Currency config in vendor master

Dear team
How can i configure two currency in one vendor please guide me
Thanks
Gan

Hi,
You can use Vendor Sub range.
In XK02 - In Purchasing Data of Vendor master, click menu Extras > Add. purchasing data, here activate "Data retent. at VSR level allowed" and press enter.
Now click on "Sub-ranges" button and enter a code and description for VSR.
Now click o "Alternative data" button, here specify VSR Code and activate "Purchasing data" indicator and enter
It will give Purchasing screen to maintain purchasing details at VSR level, here specify all details like' Payment terms, currency, etc...
Now In ME21N, specify the vendor and then at Item details level, select the appropriate VSR and it will adopt all purchasing details from that.

Similar Messages

  • Would like the currency in the vendor master to always default to USD.

    Would like the currency in the vendor master to always default to USD.

    Hi,
    Currency not available in the vendor master level.
    How you want to make default it, if it is not available.
    If you want to post particular vendor only with the USD currency, then go for Validation as currency check in header and vendor check in line item and this works only at company code level (that means, only for one company code, if you need it to other then seperate validation you have to write and activate).
    VVR

  • Currency field in Vendor master

    Hi,
    There are vendors in the production client. But the vendors are without any purchasing view as it was uploaded for Fnance purpose. Now i have done the settings for purchasing view & transported to production. But the currency field is not coming for the vendors. What setting needs to be done to make that field active.
    Thanks
    John

    Hi
    Screen layout for the vendor master is controlled by the Vendor account group.
    Please see the screen layout for vendor account groups in the following menu
    SPRO-> Financial accounting -> Account receivable and Account payable -> Master data -> Preparation for creating Vendor master data -> Define account groups with screen layout
    Selct the vendor account group and go to details, where you select the Purchasing data and agian select Purchasing data , You can fine Purchase order currency field.Please make field as optional or Required entry as per your requirement.
    Regards
    Ramakrishna

  • Currency input data for Vendor Master

    Hi
    When I make a PO (me21n), the Currency data is missing. From where do we get the  Currency data - from Vendor Master or the Material Master ?
    Thanks in advance
    Vaidee

    Dear,
    You got it from Vendor Master.
    Enter XK01 - Create Vendor master - > Purchasing view you can maintain currency for vendor master.
    For check vendor master - XK03.
    You can change it with XK02.
    Regards,
    Mahesh Wagh.

  • No currency assigned to vendor (Maintain master record)

    Hello Experts
    I have the currency as an optional field in the vendor master data for de purchasing data.
    So when doing an RFQ for this vendor without currency informed, an error appears:
               No currency assigned to vendor (Maintain master record)
               Message no. 06497
    And in the customizing I put the currency as an optional field for the RFQ.
    What can I do? It is necessary to put as required field in the vendor master data?
    Thanks in advances
    Best regards,

    Yes, I know what you mean.
    But I have the field of the currency in the vendor master data as optional. So if the user does not indicate the currency in the vendor, it is not possible to create a Contract (tx ME31K) for this vendor because the following error appears:
          No currency assigned to vendor (Maintain master record)
          Message no. 06497
          Procedure
          Please maintain the purchase order currency for this vendor in the purchasing data of the vendor master record.
    And the system does not allow to indicate one manually.
    For the PO, instead, it is possible to make reference to a vendor that does not have any currency and indicate then it in the PO.
    Thank you for your help,
    best regards,

  • Default Currency of a Vendor in MIRO for Planned Delivery Cost

    Hi,
    This is a scenario of Invoice Verification for Custom/CVD of Customs Department in Import Purchasing.
    We create PO with currency USD, EUR, etc. but always pay Custom Department in INR. While doing Invoice Verification we need to change manually the currency from document currency to INR initially otherwise systems picks the currency from the PO header (USD, EUR, etc.).
    Is there any method by which while doing MIRO for a particular Vendor (Customs Department) the system should pick the currency from the Vendor Master of Custom Department (INR), which is assigned against condition types in PO, not from the PO header.
    Can anyone assist in getting the desired result?
    Thanks in advance
    Thanks & Regards,

    Hi,
    you have to give it manually or you have to write code with help of user exist or a fix through SHDO t-code  transaction where you have to created  variant for transaction MIRO.
    there is no other option
    Regards
    Kailas Ugale

