Currency in Sales Document
Hello all,
How is the currency determined in a sales order. And also what will happen if the sales order currency and condition record currency are different.
Edited by: Kumar Reddy on Dec 17, 2007 3:05 PM
Hi,
Document currency is the currency appearing at the header of the document under "Pricing and Statistics " tab. The field label is "Doc Currency". Hence there is no mistaking it. It can flow from the customer master , or can be manually entered in the sales order.
Condition record currency is the currency one enters at the line item level.
System will always convert the item level value into document currency value. For instance, if the line item amount is 100 USD and doc currency is INR, then condition value will be 4000 INR, if the exchange rate is 40 INR / USD. Also please note that net value of the line item and sales document will always be in document currency.
Muraleedharan.R
091 9880028904
Similar Messages
-
Defaulting Document Currency in Sales Documents
Hi,
We have a requirement where in we need to default the document currency in a sales document based on certain rules.
As far as i know, the document gets picked up automatically if a Billing currency is maintained in the Sales Area data of the Sold to party.
Just wanted to find out is there any other way by which we can pick the currency in a document ? I am looking at non custom ways of achieving this.
Thanks in advance
VarunHi,
CURRENCY will be taken from the CONDITION RECORDS of CONDITION TYPE in VK11
That is the Priority over others.
regards,
santosh -
STWAE-Change a statistics currency in sales document
Hi,
I have 5 Sales Order and 4 Bills with a statistics currency and I need to change this statics currency by another.
Someone known if is it possible this change? How?
Thanks in advance!
XeviG.Hi,
Document currency is the currency appearing at the header of the document under "Pricing and Statistics " tab. The field label is "Doc Currency". Hence there is no mistaking it. It can flow from the customer master , or can be manually entered in the sales order.
Condition record currency is the currency one enters at the line item level.
System will always convert the item level value into document currency value. For instance, if the line item amount is 100 USD and doc currency is INR, then condition value will be 4000 INR, if the exchange rate is 40 INR / USD. Also please note that net value of the line item and sales document will always be in document currency.
Muraleedharan.R
091 9880028904 -
Sales Document Flow - Ref. Value not showing correct currency
I have a question about document flow currency in ECC6.0. We recented upgraded to ECC6.0 from 4.7 and noticed the changes to document flow. We are a US based company with sales offices in Europe. Our European offices are finding that that document flow in ECC6.0 shows in base currency of USD. Even thought the sales order was entered in EUR euros. Is this intended to be this way; since it is causing our offices in Europe some confusion? I searched forums an SAP notes and did not find any references. Has anyone see this in ECC6.0
Example Document Flow: Line Level (I do not see Ref Value at header level)
Note Sales Document was entered in EUR euros.
Document Quantity Unit Ref. Value Currency
Standard Order 0025082768 / 10 12 EA 5,207.54 USD
...Delivery 0080211725 / 10 12 EA
.....Picking request 20100423 / 10 12 EA
.....Handling unit 0001221687 / 1 12 EA
.....GD goods issue:delvy 4901261948 / 1 12 EA 1,690.08 GBP
...Invoice 0092006736 / 10 12 EA 5,207.55 USD
Accounting document 0092006736 12 EA
If I highlight top line in document flow, I see the following in lower part of screen. This is the currency entered on the sales order.
0025082768 10 12 EA 3,847.80 EURSmile,
Thanks for pointing those configuration points out. I checked my system and found the following. I do not see any change documents for the configuration points, so they have been set this way since our implemenation in 2005.
XD02 is customer master change, the customer on my order is set to EUR in sales in distribution tabs.
OX02 - Company Code
1000 Middleton USD...ok
2000 London GBP ok
2100 Munich EUR...ok
2210 Amsterdam EUR...ok
4000 Hong Kong USD...ok
I think OVX5 is not set correctly, should be same as OX02. If I change them, do I need to run an update in the system for old data? Or is it as simple as changing the value here? I'm hesitant to change this not knowing how this will affect the system. Do you know?
OVX5 - Sales Org
1000 Middleton USD...ok
2000 London USD should be GBP
2100 Munich USD should be EUR
2210 Amsterdam USD...should be EUR
4000 Hong Kong USD...ok
Thanks,
Tony Romain -
Billing Currency Differs from Sales Document
Hi all
I have a scenario where in the Sales document is having currency USD. At the time of creating the sales order the document currency is changed to EUR. Header condition is entered manually (FREIGHT) for which the currency is entered as EUR. Created the susequent documents delivery & billing. In billing the currency of the FREIGHT is coming in USD, other condition types are coming in EUR. Can anyone please help me in knowing why it is coming like this.
Thanks & Regards
TarunHi,
Please check the currency maintained in the CONDITION RECORDS ofo FREIGHT in VK12
May be the currency maintained was USD.
Please check and return.
regards,
santosh -
Cross currency issue in Sales Document
Hi,
We have two company code whose local currency are INR for company one and USD for company two.At present we maintain USD to INR and INR to USD.But we want to maintain only USD to INR.And system should automatically determine the INR to USD rate in the sales document.
How should i go about it?
Regards,
SATYAHi,
Ya,we maintain it that way only.
