Cross company sales / Inter company sales ( STO ) in Is- retail

Hi All,
I need your help in understanding how sales occur between two different company codes in Is-retail. As far as retail is concern the sales doc OR is created automatically based on the POS inbound data. Please provide me input to understand how this STO works in Is-retail and what are processes and configuration required.
Thank you so much for your time.
Regards,
Pratap

Hi Pratap,
Generally sales between two company Codes will not happen by POS. It will happen in SAP only as Normal STO with Intercompany Billing and Delivery.
Please see the following Link for  Configure Intercompany Stock Transport Order.
http://www.sap-img.com/sap-sd/configure-intercompany-stock-transport-order.htm
Regards,
Selvakumar.M

Similar Messages

  • Inter-Company Sales v/s Inter-Company Stock Transfer v/s Third Party Sales

    Hi, I understand the basic business processes between Inter-Company Sales, Inter-Company Stock Transfer and Third Party Sales.
    The Inter-Company Sales is sales process between two companies having different company codes. A customer orders an item to Company A which can't be delivered by Company A, so Company A generates PO to Company B which supplies the item to Company A and finally Company A delivers it to Customer.
    The Inter-Company Stock Transfer is stock transfer from one plant to another where the plants belong to two different company codes. Now all Inter-Company Sales process covers Inter-Company Stock Transfer process.
    Third Party Sales process is process where a customer orders an item to Company A but Company A ca't deliver the item to the customer. So Company A generates a PO to Company B which in turn directly delivers the item to customer. After the goods receipt verification at customer end Company A pays to Company B.
    Now looking at the these basic process steps I just want to know what is the basic difference between Inter-Company Sales and Inter-Company Stock Transfer ? Is this something that when there is a need to deliver an item to the customer and not available in that company, the Inter-Company Sales takes place but when there is no customer order but the companies want to maintain stock, the Inter-Company Stock Transfer takes place ? Please clarify based on my above understanding.

    Hi
    I will explain you with example
    Say there are 2 org structures
    Company code 1000 sales org 1000 and DC 10 and division is 00 and plant 1000
    Company code 2000 sales org 2000 and DC 20 and division is 00 and plant 2000
    Now A customer Say X lies in sales area 1000,10,00 and a sales order is created for a material ABCD for this customer X in sales  area 1000,10,00
    Now if the plant 2000 supplies this material ABCD for this order to the customer X in sales area 1000,10,00 then it is intercompany sales
    IF  the plant  2000 transfers the stock to plant 1000 ands (then if the plant 1000 supplies to this sales order for customer X) then it is intercompany STO
    If the material is supplied from a external vendor directly to the customer X without involving your plants then it is third party sales
    Now all Inter-Company Sales process covers Inter-Company Stock Transfer process
    No not at all
    Both are entirely different
    Inter-Company Stock Transfer process doesnot involve Inter-Company sales
    Similarly Inter-Company sales  does not involve Inter-Company Stock Transfer process both are different
    Third party means it is an external vendor not your other company code
    All three are different
    If a plant  belonging to one company code directly makes a delivery for a customer to the sales order created in another company code then it is intercompany sales
    the movement of stocks between plants of 2 different company codes is inter company STO
    Regards
    Raja

  • Inter company transaction between USA1 & USA2

    Hi,
    I want to create Inter company transactions between USA1 & USA2 company codes.
    Will you pls tell me where is this configuration has to set up.what is the procedure...
    Company code USA1 has a customer #42209 for USA2 company.
    Company code USA2 has a vendor #102972 for USA1 company.
    Thanks
    Rafi

    Hi
    Please go through the below documents:
    Cross-Company/Inter-company transactions
    Inter Company Reconciliation in ECC Versions
    Regards
    Sowmya

  • Inter company transaction between USA1 & USA2 company codes

    Hi,
    I want to create Inter company transactions between USA1 & USA2 company codes.
    Will you pls tell me where is this configuration has to set up.what is the procedure...
    Company code USA1 has a customer #42209 with trading partner USA2 & the vendor name is XYZ Holding  for USA2 company.
    Company code USA2 has a vendor #102972 with trading partner USA1 & the vendor name is ABC Industries, Inc. for USA1 company.
    Thanks
    Rafi