  • How to check which currency is assigned to Bank in Vendor Master

    Hi,
    Good Morning to All.
    We have a requirement. We like to know the details for currencies in Bank accounts maintained in Vendor Master.
    For ex.
    For XYZ vendor we have assigned ABC bank for country GB along with the IBAN,SWIFT, A/C No, etc....now how can we be sure while making payment to vendor that the bank account maintained in vendor master is relevant to currency USD and not to GBP or any other curreny.
    As we are planing to make automation payment to vendors, we are not able to find any currency linked to Bank account in vendor master.
    We have more that 10K vendors and its impossible to check with all of them regarding the currency and update the vendor master.
    Do we have any way to find out the link between the Vendors Bank Account & Currency the bank account tagged too.
    Thanks in advance for your assistance.
    Do revert.
    Rex

    Hi Rex,
    The Currency in which the Vendor has maintained the Bank account is an information that you will get only from the vendor.. and then you can update in the vendor master.. From SAP system you will not get this info anywhere..
    In FBZP.. we maintain Our Bank Accounts and not the Vendor Bank Accounts.. For Vendors, we only maintain the Bank key in our system in T-Code Fi01 and his Bank details in the vendor Master.
    When you update the Partner Bank Type in vendor master with Currency in which the Vendor has maintained his bank account with the Bank, you can write the logic in BTE to pick up logically in APP.
    Hope it clarifies..
    Regards,
    SAPFICO

  • How to transfer changes in my Vendor Master Data ? (currency)

    Hello everybody,
    I replicated my vendors with bbpgetvd and everything was fine.    Now, my vendor master data  has changed, some vendors were modified in their currency field.   
    If I run again the transaction "bbpgetvd", the program doesnt identify these changes  =(
    What can I do in order to update this data ?
    Thanks and regards,
    Diego

    Hi guys,
    Thanks so much for your help !  I tried bbpupdvd and it worked fine !  
    thank you !!!
    Regards from Mexico,
    Diego

  • Order currency in vendor master

    I want to maintain the order currency through Purchasing data or add purchase data via MK01.
    The option for sceen seletion is gray out . XK01 can't work neigher
    Is there any wrong or customiz screen layout should be re-set up?
    your help is appreciated
    Thanks

    Hi
    SPRO> Financial accounting(new) >
    Accounts receivable and Account Payable >Vendor accounts>Master data> Preparation for creating vendor master data>Define screen layout per activity(vendors)
    click execute,
    Double click 
    CHANGE VENDOR (PURCHASING),
    Goto PURCHASING DATA,
    PURCHASE ORDER CURRENCY,
    Change the radio button to OPT.ENTRY and save,
    and  You can change in  XK02.
    Regards
    Anand

  • Abroad Vendor Master Currency

    Hi,
    Suppose creating a vendor which is a foreign nation .
    Then in the vendor master , in 'order currency ' field which currency I should put?
    Whether currency of nation where the vendor exists ?
    Please reply ASAP.
    regards,

    Hi
    This field is for the currency on which an order placed with a vendor is based. You can put the vendor country currency.
    regards
    Srinivas

  • Need config table which stores data for Vendor Master changes

    Hi Gurus,
    I need to have the name of the config tables which store the details of the Vendor Master configuration changes based on account group information.
    For Example,
    For a given Account Group(ZM09), the VAT Registration field in the control data tab of the transaction XK02 is suppressed. and for other Account Groups the VAT Registration field is appearing in the Control data tab of the XK02 transaction.
    So I need to determine at run time for which vendor account group the VAT Reg field is suppressed and for which it is appearing.
    Hence I require the name of the Config table in SAP which stores this information.