But its not happening.Whenever i make a sales order for a company code whose local currency is USD and if i make a order in INR then system is throwing an error message saying"Exchange rate from INR to USD not maintained for a a date".
Is there any other configuration need to be done ?
Thanx for your reply
Regards,
SATYA -
Default document currency as per document type for sales order
Dear All,
We are facing problem in Default document currency as per document type for sales order,
Our requirement is not to give currency in customer master & set it as default document currency as per document type,
for example: Document type 'OR' default currency 'INR',
Document type 'ZEU' default currency 'EUR',
Document type 'ZUS' default currency 'USD',
Document type 'ZNP' default currency 'NRP,'
Document type 'ZAF' default currency 'RAND,'
Is it any how possible in standard setting ?,
Regards,
SaiHi,
The system proposes the sales document currency from the customer master record of the sold-to party. You can change the currency manually in the document or change in currency in customer master. If you change the currency, the system recalculates prices for the entire document.
to determine different currrency in sales docuement you need to write an user exit and then overwrite the docuement currency copied from customer master. Try user exit 'USEREXIT_MOVE_FIELD_TO_VBAK' under include MV45AFZZ for this change.
with regards
vivek. -
Explanations on Sales Documents
Can anybody send explanations about sales documents that I have mentioned below?
Inquiry IN
Quotation QT
Free-of-charge delivery FD
Standard sales order OR
Cash sale BV
Rush order SO
Quantity contract CQ
Maintenance contract WV
Rental contract MV
Scheduling agreement DS
Credit memo request CR
Debit memo request DR
Subsequent delivery, free-of-charge SD
Returns REhi
==============================
can also refer to the link below for more info on SD ..
SD Process Flow
==============================
SD FLOW:
Sales
Inquiry - A customers request to a company that they provide a quotation or sales information without obligation. An inquiry can relate to materials or services, conditions and if necessary delivery dates. The sales area that accepts the inquiry becomes responsible for further processing.
Quotation - A quotation presents the customer with a legally binding offer for delivering a product or providing a service within certain fixed conditions. This offer is legally binding for the company within a specified time period. A sales area can reply to a customer inquiry with a customer quotation or use it to refer to a business partner contact.
Sales Order - Request from a customer to a company to deliver a defined quantity of products or provide a service at a certain time.
The sales area that accepts the inquiry is responsible for completing the agreement.
Create Delivery:a. Picking - The picking process involves taking goods from a storage location and staging the right quantity in a picking area where the goods will be prepared for shipping.
b. Packing - Packing is part of delivery- and shipment processing. When you process a delivery, you can select delivery items for packing and assign them to handling units (HUs).
c. Goods Issue - As soon as the goods leave the company, the shipping business activity is finished. This is illustrated using goods issue for outbound deliveries.
Billing - Billing represents the final processing stage for a business transaction in Sales and Distribution. Information on billing is available at every stage of order processing and delivery processing.
Sales Order Management Transactions
SALES ORDER PROCESSING
Creating Sales Order - VA01
Maintaining a Sales Order - VA02
Displaying a Sales Order - VA03
Releasing an Order or Delivery from Credit Hold: Non-Flooring - VKM1
Display List of RMAs by Customer - VA05
Confirm RMA Goods Receipt - VL02
Generate list of open return orders for deletion - VA05
Display Customer returns eligibility - MCSI
Removing a Billing Block (Approving Credit/Debit Requests) - V.23
PRICING MASTER DATA
Create Pricing - VK11
Creating a Sales Deal - VB21
Maintaining a Sales Deal - VB22
Displaying a Sales Deal - VB23
Maintaining Prices - VK12
Displaying Prices - VK13
MATERIAL MASTER DATA
Creating Material Substitution Master Data - VB11
Maintaining/Deleting Material Substitution Master Data - VB12
Displaying Material Substitution Master Data - VB13
Creating a Bundled Master - MM01
Creating a Sales BOM - CS01
Maintaining a Sales BOM - CS02
Displaying a Sales BOM - CS03
CUSTOMER MASTER DATA
Creating Partner Records - XD01
Maintaining Customer Master Data - XD02
Displaying Customer Master Data - XD03
Deactivating a Partner - VD06
CUSTOMER CREDIT INFO
Creating/Maintaining New Customer Credit Information - FD32
Displaying Customer Credit Information - FD33
Blocking or Unblocking a Customer - VD05
SHIPPING
Creating a Delivery - VL01N
Displaying a Delivery - VL03N
Changing a Delivery - VL02N
Shipment Inquiry / Display - VT03
Adjusting Transfer Order - Confirmation Quantity - LT12
Collectively Confirm Transfer Order - LT25
Batch Shipment Confirmation - VL19
PGI Reversal Cancellation - VL09
Creating Service Provider/Carrier Master Data - XK01
Maintaining Serive Provider/Carrier Master Data - XK02
Displaying Service Provider/Carrier Master Data - XK03
Maintaining Product Master/Serial # Profile/Unit of Measure/Shipping Unit - MM02
IDoc Inquiry - WE02 / WE05
BILLING
Invoicing a Customer Shipment - VF01
Reprinting an Invoice - VF31
Releasing a Sales Order for Billing - V.23
Creating an Invoice by Using the Billing Due List - VF04
Checking Open Billing Documents - VF05
Create Credit/Debit Memo - FB01
A/R
Controlling Total Debit/Credit bkgs - F.03
Generate FI Account balance - F.08
Generate Month-to-date Inv. register - F.02
Process payments - FBZ1
Rqst Individual Customer Corresp. - FB12
Generate Customer Correspondence - F.61
Enter Batch totals under Control ttl - FB07
Display G/L Acct. totals - FBL3N
Reverse Posted Amounts - FB08
Customer Refunds - FBL6
Customer Refund to other than Payer - FB05
Clearing Debit/Credit on Cust. acct. - FB1D
Customer Balance in Local Currency - F.23
G/L Account Balance Report - F.08
Create Invoice - legal entity adjust - FB01
Generate Cust. Acct. statements - F.27
Generate Dunning Letters - F150
Generate Billing Due List - VF04
Generate Blocked Billing Doc list - VFX3
Inq. via Credit Release Screen - VKM1
List orders by partner - VA05
Past Due invoices by customer - FD11
Check number info by G/L account - FBL3N
Display customer Line items - FBL5N
SD Configuration:
Enterprise Structure:
1. Maintaining Sales Organization
Sales Organization is an organizational unit responsible for the sale of certain products or services.