    Hi
    Please go through the below documents:
    Cross-Company/Inter-company transactions
    Inter Company Reconciliation in ECC Versions
    Regards
    Sowmya

  • Inter Company Stock Transfer Configuration

    Hi,
                    When I assign customer in assign shipping data to plants, request is creating. So whether I have to create the request and transfer the same to production or quality or is there any other way to assign customer in either quality or production? Because I have to create the customer master data in development. Please Reply..

    The cross-plant internal procurement of materials can be carried out within one company code (inter-company) or by using several company codes (cross-company). This process can be dealt with using standard functions, such as material requirements planning, purchase requisitions, stock transport orders, transportation planning, and the handling of internal deliveries.
    Process Flow
    This scenario consists of the following steps:
    One-step stock transfer
    Creating stock transport order
    Posting goods issue for stock transport order
    Checking the status of the stock transfer
    Receiving transferred materials
    plz refer following link for detailed process
    http://help.sap.com/bp_blv1600/V5600/BBLibrary/HTML/135_EN_IN.htm
    Regards,
    eswarmanu...

  • Questions on Inter-company and Cross-company sales ordering process..

    Hi,
    I understood the delivery plant and the sales org. is not in the same company code might be the process, but i want to know some details especially in SAP system how it is realized and processed, hope could kindly help me on below questions!! thanks!!
    1)what is the difference between inter-company sales and Cross-company sales??
    2)What is the general document flow and config. when in below 2 cases:
    Suppose the 2 company code under same sap client system, then what kinds of company code,plant config within the system for inter-compan and cross-company, and finally what kind of document flow will it be in the system.
    Suppose the 2 company code is under diff sap system, then what kind of doc flow in each sap system for inter-company and cross-company sales process???
    Thank you very much!!!!

    Hi,
    Basically there are totally Three types of scenarios
    1. Intra Compnay Stock Transport Order
    In this type of scenario, the stock is transfered between Two Plants which are under the same Compnay Code. The document type used here is UB. Here in this scenario the owner ship on the stock is not changed thats way there will not be any Invoice. The process as follows
    a. Create Purchase Order with document type UB - ME21N
    b. Create Replenishment Delivery with Document type NL - VL10B
    c. Picking and PGI - VL02N
    Now stock will be shown in Transit, you can check this using T.Code MB5T.
    d. Do MIGO to receive the stock into ordering plant.
    2. Inter Compnay Stock Transport Order
    This is called as Cross Compnay STO. Here the stock is sent from one plant to another plant which are in two different Compnay codes. That means the Ownership on the stock is changed in this scenario, that way there will be Intercompnay Invoice IV is reaised. Here the stock is just moved to one plant to another plant but not to any customer.
    The Process is as follows
    a. Create a PO using type NB - ME21N
    b. Create a Cross Compnay Replenishment delivery using type NLCC - VL10B
    c. Picking and PGI in VL02N
    d. Inter Compnay Invoice IV is raised by Supplying Compnay code to the Ordering Compnay Code - VF01
        for this a customer created in Supplying Compnay who represents the Ordering Compnay and the invoice is raised against to that customer.
    e. MIGO to receive the stock in Ordering Plant
    f. MIRO to do invoice verification and do Vendor account update. This also can be done by EDI triggering, to update the Vendor Account. That means with this step, ordering compnay will update into its vendor account that he has to give certain amount to the compnay who supplied the stock.
    3. Inter Compnay Customer Sales
    This is similer to the 2 process, but here instead of sending to Plant we will send the stock directly to Customer of other compnay code.
    The process is as follows
    a. Customer raises  normal sales order in another compnay code of type OR - VA01
    b. But if the plant of that compnay does not have stock, then in the order the plant is changed to other compnay code plant.
    c. Delivery is created in supplying Compnay against this Order - VL01
    d. Picking and PGI is done - VL02N
    e. But the stock is sent direclty to customer from supplying plant.
    f. Ordering compnay will raise normal invoice F2 to the customer
    g. Supplying Compnay will raise Intercompnay invoice IV to the Ordering Compnay.
    But for all these process there are some configurations can be done, like
    the material should be extended to both the plants
    a customer is created in supplying plant who represents the ordering plant so that IV can be generated to that customer.
    Supplying Plants should be linked to ordering Sales Org and Distribution channel. etc.
    Hope this is clear.
    Thanks
    Praveen