    Hi,
    Use this transaction S_ALR_87010039 (Program RFKABL00)
    You can select all levels of changes (i.e. General, Company Code, purchasing org)or individual levels only.
    If you want the tables then CDHDR & CDPOS will provide all the details.
    Regards
    Hiren K.Chitalia

  • Withholding tax fields in Vendor master is not avbl to config as sensitive

    Hi,
    I need to configure, fields in Withholding tax accounting as sensitive fields in Vendor Master.
    Table reference for Withholding tax is LFBW.
    But the fields from this table are not avbl for configuring in SPRO.
    It gives an error message as: This field is not allowed.
    Is there any other method to add the required fields from LFBW table to configure them as sensitive fields.
    Or adding the fields as sensitive is restricted for few fields only.
    Pls do the needful.
    Regards,
    Radha

    Hi Radha,
    I finally found development we did for a customer. Below you can find sampler code. You can use exit ZXF05U01.
        FIELD-SYMBOLS : <FIELD_VALUE> TYPE ANY.
        DATA : SENSITIVE_FIELD(30).
        FIELD-SYMBOLS : <FIELD_VALUE2> TYPE ANY.
        DATA : SENSITIVE_FIELD2(30).
        TABLES : T055F .
        IF LN_LFM1 NE I_LFM1.
          REFRESH KRITAB.
          SELECT * FROM T055F WHERE KOART = 'K' AND
                                    FELDN LIKE 'LFM1%'
            SPLIT T055F-FELDN AT '-' INTO KRITAB-TABNAME KRITAB-FNAME.
            APPEND KRITAB.
          ENDSELECT.
          LOOP AT KRITAB .
            CONCATENATE 'LN_LFM1' '-' KRITAB-FNAME
            INTO SENSITIVE_FIELD.
            CONCATENATE 'I_LFM1' '-' KRITAB-FNAME
            INTO SENSITIVE_FIELD2.
            ASSIGN (SENSITIVE_FIELD)  TO <FIELD_VALUE>.
            ASSIGN (SENSITIVE_FIELD2) TO <FIELD_VALUE2>.
            IF <FIELD_VALUE> NE <FIELD_VALUE2>.
              <FS_LFA1>-CONFS = '1'.
              IF SY-TCODE = 'XK01' AND <FS_XASEG> = ' '.
                DATA : LFM1CONFS(1) TYPE C .
                EXPORT LFM1CONFS LFM1CONFS2 FROM '1' TO MEMORY ID
          'LFM1CONFS'.
                UPDATE LFA1 SET CONFS = '1'
                                UPTIM = SY-UZEIT
                                UPDAT = SY-DATUM
                          WHERE LIFNR = <FS_LFA1>-LIFNR .

  • Currency vs Account group restriction for vendor master

    Dear All,
    Is it possible to restrict the user from using inr for Import vendors account group and other currencies for domestic vendor account group in standard????

    Hi,
                Through authorization object F_LFA1_GRP (Vendor: Account Group Authorization ) field - KTOKK (Vendor account group) you can restrict user to create particular type vendor i.e Import Vendor or Domestic Vendor etc. Pls refer below screenshot...
    As k your Basis user to restrict as per account group ....Through PFCG transaction..
    Regards
    Abhishek Tiwari

  • Vendor master config settings

    Hi
    Please provide me vendor master various configuration settings.
    Thanks
    Raju

    hi
    follow the following steps for vendor creation
    1. Acount group creation
    Finan accounting>acc receivable&payable>vendor acc>master record__> preparation for creating vendor master>define acc group with screen
    2 Assign acc group to no range
    3. define partner schema
    MM> purchasingà>partner determination>partner setting in VMR> define part schema
    4. assign partner schema to acc group
    5.define permissible partner roles
    6. now through XK01 tcode create vendor
    reward points if helpful
    regards
    chetan