IMG -> Enterprise Structure -> Definition -> Sales and Distribution -> Define, copy, delete, check Sales organization
2. Assigning Sales Organization to Company Code
This assignment ensures all the sales made through this Sales Organization are accounted for in the assigned Company Code (Company Code is created by FI Consultant).
IMG -> Enterprise Structure -> Assignment -> Sales and Distribution -> Assign Sales Organziation to Company Code
3. Maintaining Distribution Channel
Distribution Channel is the way, in which Products or Services reach Customers.
IMG -> Enterprise Structure -> Definition -> Sales and Distribution -> Define, copy, delete, check distribution channel
4. Assigning Distribution Channel to Sales Organization
This assignment ensures, a Sales Organization can supply Materials to Customers through this Distribution Channel.
IMG -> Enterprise Structure -> Assignment -> Sales and Distribution > Assign distribution channel to sales organization
5. Maintaining Division
Division is a way of grouping materials, products, or services.
IMG -> Enterprise Structure -> Definition -> Logistics - General -> Define, copy, delete, check division
6. Assigning Division to Sales Organization
IMG -> Enterprise Structure -> Assignment -> Sales and Distribution -> Assign division to sales organization
7. Setting up Sales Area
All the sales are made from a particular sales Area. For creating a Sales Order Sales Area is compulsory.
IMG ->Enterprise Structure -> Assignment -> Sales and Distribution -> Set up sales area
8. Assigning Sales Organization- Distribution Channel- Plant
Plant is created ny MM Consultant.
IMG -> Enterprise Structure -> Assignment -> Sales and Distribution -> Assign sales organization - distribution channel - plant
9. Define Shipping Points
Shipping Point is the Organizational element, which is responsible for shipping the Materials to the Customers.
IMG -> Enterprise Structure -> Definition -> Logistics Execution -> Define, copy, delete, check shipping point
10 Assigning Shipping Point to Plant
This assignment ensures that goods from different Plant can be dispatched from different Shipping Points.
IMG -> Enterprise Structure -> Assignment -> Logistics Execution -> Assign shipping point to plant
Note: Ensure to do the undermentioned configuration also though it is not in Customizing node of Enterprise Structure.
11. Defining Common Distribution Channels for Master Data
Use
The purpose of this activity is to define distribution channels which have common master data..
Procedure
Access the activity using one of the following navigation options:
IMG Menu -> Sales and Distribution -> Master Data -> Define Common Distribution Channels
Transaction Code: VOR1
12. Defining Common Divisions for Master DataUse
The purpose of this activity is to define distribution channels which have common master data..
Procedure
Access the activity using one of the following navigation options:
IMG Menu -> Sales and Distribution -> Master Data -> Define Common Division
Transaction Code: VOR2
Pricing Procedure
In SD, Pricing Procedure is determined based on Sales Area (Sales Organization + Distribution Centre + Division) + Customer Pricing Procedure + Document Pricing Procedure. Sales Area is determined in Sales Order Header Level. Customer Pricing Procedure is determined from Customer Master. Document Pricing Procedure is determined from Sales Document Type / Billing Type (if configured). Once the pricing procedure is determined, Condition records are fetched. If appropriate condition records are found, the price is determined. If Mandatory pricing condition is missing, system will through an error message.
In SD, the steps to configure Pricing procedure are as under:
Step 1:
Condition table: If existing condition table meets the requirement, we need not create a new condition table. Considering the requirement for new condition table, the configuration will be done in spro as follows: IMG --> Sales & Distribution --> Basic Function --> Pricing Control --> Condition Table (select the required fields combination, which will store condition record).