  • Different sales area for Inter company stock transfer and STO

    Hi People,
                           Is it possible to have two different sales area's for Inter company stock transfer and within the company stock transfer. The problem is in below step
    IMG->MM->Purchase Order->Setup stock transport order->Define shipping data for plants.
    In this step when you define plant as customer, the same plant as customer needs to be maintaind for both STO and Inter company and there is only one entry of sales area possible for this single plant. So, how can the task be achieved.
    I want that STO should be carried out by sales area lets say X/Y/Z
    Inter company should go through A/B/C.

    hi dear,
               It is not possible at all to have two sales area for given Plant in STO.
               What is issue in that u can Transfer any MATERIAL, just need to extend it to given sales area.
    Reagrds
    AJIT K SINGH
    HAPPY TO HELP U

  • Inter Company Sales scenario

    Dear Friends,
    What is the way of executing the Intercompany Sales Scenerio in SAP ?
    We have a scenario, wherein we have multiple plants across countries, Let us say that one of the plant in US is not having the stock , when the sales order is booked from US sales Office to any customer, it should create the requirement. This should trigger the PO for the plant in different country , which then should replenish the stock in the US plant against the sales Order, and then the delivery and billing can be carried out from US plant as per sales order.
    How can we achive this in SAP.
    Looking forward for good suggestions.
    Regards,
    Harsh