  • Vendor Master Extraction from Legacy

    Hi guys,
    We have 2 different legacy systems here (4.5b and 4.6c) and I am trying to extract the vendor master from both of them and integrate them into the new mysap2004.
    What is the best way to extract the vendor master along with the address , punchasing doc, bank details, partner functions,etc ? Any sample program for vendor master extraction is most welcome. Here is my extract layout.
    ADDRESS
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    SZA1_D0100     Title (TITLE_MEDI)     CHAR/30          Not used
    ADDR1_DATA     Name (NAME1)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Name (NAME 2)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Name (NAME 3)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Name (NAME 4)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Search Term 1 (SORT1)     CHAR/20          Convert to HPC methodology.
    O-First 8 char. of vendor name
    R- First 8 char. of vendor name
    B- First 8 char. of vendor name
    ADDR1_DATA     Search Term 2 (SORT2)     CHAR/20          Bring values over as is.
    ADDR1_DATA     Street/House Number
    (Street)     CHAR/60          Bring values over as is.
    ADDR1_DATA     House Number
    (HOUSE_NUM1)     CHAR/10          Bring values over as is.
    ADDR1_DATA     Building (number or code)
    (BUILDING)     CHAR/20          Bring values over as is.
    ADDR1_DATA     Room or apartment number
    (ROOMNUMBER)     CHAR/10          Bring values over as is.
    ADDR1_DATA     Floor in building
    (FLOOR)     CHAR/10          Bring values over as is.
    ADDR1_DATA     c/o name
    (NAME_CO)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Street 2
    (STR_SUPPL1)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Street 3
    (STR_SUPPL2)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Street 4
    (STR_SUPPL3)     CHAR/40          Bring values over as is.
    ADDR1_DATA     Street 5
    (LOCATION)     CHAR/40          Bring values over as is.
    ADDR1_DATA     City
    (CITY1)     CHAR/40          Bring values over as is.
    ADDR1_DATA     District
    (CITY2)     CHAR/40          Bring values over as is.
    ADDR1_DATA     City (different from postal city)
    HOME_CITY     CHAR/40          Bring values over as is.
    ADDR1_DATA     City postal code
    (POST_CODE1)     CHAR/10          Zip Code.  Bring values over as is.
    ADDR1_DATA     Country
    (COUNTRY)     CHAR/3          Bring values over as is.
    ADDR1_DATA     Region (State, Province, County)
    (REGION)     CHAR/3          E.g., NJ – New Jersey, CO – Colorado, etc.   Bring values over as is.
    ADDR1_DATA     Time Zone
    (TIME_ZONE)     CHAR/6          Bring values over as is.
    ADDR1_DATA     Transportation Zone
    (TRANSPZONE)     CHAR/10          Bring values over as is.
    ADDR1_DATA     Regional Structure Group
    (REGIOGROUP)     CHAR/8          Bring values over as is.
    ADDR1_DATA     P. O. Box
    (PO_BOX)     CHAR/10          Bring values over as is.
    ADDR1_DATA     P.O. Box Postal Code
    (POST_CODE2)     CHAR/10          Bring values over as is.
    ADDR1_DATA     Language Key
    (LANGU)     LANG/1          Bring values over as is.
    SZA1_D0100     Telephone
    (TEL_NUMBER)     CHAR/30          Bring values over as is.
    SZA1_D0100     Telephone Number Extension
    (TEL_EXTENS)     CHAR/10          Bring values over as is.
    SZA1_D0100     Fax
    (FAX_NUMBER)     CHAR/30          Bring values over as is.
    SZA1_D0100     Fax Extension Number
    (FAX_EXTENS)     CHAR/10          Bring values over as is.
    SZA1_D0100     E-mail
    (SMTP_ADDR)     CHAR/240          Bring values over as is.
    ADDR1_DATA     Standard Communication Type
    (DEFLT_COMM)     CHAR/3          Bring values over as is.
    ADDR1_DATA     Data Line
    (EXTENSION1)     CHAR/40          Not used.   Do not bring over field values.
    Note: This field will be available to populate with other data during the conversion.
    ADDR1_DATA     Telebox