Step 2:
Access Sequence: If existing access sequence meets the requirement, we need not create a new access sequence. Considering the requirement for new sequence, the configuration will be done in spro as follows: IMG --> Sales & Distribution --> Basic Function --> Pricing Control --> Access Sequence (Access sequence is made up of Accesses (Tables) & the order of priority in which it is to be accessed. Here we assign the condition table to access sequence.
Step 3:
Condition Type: If existing condition type meets the requirement, we need not create a new condition type. Considering the requirement for new condition type, the configuration will be done in spro as follows: IMG --> Sales & Distribution --> Basic Function --> Pricing Control --> Condition Type. It is always recommended to copy an existing similar condition type & make the neccessary changes. Here we assign Access sequence to Condition type.
Step 4:
a. Pricing Procedure: It is recommended to copy a similar pricing procedure & make the neccesary changes in new pricing procedure. Pricing Procedure is a set of condition type & arranged in the sequence in which it has to perform the calculation. Considering the requirement for new Pricing Procedure, the configuration will be done in spro as follows: IMG --> Sales & Distribution --> Basic Function --> Pricing Control --> Pricing Procedure --> Maintain Pricing Procedure.
b. Pricing Procedure: After maintaining the pricing procedure the next step will be determination of pricing procedure. Configuration for determining pricing procedure in SPRO is as follows: IMG --> Sales & Distribution --> Basic Function --> Pricing Control --> Pricing Procedure --> Determine Pricing Procedure.
5. Condition record: Condition record is a master data, which is required to be maintained by Core team / person responsible from the client. During new implementation, the condition records can be uploaded using tools like SCAT, LSMW, etc.
Normal Sales Order Cycle:-
Step 1: Sales Document Type
IMG > Sales and Distribution > Sales > Sales Documents >
Sales Document Header:
1. Sales Document Type:The sales document types represent the different business transactions, such as Inquiry, Quotation, Sales Order, etc. To create new sales order type, always copy as with reference to similar sales order. If possible use standard sales order.
2. Define Number Ranges For Sales Documents: Maintain number range with discussion with core team.
3. Assign Sales Area To Sales Document Types:
A. Combine sales organizations / Combine distribution channels / Combine divisions: Ensure to maintain these, else Sales Order creation will give error.
B. Assign sales order types permitted for sales areas: Assign only required Sales Order Types to required Sales Area. This will minimize selection of Sales Order Type as per sales area.
Sales Document Item:
1. Define Item Categories: If possible use Standard Item Category. Incase if required to create new, copy as from standard & maintain New.
2. Assign Item Categories: If possible, use standard. Formula for deriving item category: Sales Document Type + Item Category Group + Usage + Higher Level Item Category = Item Category
Schedule Line:
1. Define Schedule Line Categories: If possible use Standard Schedule Lines. Incase if required to create new, copy as from standard & maintain New.
2. Assign Schedule Line Categories: If possible, use standard. Formula for deriving Schedule Line: Item Category + MRP Type / No MRP Type.
Step 2:
IMG > Logistic Execution > Shipping > Deliveries >
1. Define Delivery Types: If possible use Standard Delivery Type. Incase if required to create new, copy as from standard & maintain New.
2. Define Item Categories for Deliveries: If possible use Standard Item Categories for Delivery Type. Incase if required to create new, copy as from standard & maintain New.
3. Define Number Ranges for Deliveries: Ensure to maintain number range.
Step 3:
IMG > Sales and Distribution > Billing >
1. Define Billing Types: If possible use Standard Billing Type. Incase if required to create new, copy as from standard & maintain New.
2. Define Number Range For Billing Documents: Ensure to maintain number range.
3. Maintain Copying Control For Billing Documents: Maintain relevant copy controls such as Sales Order to Billing, Deliver to Billing, etc.
he configuration differs from scenario to scenario & requirement of the client.
Interesting &important link to learn much more about configuration & business process is as under:
Link: http://help.sap.com/
Path: SAP Best Practices --> Baseline Packages --> Based on SAP ECC 5.00 --> Select Country: for eg, Localized for India --> Technical Information --> Building Blocks --> Select Country for eg, India --> List of Basic Configuration & scenarios will be listed.
Select the required basic configuration / scenario. These will consist of overview, configuration guide, business process, master data &so on.