    Hi Harsh,
    Configure Intercompany Stock Transport Order
    Material should exist in both the plants (Delivering & Ordering),
    Internal customer should be assigned to the ordering plant ( MM -> Purchasing -> Purchase Order -> Setup stock transport order -> assign the internal customer to the ordering plant and assign the Sales area of the internal customer.
    Assign its Sales area to the delivering plant
    Assign the document type and Delivery type NB and NLCC
    Assign the Supplying plant --> Receiving Plant --> NB
    Take the delivering plant and assign the sales area.
    Vendor master has to be created and assign the supply source (Delivering Plant).
    Create a purchase order ME21N ---> Save
    Delivery VL10 G ---> Calculation rule (appropriate) --> Assign the purchase order number here and execute.
    Select the Delivery creation line and do the back ground process.
    Start the log display and see the delivery document number by the documents button
    Goto VL02N --> do picking and PGI --> Then do the MIGO with respect to the delivery document.
    Billing (Intercompany pricing conditions should be set).
    AND
    1. Customer No. for the Goods Receiving Plant - OMGN
    2. Availability Check- Checking Rule (if necessary) - OMGN
    3. Assign a Delivery Type for the Delivering Plant - OMGN (for Stock Transport Orders, NLCC)
    4. PO type (which i believe you have done) - OMGN
    5. Assign Vendor No. to the Supplying Plant (done) - VK02
    6. Assign Customer No. to the Purchasing Plant for the Inter-Company Invoice (but you need to assign this to the Sales Organization pre-assigned to the Purchasing Plant),
    IMG-SD-Billing-InterCompany Billing-Define Internal Customer No. by Sales Org
    ***and by the way for the Invoice to work between Cross-Company Plants, you need also to have a Sales Org for the Supplying Plant and a Pricing Determination Procedure
    INTERCOMPANY PRICING:
    PI01 Intercompany: fixed amount per material unit
    PI02 Intercompany: percentage of the net invoice amount
    These condition types specify that the price charged by the delivering plant to the sales organization is shown as a statistical value in the sales order and an effective charge in the internal invoice.
    The condition records you create and maintain for intercompany billing are the same kind of records that you create for pricing in general.
    IV01 Inter-company Price ERLOS Revenue
    IV02 Inter-company % ERLOS Revenue
    STO:
    STO CONFIG:
    The following steps have to be followed in order to configure stock transport order between two plants.
    1. Create a vendor for the Company code of the receiving plant using account group 0007 via T-Code XK01.
    2. In the purchasing data view assign the supplying plant and the schema group
    3. Create customer with the sales area of the vendor.
    4. The shipping conditions, the delivering plant and the transportation zone determine the route in the STO.
    5. In the pricing procedure determination relevant to the STO assign document pricing procedure and customer pricing procedure to get the pricing in the invoice.
    6. Maintain condition records for pricing condition.
    7. Maintain carrier as a partner in the customer master.
    8. In OMGN select the supplying plant and assign the company code and sales area. Similarly select the receiving plant and assign the company code and sales area (The company code to which the plant is assigned to).
    9. Assign the delivery type and checking rule to the document type.
    10. And finally, assign the purchasing document type to the supplying plant and the receiving plant.
    11. Create the STO using T-Code ME 21N and save.
    12. Check for release strategy if any and release using T-Code ME 28.
    13. Create delivery in background using VL10G.
    14. If delivery is created, it is an indication of correct configuration and master data creation.
    Stock transfer between two plants in deffernet company codes is known as inter company stock transfer.
    Material shoud be maintained in both supplying and receiving plant MM01
    Sotck should maintain only in supplying plant MB1C
    Create receving plant as a customer in suplying plants company code and sales area XD01
    Assign this customer number in receving plant detials OMGN
    Assign supplying sales area in supplying plant details OMGN
    Assign delivery tupe NB for in combination of supplying/ receving plants.
    Create STO ME21N
    As it is normal there in the item details wer should get shipping date i.e customer number
    Go for Deliveryy VL10B
    Shipping point *****
    Select PO go for execute
    then select the delivery then go for delvy ............create delvy,,,, delvy nubmer generated.
    Goods Issue VL02
    Delvy doc **********
    Click on picking
    enter the picking qty
    Click on PGI
    in the mean time check in the PO history you will get the details
    Goods receipt MIGO
    Stock overview the stock will be updated....
    P.O Order types and Delivery Types
    STO: - Stock Transfer Order
    Stock Transfer between Two Plants with One Company code.
    The Purchase Order Type is Used in this case is "UB",
    And the Delivery Type Used here is "NL"
    STPO:- Stock Transfer Purchase Order
    Stock Transfer Purchase Orders Between Two Plants with Two Different Company Codes.
    The Purchase Order Type is Used in this case is "NB",
    And the Delivery Type Used here is "NLCC".
    Following link
    http://help.sap.com/saphelp_46c/helpdata/en/e6/4a6dc89e0311d189b70000e829fbbd/frameset.htm then go to special business transaction n click on intercompany sales processing.
    http://help.sap.com/saphelp_47x200/helpdata/en/4d/2b911d43ad11d189410000e829fbbd/content.htm
    http://help.sap.com/saphelp_47x200/helpdata/en/4d/2b917843ad11d189410000e829fbbd/content.htm
    Thanks and Regards,
    Sateesh.Kandula

  • Inter Company Sales & Billing

    Dear All,
    Could you please suggest while configure the inter company billing. I has search in our forums. Some what i understand but still i have some doubts on experts explanation. Could you please help me on Inter companysales & billing config & customization process step by step
    Thanks in advance
    Anjali