    (EXTENSION2     CHAR/40          Not used.   Do not bring over field values.
    Note: This field will be available to populate with other data during the conversion.
    ADDR1_DATA     Comments
    (REMARK)     CHAR/50          Bring values over as is.
    CONTROL
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    LFA1     Customer
    (KUNNR)     CHAR/10          Bring values over as is.
    LFA1     Authorization
    (BEGRU)     CHAR/4          It is to be determined if this field will be used in the future.   If yes, bring values over as is from HPC and populate with vendor account group code for Foods.
    LFA1     Trading Partner
    (VBUND)     CHAR/6          Bring values over as is.
    LFA1     Group Key
    (KONZS)     CHAR/10          Not used
    LFA1     Tax Code 1
    (STCD1)     CHAR/16          Bring values over as is.
    LFA1     Tax Code 2
    (STCD2)     CHAR/11          Bring values over as is.
    LFA1     Fiscal Address
    (FISKN)     CHAR/10          Bring values over as is.
    LFA1     Jurisdiction Code
    (TXJCD)     CHAR/15          Bring values over as is.
    LFA1     VAT Registration No.
    (STCEG)     CHAR/20          Bring values over as is.
    LFA1     Tax Office
    (FISKU)     CHAR/10          Bring values over as is.
    LFA1     Tax Number
    (STENR)     CHAR/18          Bring values over as is.
    LFA1     Industry
    (BRSCH)     CHAR/4          Bring values over as is.
    LFA1     Train Station
    (BAHNS)     CHAR/25          Not used.
    LFA1     Transportation Zone
    (LZONE)     CHAR/10          Bring values over as is.
    LFA1     Actual QM Sys.
    (QSSYS)     CHAR/4          Bring values over as is.
    LFA1     QM System To
    (QSSYSDAT)     DATS/8          Bring values over as is.
    LFA1     DAK
    (J_1FDAK)     CHAR/8          Bring values over as is.
    PAYMENT TRANSACTIONS
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    LFBK     Bank Country Key
    (BANKS)     CHAR/3          Bring values over as is.
    LFBK     Bank Key
    (BANKL)     CHAR/15          Bring values over as is.
    LFBK     Bank Account
    (BANKN)     CHAR/18          Bring values over as is.
    BNKA     Bank Name
    (BANKA)     CHAR/60          Foods - Bring values over as is.
    HPC – Populate with Bank Account Number
    LFA1     Alternative Payee
    (LNRZA)     CHAR/10          Bring values over as is.
    LFA1     Individual Spec.
    (XZEMP)     CHAR/1          Bring values over as is.
    LFA1     Spec. Per. Reference
    (XLFZA)     CHAR/1          Bring values over as is.
    ACCOUNTING INFORMATION ACCOUNTING
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    LFB1     Recon. Account
    (AKONT)     CHAR/10          Bring values over as is.
    LFB1     Sort Key
    (ZUAWA)     CHAR/3          Bring values over as is.
    LFB1     Head Office
    (LNRZE)     CHAR/10          Bring values over as is.
    LFB1     Authorization
    (BEGRU)     CHAR/4          Bring values over as is.
    LFB1     Cash Mgmnt Group
    (FDGRV)     CHAR/10          Bring values over as is.
    LFB1     Release Group
    (FRGRP)     CHAR/4          Bring values over as is.
    LFB1     Minority Indicator
    (MINDK)     CHAR/3          Bring values over as is.
    LFB1     Certification Date
    (CERDT)
         DATS/8          Bring values over as is.
    LFB1     Interest Indicator
    (VZSKZ)     CHAR/2          Bring values over as is.
    LFB1     Last Key Date
    (ZINDT)     DATS/8          Bring values over as is.
    LFB1     Interest Cycle
    (ZINRT)     NUMC/2          Bring values over as is.
    LFB1     Last Interest Run
    (DATLZ)     DATS/8          Bring values over as is.
    LFB1     Withholding Tax Code
    (QSSKZ)     CHAR /2          Bring values over as is.
    LFB1     Withholding Tax Country
    (QLAND)     CHAR /3          Bring values over as is.
    LFB1     Recipient Type
    (QSREC)     CHAR /2          Bring values over as is.
    LFB1     Exemption Number
    (QSZNR)     CHAR /10          Bring values over as is.
    LFB1     Valid Until