====
Cash Sale & Rush Order
Cash Sales and Rush Orders
====
Contracts
General Contract Processing
http://help.sap.com/erp2005_ehp_02/helpdata/en/5e/69a1228f6211d2a9f60000e8a6f09e/frameset.htm
Renewing Contracts
http://help.sap.com/erp2005_ehp_02/helpdata/en/2c/275c9c456a11d189440000e829fbbd/frameset.htm
Subsequent Rental
http://help.sap.com/erp2005_ehp_02/helpdata/en/42/c820c5f8191377e10000000a1553f7/frameset.htm
Real Estate Contract
http://help.sap.com/erp2005_ehp_02/helpdata/en/8d/fb783b05efdb18e10000000a114084/frameset.htm
Value Contract
http://help.sap.com/erp2005_ehp_02/helpdata/en/dd/55fd7a545a11d1a7020000e829fd11/frameset.htm
Creating and Sending Complaint Notifications
http://help.sap.com/erp2005_ehp_02/helpdata/en/2a/df32f73d7a4bbd8d6e50b32e9227e8/frameset.htm
Use of Value Limits (for Unplanned Services)
http://help.sap.com/erp2005_ehp_02/helpdata/en/c3/72cd0755cd11d189660000e8323c4f/frameset.htm
====
Quantity Contract
http://help.sap.com/erp2005_ehp_02/helpdata/en/dd/55fd60545a11d1a7020000e829fd11/frameset.htm
http://help.sap.com/erp2005_ehp_02/helpdata/en/70/23c791419311d2ac100000e829fbfe/frameset.htm
Batch Determination in Quantity COntract
http://help.sap.com/erp2005_ehp_02/helpdata/en/25/283c804f7811d18a150000e816ae6e/frameset.htm
Customer Contracts
http://help.sap.com/erp2005_ehp_02/helpdata/en/dd/55fd53545a11d1a7020000e829fd11/frameset.htm
Purchase Contract
http://help.sap.com/erp2005_ehp_02/helpdata/en/70/23c6ce419311d2ac100000e829fbfe/frameset.htm
Contract Settlement & Billing
http://help.sap.com/erp2005_ehp_02/helpdata/en/ea/00efa6f94011d2968c006094b92c6a/frameset.htm
====
Service Contract
http://help.sap.com/saphelp_sm40/helpdata/en/8f/b4113a7e31e403e10000000a11402f/frameset.htm
Processing Service Contract
http://help.sap.com/saphelp_46c/helpdata/en/e6/4a8f849e0311d189b70000e829fbbd/content.htm
Service Order Processing
http://help.sap.com/saphelp_crm40/helpdata/en/81/78963ec975667fe10000000a114084/content.htm
<b>Sub Contracting Cycle</b>
(1) You have a material that can be procured externally, and you have maintained BOM with components. Any waste generated and received during subcontracting process can be maintained as component with negative quantity.
(2) You create a subcontracting PO (PO with Item Category L). You can also maintain Purchase Info Record for Subcontract category for material and subcontractor.
(3) You make a transfer posting to issue components for SC PO. Material is sent to subcontractor. As material remains under your ownership, system does not make any value entry. But quantity is shown as "Material Provided to Vendor"
(4) You receive finished material against SC-PO. You also specify components consumed in manufacturing of finished goods. Additionally, if you have negative components in BOM, now you'll also receive subcontracting by-products. There are three events, so three accounting entries are generated:
DR FG Stock/ SC By-Product Stock
CR Change in Stock (FG/ SC By-Product )
(for finished goods received)
DR Subcontracting Charges
CR GR/IR Clg
(for moneys payable to Subcontractor)
DR Consumption (Components)
CR Change in Stock (FG/ SC By-Product )
(material provided to Vendor is now charged to expense)
(5) You do the IV for SC Invoice, and the process is complete.
<b>Process of Subcontract in MM</b>
Sub-contract business process:
You want to buy material from the supplier (processed material/ assembled item) , but for some reason (quality of certain item / price ) you will give some component to vendor .
Vendor shall process the item / use the item provided & supply the final item.
SAP process:
1.Create the finished goods material code.
2.Maintain the BOM for the material.
3.Create PO with item category as "L" .
4.Issue material to vendor with movement type 541
5.Receive the material against the PO with movement type 101.
6.MIRO to account for vendor's invoice for the service charge& material used by him.
Can anybody tell me how a process has to be given to subcontracting?
Suppose, I have 3 operations 1)weaving 2)dyeing 3)cutting & packing
if no 2 process (i.e Dyeing) has to be given to subcontracting, what process should i follow ?
The following process to be followed for subcontracting.
1. Item code(material master) to be created at the stage of before dyeing.
2. Item code(material master) to be created after Dyeing as subcontracted item.(F30)
3. Bill of material to becreated for the material(2) calling for material(1)
4. Inforecord and source list to be created for material(2) with the corresponding vendor
5. PO to be released for material (2)
6.Along with PO the material(1) to be issued to vendor
7.On receipt of material when GR is made the stock with vendor will get updated.
<b>How to Create a Subcontract Order?</b>
To create a subcontract order, proceed as follows:
Enter the material you want to order and the item category for subcontracting (L) in the order item.
Press ENTER to display the screen for component processing.
Enter the components that the vendor requires to manufacture the product.
Please note:
You do not need to enter the date required for the components. This date is proposed by the system when you press ENTER.
It is calculated as follows:
Delivery date of the item - Planned delivery time
If you do not want the quantity of the components to be changed if the order quantity of the end product is altered, set the indicator Fixed quantity (column F).
You can determine whether the components are available on the date required by selecting Edit -> Availability check.
If you entered a bill of material as the material in the subcontract order, the components are created automatically.
If you want to determine the components in the bill of material at a later date (for example, if the bill of material is subsequently changed), choose Item -> Component -> New BOM explosion. The existing components are deleted and redetermined in the bill of material.
Save the purchase order.
When you print the purchase order, the components are printed per order item.
