company codes).
    1) Create one Customer Master in XD01 with respect to Supplying Plant Sales Area and assign this Customer no with Receiving Plant in OLME->PO-> set up STO->Define shipping data for plant and for the supplying Plant assign the above sales area. (Make sure, In Customer Master, sales Area Tab: you are maintaining shipping condition)
    2) For Receiving Plant Pur. Org and Co.Code Combination create Vendor master in XK01 and in this vendor master assign the Supplying plant in Pur.Org.Data screen->Extras--> Add.Pur.data
    3) OLME->PO-> Set up STO------> for your supplying plant assign document type NB, Delivery type NLCC and Checking Rule RP
    4) Then for your supplying Plant and receiving Plant assign Document type NB
    5) Make sure you are maintaining Sales View for the material at supplying Plant and in Sales /Gen plant Data view maintain Availability check, Loading group and Transportation group.
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    These are the configuration settings you have to do in background.
    Then Create STO from Receiving Plant in ME21N with document type NB.
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    Do PGI in VL02N from Supplying plant
    Do GR in MIGO at Receiving Plant keeping outbound delivery as a ref. document.
    Sheetal

  • Where can I find the relation between company code and plant?

    where can I find the relation between company code and plant?
    I need to the list of plants under a company code.
    Which table?

    yes,wayne weng   .What you said is right.
    Thank you very much!
    My MSN:[email protected]

  • Clearing between company codes

    Hi Experts,
    I have done necessary settings for cross company code clearing.
    I got the following error message while clearing the open items between company codes.
    Error Message:
    Company codes have different settings for withholding tax treatment.
    Message no. F5786
    Please help me to solve this issue.
    Thanks

    Hi,
    I think you have entered a document containing at least one vendor or customer item and which has line items in several company codes.
    The extended withholding tax treatment has been set to active in one company code and not in other company code. That is EWT has been activated in one company code and the same has not been activated in other company code. We need to activate EWT in other cross company code.
    Path to activate / deactivate EWT:
    IMG / FA/Financial  Accounting Global Settings / Withholding Tax /  Extended Withholding   Tax / Calculation / India / Company   Code/Activate  Extended Withholding Tax
    Here select the check box u201CEWTu201D against your company code and save it.
    Hope it helps.
    Regards,
    Kannusamy S

  • PGI-No Accounts maintained for company code clearing between company codes

    Dear Expetrs,
    When i am doing PGI getting error that is no accts maintained for company code clearing between 0010 to 0035. This is intercompany process. In our intercompany company codes is 0010 and 0020. So we maintained already clearing acconuts between 0010 and 0020 in OBYA. But when am doing post goods issue... getting error no accts maintained between 0010 to 0035. Actually here supposed to take clearing accts between 0010 to 0020. I couldnt understand why its taking 0010 to 0035. Could you please suggest me where i did mistake, Please suggest me ASAP.
    Tanks & Regards,
    VS

    Dear Lakshmipathi,
    Here am pasted the OBYA Screen...whatever i maintain pls check and suggest me. i am suspecting on Debit posting kes and credit posting keys maintain as 01 and 31 is corect.
    Transaction          BUV   Clearing between company codes                                                                               
    Posted in             0016                                                      
    Cleared against       0013                                                                               
    Debit posting key    01                  Credit posting key   31               
      Account debit        7790000013          Account credit       7720000013                                                                               
    Posted in             0013                                                      
    Cleared against       0016                                                                               
    Debit posting key    01                  Credit posting key   31               
      Account debit        7790000016          Account credit       7720000016       
    Thanks & Regards,
    Vasu

  • STO WITH OUT BILLING BETWEEN COMPANY CODES

    Hai experts,
       In my client , thy use following procedure for STO with out billing between company codes .
    First create purchase order in receving plant after that they sales order in supply plant by using purchase order ,manually.Here the end user change the qty and other details.So the client wants that , I want create sales order with respect to purchase order.
    give me suggestion

    7679,
    Your proposed solution sounds like a lot of unnecessary work.  A simple STO can usually meet all business requriements for either intra- or inter-company stock transfers, without adding the complexity of a sales doc.
    Why can't you use a standard 'U' Stock Transport order?
    Best Regards,
    DB49

  • STO between company codes

    Dear Expert,
    in my business transaction, sto transfer between company codes for Raw Materials.
    for that i want to activate the sales view tab in material master? without sales view tab can i do stock transfer between company codes. because the shipping data (Loading Group) available in sales view tab only.
    four steps is there.
    1) Purchase order creation (MM)
    2) delivery creation (SD)
    3) Invoice creation (SD)
    4) Goods Receipt (MM)
    Thanks for Advance

    Hello,
    In Inter Company Invoice (Invoice from Supplying Company Code to Ordering Company Code) SAP has given two conditions for Intercompany Price:
    1. IV01 - Quantity Based
    2. IV02 - Percentage Based
    You will have to insert either of the above Conditions Types in your Pricing Procedure (with Requirement - 22) & maintain the condition records.
    Subsequently when you create Intercompany Invoice, the above Condition will determine the Intercompany Price.
    Hope this helps,
    Thanks,
    Jignesh Mehta

  • Functionality required to transfer an employee between company codes

    Hi all,
    I am new to HCM SAP.
    I have to transfer employee between company codes.
    What need to be done for the process of moving employees between company codes on SAP and what part of process can be automated?
    Please give an immediate reply.
    Thanks in advance,
    Usha

    Hi Usha,
    Sorry for delay.
    you can goto SPRO> Enterprise Structure> Assignment> Human Resources Management> Assignment of Personnel Area to Company Code for assigning personal area to company code.
    then you can goto the t-code PP02, Where Object as 'S' then position number then Infotype should be 1001 then Subtype is A011(for mastercost center) then create a realtionship with valid date intervels. After that you can run the action to update the cost center in IT0001. {Where Master cost center and company code assignment can be done by  FICO people.}. 
    I think i had answered your Query.
    Reward me if helps.
    Thanks,
    Vasu.