    (QSZDT)     DATS/8          Bring values over as is.
    LFB1     Exemption Authority
    (QSBGR)     CHAR /1          Bring values over as is.
    LFB1     Previous Account No.
    (ALTKN)     CHAR /10          Do not bring over existing values.  Will populate during vendor conversion when legacy vendor number is replaced by a new vendor number.
    LFB1     Personnel Number
    (PERNR)     NUMC/8          Bring values over as is.
    PAYMENT TRANSACTIONS ACCOUNTING
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    LFB1     Payment Terms
    (ZTERM)     CHAR/4          Refer to data mapping spreadsheet later in this spec. 
    LFB1     Tolerance Group
    (TOGRU)     CHAR/4          Bring values over as is.
    LFB1     Credit Memo Terms
    (GUZTE)     CHAR/4          Bring values over as is.
    LFB1     Chk. Double Inv.
    (REPRF)     CHAR/1          Bring values over as is.
    LFB1     Chk. Cashing Time
    (KULTG)     DEC/3          Bring values over as is.
    LFB1     Payment Methods
    (ZWELS)     CHAR/10          Refer to data mapping spreadsheet later in this spec. 
    LFB1     Alternate Payee
    (LNRZB)     CHAR/10          Bring values over as is.
    LFB1     Individual Payment
    (XPORE)     CHAR/1          Bring values over as is.
    LFB1     Bill of Exchange Limit
    (WEBTR)     CURR/13
    Decimal/2     9999999999999.99     Bring values over as is.
    LFB1     Payment Advance By EDI
    (XEDIP)     CHAR/1          Bring values over as is.
    LFB1     Payment Block
    (ZAHLS)     CHAR/1          Bring values over as is.
    LFB1     House Bank
    (HBKID)     CHAR/5          Not used.   Do not bring forward existing values.
    LFB1     Grouping Key
    (ZGRUP)     CHAR/2          Bring values over as is.
    LFB1     Payment Method Supplement
    (UZAWE)     CHAR/2          Bring values over as is.
    LFB1     Alternate Payee Indicator
    (XLFZB)     CHAR/1          Bring values over as is.
    LFB1     Tolerance Group
    (TOGRR)     CHAR/4          Bring values over as is.
    CORRESPONDENCE ACCOUNTING
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    LFB5     Dunning Procedure
    (MAHNA)     CHAR/4          Bring values over as is.
    LFB5     Dunning Recipient
    (LFRMA)     CHAR/10          Bring values over as is.
    LFB5     Last Dunned
    (MADAT)     DATS/8          Bring values over as is.
    LFB5     Dunning Clerk
    (BUSAB)     CHAR/2          Bring values over as is.
    LFB5     Dunning Block
    (MANSP)     CHAR/1          Bring values over as is.
    LFB5     Legal Dunning Proceedings
    (GMVDT)     DATS/8          Bring values over as is.
    LFB5     Dunning Level
    (MAHNS)     NUMC/1          Bring values over as is.
    LFB1     Grouping Key
    (MGRUP)     CHAR/2          Bring values over as is.
    LFB1     Local Processing
    (XDEZV)     CHAR/1          Bring values over as is.
    LFB1     Acct. Clerk
    (BUSAB)     CHAR/2          Bring values over as is.
    LFB1     Account with Vendor
    (EIKTO)     CHAR/12          Bring values over as is.
    LFB1     Clerk at Vendor
    (ZSABE)     CHAR/15          Bring values over as is.
    LFB1     Acct. Clk. Tel. No.
    (TLFNS)     CHAR/30          Bring values over as is.
    LFB1     Clerk’s Fax
    (TLFXS)     CHAR/31          Bring values over as is.
    LFB1     Clerk’s Internet
    (INTAD)     CHAR/130          Bring values over as is.
    LFB1     Account Memo
    (KVERM)     CHAR/30          Bring values over as is.
    PURCHASING DATA
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    LFM1     Order Currency
    (WAERS)     CUKY/5          Bring values over as is.
    LFM1     Terms of Payment
    (ZTERM)     CHAR/4          Refer to data mapping spreadsheet later in this spec. 
    LFM1     Incoterms (Part 1)
    (INCO1)     CHAR/3          Refer to data mapping spreadsheet later in this spec. 
    LFM1     Incoterms (Part 2)
    (INCO2)
         CHAR/28          Bring values over as is.
    LFM1     Minimum Order Value
    (MINBW)     CURR/13