====
Scheduleing AGreements
Creating Schedule Agreements
http://help.sap.com/erp2005_ehp_02/helpdata/en/75/ee0f8155c811d189900000e8322d00/frameset.htm
Controling Scheduling Agrement
http://help.sap.com/erp2005_ehp_02/helpdata/en/93/7439ee546011d1a7020000e829fd11/frameset.htm
Example Data
http://help.sap.com/erp2005_ehp_02/helpdata/en/8a/815cc3b36211d188e70000e8216438/frameset.htm
Mass Maintenance of Scheduleing Agreements
http://help.sap.com/erp2005_ehp_02/helpdata/en/1a/8b4bbecdd74536acd4e970faaf6e2d/frameset.htm
Initial Data Transfer
http://help.sap.com/erp2005_ehp_02/helpdata/en/49/87c646f4a311d1955100a0c9306667/frameset.htm
Analysis & Copying of Scheduling Agreements
http://help.sap.com/erp2005_ehp_02/helpdata/en/45/f9a69036035f4be10000000a114a6b/frameset.htm
Processing Scheduling Agrements
http://help.sap.com/erp2005_ehp_02/helpdata/en/bd/1850f298a911d194fc00a0c9306667/frameset.htm
Scheduling Agreements for Suppliers
http://help.sap.com/erp2005_ehp_02/helpdata/en/93/743962546011d1a7020000e829fd11/frameset.htm
====
Credit Memo
Credit Memo
http://help.sap.com/erp2005_ehp_02/helpdata/en/a8/b99890452b11d189430000e829fbbd/frameset.htm
Creating Credit Memo / Debit Memo
http://help.sap.com/erp2005_ehp_02/helpdata/en/dd/561076545a11d1a7020000e829fd11/frameset.htm
Creating Credit Memo / Debit Memo Requests
http://help.sap.com/erp2005_ehp_02/helpdata/en/dd/55fed1545a11d1a7020000e829fd11/frameset.htm
Credit & Debit Memos
http://help.sap.com/erp2005_ehp_02/helpdata/en/a2/40418a496e11d3b3850008c719be0f/frameset.htm
Processing Credit Memo : Example
http://help.sap.com/erp2005_ehp_02/helpdata/en/4e/b3c399a1f711d194e700a0c9306794/frameset.htm
===
Debit Memo : http://help.sap.com/erp2005_ehp_02/helpdata/en/8d/a4b3880bc4c441905801d5025a5600/frameset.htm
====
Return process
You need to receipt the rejected goods through SD Module (VA01 - Sales Order type RE).
The steps are as follows :
1. Create a return request. (Using Sales Order in SD)
2. Create outbound delivery according to return request.
3. If the setting is correct in the outbound delivery screen SAP will automatically switch post goods issue button into post goods receipt. The setting is in sales order item category and delivery type.
4. In the standard system the movement type used is 651.
5. After post goods issues receipt is done using outbound delivery, the quantity is placed in blocked stock without value updating.
6. You will then decide if the return quantity are indeed bad stock or not.
7. Transfer Posting from block stock to unrestricted stock (mvt type 453), this will have accounting effect (Debit Inventory, Credit COGS)
8. Goods Issue to scrap account how to create new titles which can be used in creating the "address" view on the Vendor master.{T-Code: XK01}
In config go to Basis Components --> basis services --> Address Management --> Maintain title texts
Order type (RE)
Returns (RE) (VA01) Order will be placed as a return type order
PGR (VL02N) post goods receipt
Billing (VF01) --> Credit Memo is Raised
Accounting (VF02) --> Credit memo is passed to Accounting tables
===
Calcelling Invoice.
VF11 --> PGI (VL09N)
===
====
Reward if USeful
Thanx & regrads.
Naren.. -
Hi all,
I have a simple question. I want currency in my sales order to come in INR, currently it is coming in USD. Now the things that I have already checked are:
Sales org currency is maintained in INR
Condition records are maintained in INR
It would be really helpful if you can also let me know how the currency flows on to a sales document and also on a billing document, because next step is even if the currency on sales order is in USD on billing it should be in INR.
thanks in advance
AnmolHi
Please check the currency of that particular customer in Customer master data it might be USD maintained there change it to INR
regards -
Dear Gurus,
I need help on the following fields of sales document.
How i get the following fields into sales document (From any Master data or System determined or Manual entry)
1.Document currency (VBAK-WAERK)
2.Exchange Rate (VBKD-KURSK)
3. No. serial numbers (VBAP-ANZSN)
4. Cumul.confirmed qty (VBAP-KBMENG)
5. Object no.Item (VBAP-OBJNR)
6. Profit Center (VBAP-PRCTR)
7. Configuration (VBAP-CUOBJ)
8. Object no.Item (VBAP-OBJNR)
Thank you
ANilHello,
1.Document currency (VBAK-WAERK) - Determined By system
2.Exchange Rate (VBKD-KURSK) - Determined By system
3. No. serial numbers (VBAP-ANZSN) - Serial numbers normally maintiend in delivery manually.
4. Cumul.confirmed qty (VBAP-KBMENG) - Determined By system
6. Profit Center (VBAP-PRCTR) - Material Master
7. Configuration (VBAP-CUOBJ) - Material Master
Prase -
Sales Document type not defined
Hi
I am working on an interface. Design is like below
Purchase Order->File Adapter->XI (BPM)->RFC Adapter->Sales Order in R/3
When I am trying to cretae a sales document in R/3, I am getting a message back from R/3 saying 'Sales Document is not defined'. But when Checked in R/3, that sales document type is existing. I don't see any Mapping execption in monitoring, but I am receiveing this message back from R/3
Any feedback will be highly appreciate.
