Customer Retrun Scenario with out billing (Invoicing)

Hi Expert,
We have customer return scenario in quality, As per SAP standard practice inthis senario sales order created, sales order delivery with pgi and billing happen for this order and material sent to customer. If any defect arises at customer end then retrun sales order will create and will follow standard procedure sales along with quality process.
But in our case std case also appliable with one diffrent case like Sales order created against customer. Sales order delivery with PGI and delivery note is sent to customer. Product is sent to customer site and this product is certified with third party (Govt) which is having legal requirement.
If this product meet to specification then only billing will take place for this product by client. this is case will be used only in subsidary case. 
if this product fails to meet legal product specification then client need to replace this product to customer with new part. can you guide us how to handle this scenario from quality perspective.
Best Regards,
Dev

For above standard process you can do PGI inspection (insp type 10), that should be not an issue in this case.
Now when you send this item to customer and if it doesn't meet specified spec requirement then you can create customer complaint notification in system and in this notification you can map all required steps as task. Even from this notification through "action box" you can generate inspection lot also if testing required for replaced part.
So map your req with customer complaint quality notification to meet quality requiremnts.

Similar Messages

  • Down Payments with out Billing plans is possible ?

    Hi experts,
    1. Is it possible Receiving down payments with out Billing plans?
    Scenario is customer pays 50% payment firist and remaining amount pays before PGI. so how shall i map? Currently am receiving advance amount by using F-29 t.code.
    2. If customer cancels his Sales Order how shalli pay advance amount return.
    Thanks In advance
    Rajendra

    HI rajendra,
         it is not possible to use downpayments without billing plan.either u have use milestone or periodic billing depending on business requirement.
    if u r recieving advance from customer directly thru FI route ,system would generate accounting doc (parking doc ) as a reference which goes to particular G/l account.
      use that doc number as reference and map it to downpayment condition record thru SD route in vk11,so that when ever u create a sales order system generates downpayment document with ref to this cond record.
    if customer cancels order ,condition record for advance recived still exists which can be used to next transaction as advance.
    but crucial part is once u have done PGI and billing for the advance recieved ,u will have to mark this conditionrecord as deletion or expired.sothat system will not use this or duplicate into other transactions.
    this is feesible and achievable.
    reward if helps !!!!!!

  • File to Web service (SOAP) to File scenario with out BPM in PI 7.1

    Hi All,
    I have scenario File to Web service (SOAP) to File scenario with out BPM.i am getting the below error:
    1) Error MP: unexpected exception caught com.sap.aii.af.service.cpa.impl.exception.CPAObjectKeyException: Value of key must not be null: ObjectId
    2) Error ROB: error during processing: com.sap.aii.af.lib.mp.processor.ModuleProcessorException: Processing Error
    PI server is 7.1 with SP:8
    I have configured the scenario like this
    1) 2 File channels - Sender & Receiver ,1 RFC channel - Receiver. We need to note that, the additional Module parameters need to be added only for sender File channel
    2) Created Sender Agreement
    3)Created Receiver Determination
    4)Created Interface Determination
    5)Created Receiver Agreement
    Regards,
    Ramesh

    Hi,
    Thanks for your reply!!
    My Scenario is File to SOAP to File.
    Configred modules  in Sender channal below:
    Prcessing sequence:
    Number       Module Name                                        Module Key
    1..........       AF_Modules/RequestResponseBean.......1
    2..........       CallSapAdapter..........................................2
    3..........       AF_Modules/ResponseOnewayBean.......3
    Module Configuration:
    Module Key                                       Parameter Name                                       ParameterValue
    1                                                        passThrough                                            true
    3                                                        receiverChannel                                       receiverChannel name
    3                                                        receiverService                                        receiverService name
    please tell any more confiration requered.
    Regards,
    Ramesh

  • Async-Sync scenario with out using BPM

    Hi All,
    With SP19 we can implement File-RFC-File scenario with out using BPM.
    But can any one suggest how can I implement the following File-RFC-File scenario without using BPM.
    My input file has five elements. A1,A2,A3,A4,A5
    The RFC (BAPI) needs A2 and A3 as input and it produces the output R6.
    Now in the destination I need to populate D1,D2,D3,D4,D5,D6.
    D1 has to be mapped from A1 and so on till fifth element. D6 will be mapped from R6. In order to achieve this we need to store the value of source interface before calling the RFC so that when we get the response back we can populate the entire destination structure.
    Can anyone advise how to go about it. I don't want to use a BPM here.
    Thanks
    Abinash

    Hi
    the following thread may help you
    Weblog to send Response from RFC to File in Asyn Mode Using Proxy [original link is broken]
    File - RFC - File without a BPM - Possible from SP 19.
    Thanks,
    Ram

  • STO WITH OUT BILLING BETWEEN COMPANY CODES

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

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

  • Rate amendment for depot material  with out going invoice from plant.