    Decimal/2     9999999999999.99     Bring values over as is.
    LFM1     Schema group, vendor
    (KALSK)     CHAR/2          Bring values over as is.
    LFM1     Pricing Date Cat.
    (MEPRF)     CHAR/1          Bring values over as is.
    LFM1     Order Optim. Rest
    (BOPNR)     CHAR/4          Bring values over as is.
    LFM1     Salesperson
    (VERKF)     CHAR/30          Bring values over as is.
    LFM1     Telephone
    (TELF1)     CHAR/16          Bring values over as is.
    LFM1     Acc. With Vendor
    (EIKTO)     CHAR/12          Bring values over as is.
    LFM1     GR. Based Inv. Verif.
    (WEBRE)     CHAR/1          Bring values over as is.
    LFM1     Auto.Eval. GR Setmt. Del.
    (XERSY)     CHAR/1          Bring values over as is.
    LFM1     Auto.Eval. GR Setmt. Ret.
    (XERSR)     CHAR/1          Bring values over as is.
    LFM1     Acknowledgement Reqd.
    (KZABS)     CHAR/1          Bring values over as is.
    LFM1     Automatic Purchase Order
    (KZAUT)     CHAR/1          Bring values over as is.
    LFM1     Subsequent Settlement
    (BOLRE)     CHAR/1          Bring values over as is.
    LFM1     Subseq. Sett. Index
    (BOIND)     CHAR/1          Bring values over as is.
    LFM1     B. Vol.Comp./Ag. Nec.
    (UMSAE)     CHAR/1          Bring values over as is.
    LFM1     Doc. Index Active
    (BLIND)     CHAR/1          Bring values over as is.
    LFM1     Returns Vendor
    (KZRET)     CHAR/1          Bring values over as is.
    LFM1     Srv.-Based Inv.  Ver.
    (LEBRE)     CHAR/1          Bring values over as is.
    LFM1     ABC Indicator
    (LFABC)     CHAR/1          Bring values over as is.
    LFM1     Mode Of Transport-Border
    (EXPVZ)     CHAR/1          Bring values over as is.
    LFM1     Office of Entry
    (ZOLLA)     CHAR/6          Bring values over as is.
    LFM1     Sort Criterion
    (SKRIT)     CHAR/1          Bring values over as is.
    LFM1     PROACT Control Prof.
    (PAPRF)     CHAR/4          Bring values over as is.
    LFM1     Revaluation Allowed
    (XNBWY)     CHAR/1          Bring values over as is.
    LFM1     Grant Discount In Kind
    (NRGEW)     CHAR/1          Bring values over as is.
    LFM1     Relevant for Price Determination
    (PRFRE)     CHAR/1          Bring values over as is.
    LFM1     Relevant for Agency Business
    (AGREL)     CHAR/1          Bring values over as is.
    LFM1     Shipping Conditions
    (VSBED)     CHAR/2          Bring values over as is.
    LFM1     Purchasing Group
    (EKGRP)     CHAR/3          Bring values over as is.
    LFM1     Planned Delivery Time
    (PLIFZ)     DEC/3          Bring values over as is.
    LFM1     Confirmation Control
    (BSTAE)     CHAR/4          Bring values over as is.
    LFM1     Unit of Measure Group
    (MEGRU)     CHAR/4          Bring values over as is.
    LFM1     Rounding Profile
    (RDPRF)     CHAR/4          Bring values over as is.
    LFM1     Price Marking Agreed
    (LIPRE)     CHAR/2          Bring values over as is.
    LFM1     Rack jobbing service agreed
    (LISER)     CHAR/1          Bring values over as is.
    LFM1     Order entry by vendor
    (LIBES)     CHAR/1          Bring values over as is.
    LFM1     Serv. Level
    (VENSL)     DEC/4
    Decimal/1          Bring values over as is.
    PARTNER FUNCTIONS
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    WYT3     Partner Function
    (PARVW)     CHAR/2          Bring values over as is.
    WRF02K     Number (Partner)
    (GPARN)     CHAR/10          Map to new partner number in vendor correlation table.
    ALTERNATE DATA
    (Purchasing Data)
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    LFM2     Order Currency
    (WAERS)     CUKY/5          Bring values over as is.
    LFM2     Terms of Payment
    (ZTERM)     CHAR/4          Refer to data mapping spreadsheet later in this spec. 
    LFM2     Incoterms (Part 1)
    (INCO1)     CHAR/3          Refer to data mapping spreadsheet later in this spec. 
    LFM2     Incoterms (Part 2)
    (INCO2)