    HI
    Definition:
    A company arranges direct delivery of the goods to the customer from the stocks of another company belonging to the same corporate group.To put in simple terms, Company code A orders goods through its sales organization A from Plant B belonging to Company code B. It is imperative that both Plants A & B should have the material. In other words, the material is created for both the Plants A & B + their respective storage locations.
    Sales Organizations and Plants are uniquely assigned to Company codes. It is not possible to assign either a plant or a sales organization to more than one company code.Sales organizations and plants assigned to each other need not belong to the same company code.
    In other terms, a plant belonging to Company code A & assigned to Sales Organization A can also be assigned to Sales Organization B of Company Code B. This enables cross company sales.
    PARTIES INVOLVED
    1) End Customer 2) Ordering Company code 3) Supplying Company Code.
    End customer:
    Customer who orders goods from the ordering company code.
    Ordering Company Code:
    Which orders goods from Plant belonging to Supplying Company code through its sales organization and bills the end customer.
    Supplying Company Code:
    Supplies goods from its plant to the end customer specified by the ordering company code and bill the ordering company code.
    CONFIGURATION SETTINGS
    Assign Delivery Plant of the supplying company code to Sales Org + Distribution channel of the Ordering company code in the Enterprise Structure.
    DEFINE ORDER TYPES FOR INTERCOMPNY BILLING:
    Menu path: IMG/ SD/Billing/Intercompany Billing/Define Order Types for Intercompany billing
    Assign Organizational units by Plant:
    Menu Path: IMG/ SD/Billing/Intercompany Billing/Assign Organizational units by Plant.
    Define Internal Customer Number By Sales Organization:
    Menu Path: IMG/ SD / Billing/ Intercompany Billing/ Define Internal Customer Number By Sales Organization:
    Creating / Showing Ordering Sales Organization as Internal Customer for Supplying Company code:
    Transaction Code: XD0
    The ordering sales organization is represented as Internal customer of Supplying company code.
    We need to create customer master in Account Group u2013 Sold to Party and maintain minimum required financial & Sales Area data.
    This internal customer number has to be assigned to the ordering sales organization. Hence, the system automatically picks up this Internal customer number whenever there is Intercompany billing.
    PRICING:
    We need to maintain two pricing procedures RVAA01 & ICAA01. Pricing procedure RVAA01 represents condition type PR00 & any other discounts or surcharges that are meant for end customer.
    We assign Pricing procedure RVAA01 to combination of Sales area (Of Ordering company code) + Customer Pricing Procedure + Document Pricing Procedure of Sales document type.
    This pricing Procedure (RVAA01) is determined both at Sales Order level & Billing processing for the end customer.
    We maintain PR00 condition type to represent the ordering company codeu2019s price to the end customer.
    Condition records for PR00 are maintained using organizational elements of Ordering company code, end customer & the Material.
    Eg: Sales Org. of Ordering company code + End customer + Material.
    We also need to maintain PI01 condition type to represent costs to Ordering company code (in other words revenue to supplying company code). It is statistical condition type & meant for information purpose only.
    Condition records for PI01 are created with the following key combination:
    Ordering sales Org + Supplying Plant + Material
    Pricing Procedure ICAA01is determined at Intercompany billing processing level.
    Pricing Procedure ICAA01 u2013 Pricing Procedure for Inter company billing is assigned to the combination of:
    1) Sales Area (of supplying company code) + Document pricing Procedure of Billing document type IV + Customer Pricing Procedure of the Internal customer.
    Pricing Procedure ICAA01 has condition type IV01 that represents revenues for Supplying company code in the intercompany billing.
    PR00 condition type also appears in Intercompany billing document. It is for information purposes only and does not have bearing on the value of the document.
    PI01 represented under pricing procedure RVAA01 is reference condition type for IV01 and the same is defined in the condition type IV01. Due to this these two condition types represent same value.
    The condition type IV01 in intercompany billing document represents revenue to the Supplying Company. But its corresponding condition type PI01 in the billing document to the end customer is shown as a statistical item meant for information purposes.
    Condition Type VPRS in the intercompany-billing document indicates cost to the supplying company code.
    The use of two different condition types in Intercompany billing is necessary to ensure that data is transmitted correctly to the financial statement (Component CO-PA).
    ILLUSTRATION:
    STEP 1: Create Sales Order
    Manually Enter the Delivery Plant of the Supplying Company Code:
    OBSERVE CONDITIONS SCREEN FOR ITEM:
    PR00 represents Price to the end customer (in other words, revenue for the ordering company).
    PI01 represents cost to ordering company (in other words, revenue for the supplying company). It is represented as statistical item only.
    DELIVERY:
    Delivery is carried out from the supplying point & hence we can observe that it is done from shipping point assigned to the supplying point.
    Subsequently, Picking & PGI are carried out.
    BILLING TO END CUSTOMER:
    T-Code: VF01
    Create Intercompany Billing:
    T-code: VF01
    OBSERVE THE CONDITIONS SCREEN OF THE INTERNAL INVOICE:
    IV01 Condition type represents revenue for the supplying company code.
    VPRS condition type represents cost to the supplying company code.
    PR00 in intercompany billing document displays amount billed to the end customer. It serves as just an information item and is inactive.
    If the ordering company enters the incoming invoice manually, the delivering company can print out an invoice document with the help of output type RD00, which is then sent to the Payer.
    If automatic invoice receipt has been agreed, we must use the SD output control functions to ensure that output type RD04 is found in internal billing. In R/3 system, output determination procedure V40000, which includes this output type, is assigned to Intercompany billing type IV.
    The automatic posting to the vendor account is initiated when output type RD04 is processed. The system uses the EDI output type INVOIC in the FI variant.
    To ensure that payables are posted in financial accounts of the ordering company, the delivery company must be created as a vendor.
    Regards
    Amit Gupta

