Cross Company Code Revenue Booking

Hi Experts,
My scenario is as follows
A customer buys a product from one company code and installation and service from another company code, but only receives one invoice for the product and installation from the first company code. The first company code sends and posts the invoice, while the second company code withdraws part of the revenue from the first company code.
How we can sets up this case in system through VKOA and to post the accounting document.
Please give me the process from initial booking of revenue to the payment with customizing steps and along with transactions.

Hi,
No there is no inventory update in company code 2 because it is just providing the services and the same is billed to the client by company code 1.
How to dealt with this.

Similar Messages

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    Regards
    Suresh

    Hi
    Assign the payment terms in Purchase Organisation level in Vendor Master Record.
    Regards
    Shammi

  • Cross company code transaction in cash journal

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    Guru

    Hi Guys,
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    Edited by: Karol on Feb 15, 2010 11:34 PM
    Edited by: Karol on Feb 16, 2010 9:42 AM

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  • Posting using cross company code transaction must be blocked

    Hello Guys,
    I have a  problem related to cross company code transaction.
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    Hello, I´ve checked the log and no changes since 2008.
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    Rafael

  • Cross company code Stock transfer - Special procurement Key

    Hi,
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  • Transfer posting of tax in a cross company code transaction thru' RFBUST10

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  • F-02 Docment posted for cross company code TAX

    Dear Experts ,
    Can you please explain me ,
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    Bhaskar

    Thanks

  • CO-PA issue in Thirds Party Sales & Cross Company Code Sales

    Hi,
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    Have you considered using this user-exit?
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  • How to configure Funds Transfers, Cross Company Code Vendor Payments, Bill

    Hi All,
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    Regards
    Chandra

    Hi Chandra,
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    Account Debit : Account Number (The account can be a G/L account, a customer account or a vendor account)
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    Do not forget to award the points please.
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  • Add freight cost in a cross company code scenario using a costing sheet

    Dear Forum,
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    Best regards,
    Kim Hjorth Poulsen

    Hi Srinu,
    Thank You for a prompt feedback.
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    Best regards,
    Kim

  • Automatically clear the open items for a GL account cross company codes

    Hi FICO experts,
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    Hello Adele Wang,
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    Rgds
    manish
    Clearing can then also be carried out if the account to be cleared has not been created in company code 0001. As long as no items have to be posted to this account in company code 0001, it is not necessary to create a master record for the account in company code 0001.
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  • BAPI_ACC_DOCUMENT_POST- Cross Company-Code Posting problem

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