         CHAR/28          Bring values over as is.
    LFM2     Minimum Order Value
    (MINBW)     CURR/13
    Decimal/2          Bring values over as is.
    LFM2     Schema group, vendor
    (KALSK)     CHAR/2          Bring values over as is.
    LFM2     Pricing Date Cat.
    (MEPRF)     CHAR/1          Bring values over as is.
    LFM2     Order Optim. Rest
    (BOPNR)     CHAR/4          Bring values over as is.
    LFM2     Salesperson
    (VERKF)     CHAR/30          Bring values over as is.
    LFM2     Telephone
    (TELF1)     CHAR/16          Bring values over as is.
    LFM2     Acc. With Vendor
    (EIKTO)     CHAR/12          Bring values over as is.
    LFM2     GR. Based Inv. Verif.
    (WEBRE)     CHAR/1          Bring values over as is.
    LFM2     Auto.Eval. GR Setmt. Del.
    (XERSY)     CHAR/1          Bring values over as is.
    LFM2     Auto.Eval. GR Setmt. Ret.
    (XERSR)     CHAR/1          Bring values over as is.
    LFM2     Acknowledgement Reqd.
    (KZABS)     CHAR/1          Bring values over as is.
    LFM2     Automatic Purchase Order
    (KZAUT)     CHAR/1          Bring values over as is.
    LFM2     Subsequent Settlement
    (BOLRE)     CHAR/1          Bring values over as is.
    LFM2     Subseq. Sett. Index
    (BOIND)     CHAR/1          Bring values over as is.
    LFM2     B. Vol.Comp./Ag. Nec.
    (UMSAE)     CHAR/1          Bring values over as is.
    LFM2     Doc. Index Active
    (BLIND)     CHAR/1          Bring values over as is.
    LFM2     Returns Vendor
    (KZRET)     CHAR/1          Bring values over as is.
    LFM2     Srv.-Based Inv.  Ver.
    (LEBRE)     CHAR/1          Bring values over as is.
    LFM2     ABC Indicator
    (LFABC)     CHAR/1          Bring values over as is.
    LFM2     Mode Of Transport-Border
    (EXPVZ)     CHAR/1          Bring values over as is.
    LFM2     Office of Entry
    (ZOLLA)     CHAR/6          Bring values over as is.
    LFM2     Sort Criterion
    (SKRIT)     CHAR/1          Bring values over as is.
    LFM2     PROACT Control Prof.
    (PAPRF)     CHAR/4          Bring values over as is.
    LFM2     Revaluation Allowed
    (XNBWY)     CHAR/1          Bring values over as is.
    LFM2     Grant Discount In Kind
    (NRGEW)     CHAR/1          Bring values over as is.
    LFM2     Relevant for Price Determination
    (PRFRE)     CHAR/1          Bring values over as is.
    LFM2     Relevant for Agency Business
    (AGREL)     CHAR/1          Bring values over as is.
    LFM2     Shipping Conditions
    (VSBED)     CHAR/2          Bring values over as is.
    LFM2     Purchasing Group
    (EKGRP)     CHAR/3          Bring values over as is.
    LFM2     Planned Delivery Time
    (PLIFZ)     DEC/3          Bring values over as is.
    LFM2     Confirmation Control
    (BSTAE)     CHAR/4          Bring values over as is.
    LFM2     Unit of Measure Group
    (MEGRU)     CHAR/4          Bring values over as is.
    LFM2     Rounding Profile
    (RDPRF)     CHAR/4          Bring values over as is.
    LFM2     Price Marking Agreed
    (LIPRE)     CHAR/2          Bring values over as is.
    LFM2     Rack jobbing service agreed
    (LISER)     CHAR/1          Bring values over as is.
    LFM2     Order entry by vendor
    (LIBES)     CHAR/1          Bring values over as is.
    LFM2     Serv. Level
    (VENSL)     DEC/4
    Decimal/1          Bring values over as is.
    ALTERNATE DATA
    (Partner Functions)
    Source File /Table Name     Field Name     Field Type / Length     Format     Rule / Logic
    WYT3     Partner Function
    (PARVW)     CHAR/2          Bring values over as is.
    WRF02K     Number (Partner)
    (GPARN)     CHAR/10          Map to new partner number in vendor correlation table.

    Hi Shareen,
    Have you looked Master Data Distribution (ALE) for Vendor since your legacy system are SAP?
    Please check t/code BD14 (Send Vendor Master Data) and BD15 (Get Vendor Master Data).
    Hope this will give you an idea.
    Regards,
    Ferry Lianto

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