  • Inter company sale - Concepts

    Hello friends
    These are the intercompany questions need to be clear.Please help me to understand.
    A) While doing Invoice IV -  from delivering compamy code  (ex 2000)  to ordering comany code  (ex 1000)
    Under company code : 2000 , Plant -A  and
    under company code : 1000, Plant- B and sales org- us01.
    I know customer presence should be there for inter comapny Invocie.
    Now My questions are
    1) how to create customer and who will be the customer - (plant -? under coppany code -1000)
    2) from where the inter company Invoice is comming - from - (plant or sale org -? under company code -2000) and what is the link -? I mean how sytem will understand this -?
    3)New pricing procedure involved for invoice IV -?
    4)if there is intercopmpany sales , inter copmpany stock transfer whould also involve or not necissary -?
    5) AND if I am misssing any important points in inter company sales please guide me.
    I am not clear, please help me on this.
    Thanks
    Krish

    1) how to create customer and who will be the customer - (plant -? under coppany code -1000)
    Ordering sales organization has to be created as Internal customer, who will receive the IV invoice. from the supplying sales organization ( IV will be created wrt: Delivery , in which sales organization will be supplying plant's sales org)
    2) from where the inter company Invoice is comming - from - (plant or sale org -? under company code -2000) and what is the link -? I mean how sytem will understand this -?
    when you create invoice 2nd time wrt: to the delivery document, then system will check in delivery document, whether its relevant for IV or not. In delivery document header this status will be indicated. if IV relevant, it will check item category of the reference document & then it will check ref doc type details & finds the IV doc type, if necessary copy controls maintained between delivery & IV then data will be copied in IV invoice.
    3)New pricing procedure involved for invoice IV -?
    as in std, new pricing procedure will be determined.as there would be internal agreement may exist, to issue the invoice either on fixed amount or percentage basis. hence new pricing procedure with new cond types required.
    4)if there is intercopmpany sales , inter copmpany stock transfer whould also involve or not necissary -?
    it depends on client requirement, if the client who has transactions between company codes eg: exchange of goods, then Int.company STO has to be configure. if their agreement is to dispatch the goods to the customer whoz exist in diff comp code, then there will be only Int.comp sales.
    5) AND if I am misssing any important points in inter company sales please guide me.
    for more clarification & better understanding, go through SAP HELP. search in forum for the links.