  • TDMS copy based on Company Code and time based reduction.

    I'm struggling to understand the process of this scenario.
    I created a new client in the target system (using local client copy with SAP_UCSV).
    I configured a time based and company code based reduction.
    After the TDMS copy is complete, I check the target system and still find plenty of data that isn't related to the company codes I selected. It appears that it still copies part of the excluded data. For example: I can still find work orders and sales orders for company codes that I specifically didn't select for the copy process.
    Any idea why this is? It appears that the copy doesn't bring across ALL of the excluded data. Just some.
    I double checked and triple checked my TDMS selection for company code based reduction and I can't find any error in there.
    To be more specific: I selected company code A01 A02 A03 and left B01 B02 B03 out. After the copy there are still orders visible in the target system with company code B01 B02 B03.
    This is after I created an empty target client first so it's not copying into an already existing client.
    Thanks for any guidance guys.

    Hm, not sure what's going on. There is no clear link between those existing orders and the company codes I initially selected. Then again it only seems to have a "high level" record of the data. As soon as one starts to drill down, the data is missing as expected. Same goes for other areas as well.
    Looks like we can live with that for now so I won't lose any sleep over it anymore.

  • Can you  tell me  relationship between company code and shipping document

    how to make the relationship between shipping document with company code .
    i have selection criteria which having company code and shipping no.
    but i am not able to make relationship, so please find and tell me the relationship table structure
    Regards,
    Siva

    Hi Siva,
    Read table TVKO to get the sales organizations (field VKORG) for the company code (BUKRS). This query might result into multiple VKORG entries.
    Read deliveries (LIKP) with VKORG as input to get all deliveries for the sales organziation.
    Regards,
    Frank Umans

  • Transport order between company codes

    Hi,
    I have the following question:
    We are setting up the system where transport orders are being used between two company codes.
    Is it possible when transport orders are being used and stock is available in the supplying company to not accept the transport order from the requiring company? So that the order is NOT automatically accepted and processed. This because stock must be available for other purposes for example?
    I hope you can help me with this.
    Kind regards

    The invoice has the material costs at time of goods issue.
    You receipt is valuated to PO price. But when you post the invoice, then the MAP is adjusted,
    By setting up EDI, SAP will probably post the invoice before the goods receipt is done, hence the GR should be valuated with the invoice price.
    from Note 518368 - FAQ: Valuation for the purchase order;
    With which price is the goods receipt posted for a purchase order?
    Answer:
    If the goods receipt is executed before the invoice receipt, the goods movement is valuated with the purchase order price. If an invoice is already posted, the system uses the price of the invoice. If a partial invoice is received, the partial quantity corresponding to the invoice is valuated with the invoice price, the rest is valuated with the purchase order price.
    For more detailed information, refer to both the documentation of the material valuation and Note 380883.
    see as well Note 547570 - FAQ: VPRS in pricing

  • ALE configuration, Assign Company Code to Cross-System Company

    Hello all,
    I set up and configured ALE so that we can keep our production, QA, development master data in sync.  I activated the change pointers for the particular message type for which we want to create IDOCs when new master data is created, or existing master data is changed.  IDOCs are then sent to the QA and development systems.
    Are these three ALE configurations associated with anything outside of ALE?  Is there any area that can or will be affected by these three configuration settings?
    Transaction <b>SALE</b>
    <b>Cross-System Company Codes</b>
         - all Company codes in our system
    <b>Assign Cross-System Company Code to Chart of Accounts</b>
         - all Company codes are associated with the one chart of accounts
    <b>Assign Company Code to Cross-System Company</b>
    -     global company code is the same as the company code
    Thanks
    Bruce

    In T.Code: OX19 - Assign company code to controlling area
    Please check that if for ur Controlling Area, the
    Currency Type:
    Currency:
    Currency Type
    10     Company code currency
    20     Controlling area currency
    30     Group currency
    40     Hard currency
    50     Index-based currency
    60     Global company currency
    Currency
    required code of Currency
    Should/Are properly maintained in OX19.
    This type of error will be for this stage itself.
    Provide points if satisfied
    Regards
    Dinakar
    SAP will be throwing this type of messages when
    Differing currencies: USD - CAD
    Message no. KT276
    Diagnosis
    The system makes consistency checks during assignment of a company code to a controlling area as part of assignment control.
    The same checks take place if assignments already exist and you change the basic data in the controlling area, or if you define the controlling area and company code as a 1:1 structure.
    If the check finds an error, the system cannot execute the function ("Assign" or"Change basic data"). If you do not maintain the required data for the consistency check (such as currency, chart of accounts, or fiscal year variant in the company code), this also results in an error message.
    You want to use currency type USD. The SAP System determined the company codes assigned to controlling area CAD and the relevant currencies. One discrepancy occurred in one of the currencies.
    Note
    A precondition for currency type "10" is that all company codes assigned to the controlling area must use the same currency.
    A precondition for currency types "40" and "50" is that all company codes assigned to the controlling area must belong to the same country or use the same hard currency or index-based currency.
    A precondition for currency type "60" is that all company codes must belong to the same company or all the companies must use the same currency.
    Procedure
    Change the currency type or the currency settings.

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