Cheers
Rajiv PHi
Well initially it was a value-mapping problem. It is possible to debug a BAPI/RFC from XI. If it is possible, the please advise me of the procedure. My XI is working fine but I am getting a message back from R/3 as below. Any feedback will be highly appreciated
<?xml version="1.0" encoding="UTF-8" ?>
- <rfc:BAPI_SALESORDER_PROXY_CREATE.Response xmlns:rfc="urn:sap-com:document:sap:rfc:functions">
<E_SALESDOCUMENT_EX />
<E_STATUS>E</E_STATUS>
- <RETURN>
- <item>
<TYPE>S</TYPE>
<ID>V4</ID>
<NUMBER>233</NUMBER>
<MESSAGE>SALES_HEADER_IN has been processed successfully</MESSAGE>
<LOG_NO />
<LOG_MSG_NO>000000</LOG_MSG_NO>
<MESSAGE_V1>VBAKKOM</MESSAGE_V1>
<MESSAGE_V2 />
<MESSAGE_V3 />
<MESSAGE_V4 />
<PARAMETER>SALES_HEADER_IN</PARAMETER>
<ROW>0</ROW>
<FIELD />
<SYSTEM>UD1CLNT010</SYSTEM>
</item>
- <item>
<TYPE>E</TYPE>
<ID>V1</ID>
<NUMBER>384</NUMBER>
<MESSAGE>Sales unit ****** is not defined for item 000000</MESSAGE>
<LOG_NO />
<LOG_MSG_NO>000000</LOG_MSG_NO>
<MESSAGE_V1>******</MESSAGE_V1>
<MESSAGE_V2>000000</MESSAGE_V2>
<MESSAGE_V3 />
<MESSAGE_V4 />
<PARAMETER>SALES_ITEM_IN</PARAMETER>
<ROW>1</ROW>
<FIELD />
<SYSTEM>UD1CLNT010</SYSTEM>
</item>
- <item>
<TYPE>E</TYPE>
<ID>V4</ID>
<NUMBER>248</NUMBER>
<MESSAGE>Error in SALES_ITEM_IN 000001</MESSAGE>
<LOG_NO />
<LOG_MSG_NO>000000</LOG_MSG_NO>
<MESSAGE_V1>VBAPKOM</MESSAGE_V1>
<MESSAGE_V2>000001</MESSAGE_V2>
<MESSAGE_V3 />
<MESSAGE_V4 />
<PARAMETER>SALES_ITEM_IN</PARAMETER>
<ROW>1</ROW>
<FIELD />
<SYSTEM>UD1CLNT010</SYSTEM>
</item>
- <item>
<TYPE>E</TYPE>
<ID>V4</ID>
<NUMBER>219</NUMBER>
<MESSAGE>Sales document was not changed</MESSAGE>
<LOG_NO />
<LOG_MSG_NO>000000</LOG_MSG_NO>
<MESSAGE_V1 />
<MESSAGE_V2>000001</MESSAGE_V2>
<MESSAGE_V3 />
<MESSAGE_V4 />
<PARAMETER />
<ROW>0</ROW>
<FIELD />
<SYSTEM>UD1CLNT010</SYSTEM>
</item>
- <item>
<TYPE>E</TYPE>
<ID>C_</ID>
<NUMBER>005</NUMBER>
<MESSAGE>The object references could not be written to the CRMKEY</MESSAGE>
<LOG_NO />
<LOG_MSG_NO>000000</LOG_MSG_NO>
<MESSAGE_V1 />
<MESSAGE_V2 />
<MESSAGE_V3 />
<MESSAGE_V4 />
<PARAMETER />
<ROW>0</ROW>
<FIELD />
<SYSTEM>UD1CLNT010</SYSTEM>
</item>
</RETURN>
<TI_EXTENSIONIN />
<TI_ORDER_CCARD />
<TI_ORDER_CFGS_BLOB />
<TI_ORDER_CFGS_INST />
<TI_ORDER_CFGS_PART_OF />
<TI_ORDER_CFGS_REF />
<TI_ORDER_CFGS_REFINST />
<TI_ORDER_CFGS_VALUE />
<TI_ORDER_CFGS_VK />
- <TI_ORDER_CONDITIONS_IN>
- <item>
<ITM_NUMBER>000001</ITM_NUMBER>
<COND_ST_NO>000</COND_ST_NO>
<COND_COUNT>00</COND_COUNT>
<COND_TYPE>EDI1</COND_TYPE>
<COND_VALUE>57.600000000</COND_VALUE>
<CURRENCY>AUD</CURRENCY>
<COND_UNIT />
<COND_P_UNT>1</COND_P_UNT>
<CURR_ISO />
<CD_UNT_ISO />
<REFOBJTYPE />
<REFOBJKEY />
<REFLOGSYS />
<APPLICATIO /> -
Hi everyone,
Can anyone give me Third party sales configuration document
Regards,
BlessonHi,
Pls do a basic search in the forum before you post your queries.