  • Inter-Company Sales Scenarios with CRM Service

    Hi,
    We are in a process to implement CRM 7.0 for our B2B service organization.
    Currently, we have ECC 6.0 implemented with single instance worldwide, one controlling area, one global chart of account and one fiscal year for all company codes in SAP and for each company code we have 1:1 mapping to sales organization.
    We have model in Europe where all our inventory is owned by one company code (one legal entity refer to as the  'principal' )and plants abroad functionality activated in SAP .
    In each country we have operating legal entity, company code and sales organization set-up in SAP but the inventory is still owned only by the 'principal'.
    It means that for each sales we have  in those sales organizations, additional inter-company billing is done between the 'principal' to that sales organization.
    This is done for all items sold either if they tangible items and non-tangible items for regular sales orders, contracts, debit memos and credit memos.
    The Intercompany billing should be generated base on the end-customer price less the certain percentages.
    CO-PA model is not active in our SAP system therefore we are going to use single-object controlling scenario for all our service processes.
    I have few questions:
    1. Can the plant associated with the u2018service organizationu2019 in CRM belongs to different company code from the company
        code of the billing unit
    2. Can we have the internal order in single-object controlling scenario for service contracts for revenue recognition to
        be set-up in company code of the billing unit  but the internal order to collect the cost either if it is parts or labour created
        in a different company under the u2018principalu2019 company code where we own the inventory u2013 It means that the I/O for revenue
       and cost will have to be different.
    3. Can we generated intercompany billing in CRM for any billing done to end-customer between the u2018principalu2019  to
        the sales organization either if it is for parts or labour or service contract or debit memo or credit memo .
    Regards,
        Avishay

    Hi
    See SAP Note 338922 - Analysis note for cross-company transactions (delivery).
    I hope this heps you
    Regards
    Eduardo

  • Inter-company sales credit note cost

    Dear SD Consultants,
    I have scenario of Cross Company sales, in itner-company invoice we have different pricing procedure in which we charge 2nd company with VPRS cost, now there is one doc. for return sales we have to give credit note for this return that is internal credit memo, but issue is that at the time of intercompany invoice system take VPRS Cost of that time now when we create internal credit memo cost is change and I wnat to post internal credit memo with similar amount of inter-company invoice.
    please advice in this regard. for e.g. intercompany invoice create with 100AED and at the time of internal credit memo of same material is 120, system create IG with 120, I want to create with 100 AED.
    Thanx in Advance.
    Danish Alam
    Edited by: Danish  Alam on May 13, 2009 10:19 AM

    Dear Danish
    For creation of credit memo u must have given the reference of invoice or order .
    Check for your copy control settings from invoice reference to credit memo request in VTAF.
    Go to Item details select your item category and Keep pricing type as D .
    I hope this will solve your problem.
    Regards
    Mandar

  • Error in Inter company Billing while assigning the Sales line to supplying

    Dear All Concern,
    While I was doing Inter company I am getting error at the time of assignment of sales organization, Distribution channel and Plant
    Error: VT343
    May organization is like this
                                                                Ordering                          Supplying
    Company Code                                       C1110                              C1120
    Sales org                                                 C1110                              C1120
    Distribution channel                                DS                                     D1
    Division                                                    AH                                   A1
    Plant                                                        C1110                              C1120
    While assigning the Order sales Line to the Supplying Plant I am getting this error
    Please try to help me.

    Refer to this document and let me know whether its helpful . Make corrections accordingly
    http://help.sap.com/saphelp_470/helpdata/en/dd/5614e7545a11d1a7020000e829fd11/content.htm

  • NB type PO for inter company sales for a service item

    Hi,
    I need to create the above PO for a service item (which will not pass through the delivery process). But I do need the A/R and A/P in both the books as this is an inter company scenario. How can such a PO get invoiced directly w/o the delivery? The material is a service material (DIEN). What are the necessary configurations that need to be in place to complete this process?
    Thanks!

    Hi
    1. Define Business Area.
    Got to IMG-> Enterprise structure->Definition-> Financial accounting->Maintain Business Area.
    2. Assign Business Area
    IMG -> Enterprise Structure -> Assignment -> Sales & Distribution -> Business Area Account Assignment >  Assign Business Area to Plant and Division or Assign Business Area by Sales Area.
    [Business Area|http://www.sap-basis-abap.com/sapfi003.htm]
    [Business Area|http://www.sapstudymaterials.com/2007/12/mm-configuration-assign-business-area.html]
    Regards

  • Warning message during inter-company sales process.

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    Regards
    JP

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