    Dear all,
    as per my scenario
    we have sent some items to depot before 5 month with excise invoice
    the price is at 150rupees per unit. and the BED at 16%
    now the company want to amend the price of the product by 50rupees more.
    and the excise is to be charged at 16%
    so what is the best possible way to amend the price now.
    how we can increase the price per unit.
    in depot when we are selling to the customer the excise is calculated at the price at what it was captured at RG23D.
    so please suggest the best possible way
    with regards to this i have got a valuable solution from SDN as
    For this scenario, there is a provision in SAP where you can create additional excise invoice for the extra price charged
    by the vendor or supplying plant. This you can achieve by using transaction code J1IGA.
    While doing depot sales this invoice is selected along with the mother invoice in transaction code J1IJ under "get excise invoice".
    Please note that you have to assign for all the excise conditions routine 356. System will bring the excise values in the billing based on
    the excise duties n the J1IJ and not from the sales oder.
    Depot Sales Process:
    1.Sales Order
    2.Delivery
    3.Excise Invoice Creation using T-Code J1IJ (Here you have to select Mother Invoice created in Transaction J1IG and
    Additonal excise created in transaction J1IGA)
    4.Billing. ( In billing excise duty will be copied from J1IJ and not from sales order based on 356 routines assigned to all the
    excise conditions)
    but now we need the outgoing excise invoicefrom plant to depot for additional excise duty which will be captured at depot but the inventory should not increase at depot this means a we want to create excise invoice with null quantity and that to be captured in the depot.
    soplease suggest the best possible way to solve the issue
    this is a very vital issue please help me
    Thanks With Regards
    Subrat

    Hi
      Use J1IH to create additional excise from plant to depot. but this will not reflect in depo sales.
    For depot sales addition excise will reflect from J1IGA.
    Regards
    MBS

  • RFC to SOAP scenario (with out XI/PI)

    Dear Experts ,
    Is it possible to push data from RFC to Webservice with out using XI/PI.
    Regards,
    Kartheek.

    It is indeed possible, however without having used PI/Xi in the middle, once the mentioned scenario would be implemented, it would be difficult to keep the track of the messages that would flow across systems (i.e. message log, corresponding data etc.). So my suggestion would be to make use of the PI module as a middle ware.
    Please check the URL that regards to your query.
    http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/d0d0a250-ccd1-2c10-9e9f-b9d5cf259a6d?quicklink=index&overridelayout=true
    Mutti

  • Revenue Recognition in KKAK with out billing document

    Hi All,
    We have a requirement for revenue recongnition for Contract in SD.
    We created contract for 6 months with revenue/billing of 10000 per month. When billing document is created for 30000 in first month and KKAK is executed system is giving correct results - actual revenue 10000 and accrured revenue as 20000.
    Now the Client wants to show revenue even when billing document is not created. ie If KKAK is executed for fisrt month of the contract it should show 10000 as revenue.
    I need help in the settings to be maintained for RA key to show the planned revnue.
    Please advice.
    Thanks
    Satish

    Hi Sai,
    We are created a Contract in SD and as per the billing plan the revenue sould be recognised. If the Contract value is 60000 for 6 months and billing plan is 10000 per month then first month 10000 should be recognised.
    In RA Key RA Type is E, Profit Indicator - R and Valuation basis is S.
    Thanks
    Satish

  • COPA document in ETO (Engineer to Order) Scenario with milestone billing

    Hi All
    I have some issue in COPA document generation in ETO Scenario.
    In ETO scenario, we have following important points
    --- Milestone billing (30 % downpayment, 60% on shipping and remaining 10% with closing invoice) in the Billing plan.
    --- We have dropship ment kind of scenario where the Purchase requisition is created while creation of Sales order.
    --- While GR for PO whill be statistical and we will be booking COGS in GR
    We have an issue in COPA document while billing. The quantity field is not getting updated.
    Please help.
    Regards
    Neeraj Bhardwaj

    Hi,
      Is this the same functionality as Revenue Recognition in SD ? In that case please refer note note 619498.
    regards
    Waman