Create customer master with XD01 by using account group 0001 under 2200 u2013 10 u2013 00 sales area.
Create a material master with MM01 with the material type u201CTrading goodsu201D.
Maintain the data in all the views and make sure that general item category group BANS
Purchasing group [000] in purchasing view
Create a vendor using transaction code XK01
Specify vendor number [ ] Here it is external
Company code [2200]
Purchasing organization [2200]
Account group [0001] and press ENTER
Maintain the data in all the required fields
Go to Next screen option
Specify Reconciliation account number [ ] sort key [ ]
Cash management group [A1]
Order currency [EUR] (customer is from France)
Save and Exit
Go to VA01 and raise the sales order
Change the item category as TAS (from TAN to TAS)
Save the document and note down the sales order number and Exit
Go to (sales order) VA03 Schedule lines and note down the purchase requisition number that has been displayed in purchase requisition field.
Raise the purchase order with reference to purchase requisition number by using Transaction code ME21
Specify the vendor number [ ]
Purchasing group [005] = Standard
Again purchasing group [000] and press ENTER
Click on with reference to purchase requisition
Select line item and click on Adopts + Details push button on application bar
In this section we have to specify the net price (cost that we maintained in the material master).
[] Un u2013 check GR (Goods Receipt)
If you uncheck GR, we can do the invoice verification based on the goods receipts.
Save the document and note down the number and Exit
Go to MIRO for invoice verification
Here we have to specify invoice date and purchase order number and specify purchase order number in
purchase order number [ ] field of PO reference tab and specify reference field and press ENTER
Then you can view balance amount from right side
The same amount should be specified in amount [ ] field and press ENTER
Then system makes balance amount 0 (zero). That means invoice verification has been done (completed).
Save the document and note down the number and Exit
Raise invoice to the customer [VF01]
Specify the standard order number and raise the invoice
Save and Exit
Go to VA02 (sales document) and observe the document flow.
Regards, -
Create DB view to hold all header sales document data
hi dear
i want Create DB view to hold all header sales document data on the following tables:
VBAK, VBKD, VBUK, KNA1 as follow:
FROM VBAK:
Sales Document
Created on
Time
Created by
Doc. Currency
Division
Sales Group
Sales Office
FROM VBKD:
Price group
Customer group
Sales district
Price List
Incoterms
Payt Terms
FROM VBUK:
Overall status
Totals status
Pricing
Document cat.
Document object
FROM KNA1:
Name
Name 2
City
Postal Code
Govern.Code
Search term
Street
Telephone 1
Fax Number
One-time acct
Address
2. i want also Select and display all data from that view from program code, sales order will be the only parameter.
Any pointers in this regard are very much helpful.
Regards
Waseem HeshamHello
SE11 -> View -> Create -> Database view
In column TABLES:
VBAK
VBKD
VBUK
KNA1
Join conditions:
VBUK-MANDT = VBAK-MANDT
VBUK-VBELN = VBAK-VBELN
VBAK-MANDT = VBKD-MANDT
VBAK-VBELN = VBKD-VBELN
KNA1-MANDT = VBAK-MANDT
KNA1-KUNNR = VBAK-KUNNR
View fields:
MANDT VBAK MANDT
VBELN VBAK VBELN
ERDAT VBAK ERDAT
ERZET VBAK ERZET
ERNAM VBAK ERNAM
... ENUMERATE HERE ALL FIELDS YOU NEED
Save and activate.
Then in programm:
tables: z_your_view.
data: itable like z_your_view occurs 0.
parameters: p_vbeln like vbak-vbeln.
select * from z_your_view into table itable where vbeln eq p_vbeln.
anything do with data ..... -
How can the exchange rate of a sales document can be added in PA report?
Hi!!!!!!!!!!!!!
The main issue, is that I have to add the ammount of the sales document in the "sales document currency" , I already have it in local currency, so I was trying to add the exchange rate and create a fomula it in the form in order to get the information.
Do somebody knows if it has to be created as a characteristic or value fied? How do I know if it has to be created an enhancement?
Thanks!!!!!Hi
As far as my knowledge goes, you cant add the exchange rate of the sales order to your COPA report
Whatever currency is posted in your FI, only that currency can come into COPA plus your op concern currency...
If it is so imperative in your case to report the transaction currency, You can, may be, think of creating one custom char (for Currency Code USD or INR, etc) and one value field and you can update them using user exit in COPA (COPA000*)... In this VF and Char, you can update, say 100 as the value and USD as the currency...
Or may be wait for other suggestions from group members
Regards
Ajay -
Report to display sales documents
Hi Experts:
I need to send a list of sales documents. To do so I understand that I need a executable report.
The only programm, I know is SAPLCRM_1O_MANAG_UI, but this is not executable.
Is there any standard programm I can use?
Or do you have any advices which functions to use to build our own programm?
Best regards,
CristinaTry function CRM_ORDER_GETLIST. If you need report, you will have to develop it. In that case use function crm_order_read to retrive data.
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