  • How can we do the Testing in Idoc to File Scenario( With out using We19)

    Hi All,
    As all we know we can generate the Idocs from SAP R/3 to XI using the change Pointers,this we will apply in Production time.
    But as of now in the Test system we can'd do it daily.
    So we have already created materials in the SAP R/3 system.
    I want to send the Idoc to XI by selecting  some n number of materials.means i want to generate the Idoc for materials.this is like i have to do repeatedly for testing purpose.
    Is there any T-code
    How can we do this
    Regards

    Hi Vamsi,
       For the Message Type ORDERS you can configure Output Type (txn NACE) for IDoc generations and then you can trigger the IDoc using transaction WE15.
      Selection Parameter will be as follows
    Output application: This will be from Output Type
    Object key          : Order Number
    Output type         : Output Type name, that you configured
    Transmission medium : A
    Check the checkbox "Send Again".
    Thanks,
    Punit

  • In MTO   scenario i want to have some materials with out account assignment

    Hi,
        In MTO scenario i want to have some components in my BOM  to not to get planned with respect to sales order stock / account assignment of specifice sales order( say "C" class items). if i use Consumption based planning" VB" for those
    materials it works with manual reorder point planning.but i cannot estimate my correct reorder point for that material.because it is not constant requirement .It varies basing on customer sales order for that period.
       My question is how to plan  these components in MTO scenario with out having idea of correct manual reorder point for those materials.
    thanks in advance
    regards
    madan

    Madan,
    Automatic Reorder Point Planning
    In automatic reorder point planning, both the reorder level and the safety stock level are determined by the integrated forecasting program.
    The system uses past consumption data (historical data) to forecast future requirements. The system then uses these forecast values to calculate the reorder level and the safety stock level, taking the service level, which is specified by the MRP controller, and the material's replenishment lead time into account, and transfers them to the material master.
    Since the forecast is carried out at regular intervals, the reorder level and the safety stock level are continually adapted to the current consumption and delivery situation. This means that a contribution is made towards keeping stock levels low.
    So you need to maintain the forecast view for the material. The forecast values comes from consumption data. If the system in place for some time then consuption data will be automatically by the system based on the material issues. I am not sure if you can enter the consumption manually.
    Regards
    Ram

  • What's Impact of changing the customer Name(along with Bill To and Ship To) at the header level after book

    Dear All,
    Revision: 11.5.10.2
    We have a case where some of the orders we have created have incorrect customer name along with incorrect Bill To Ship To.
    All these orders are booked. And their Line Status is either Awaiting Shipping or Supply Eligible.
    What Impact of changing the customer Name(along with Bill To and Ship To) at the header level.
    Thanks,
    Helen

    Hi Helen-Oracle
    As said above there should not be an impact if the warehouse on the order before and after changing the customer, ship to and bill to remains same.
    Additionally, if the item on-hand qty is sufficient to reserve the item and there is no B2B internal requisition kicked off.
    As long as the above conditions are fine, I don't see any impact of changing the customer, bill to and ship to.
    Also, you can run a complete wing to wing cycle in case you really want to test the behavior of the system in such scenario.
    Please feel free to mark the response as helpful or correct if you think it is helpful and to help people easily find help and answered responses.
    Thanks
    Mirza Tanzeel

  • With out of commercial invoice creat Excise invoice

    Hi,
    In domostic sales with out commercial invoice is it possible to creat Excise invoice ?.... and please tell me how

    Dont post the same question again and again.  You already posted and closed here
    [without commercial invoice creat excise invoice|without commercial invoice creat excise invoice]
    thanks
    G. Lakshmipathi

  • File to file with out message mapping and using variable substitution

    Hi,
    Can any one send me a scenario where we can have file to file scenario with out message mapping and where i can use variable substitution.
    As of now i am using integrate configurations where i cant use variable substitution as the message does not reflect in integration engine. I need to populate time stamp between <filename><timestamp>.txt.pgp
    I am as of now using configuration scenario.
    The time stamp always writes before the last file extension.
    Let me know your thoughts?
    Thanks,
    Chandra.

    Hi Chandra,
    u can use the Variable substitution even without IR contents also(Mapping....).
    in the receiver communication channel just specify the path u want to access for a value...
    eg: filename                             payload:mt_name,1,records,1,name,1
    and in th file name give it as %filename%.txt... or vt ever ur requirement
    Babu

  • IDoc to IDoc scenario with Master and Item data

    Hi,
    We are developing a scenario where IDoc will be coming with Master ana Item data.
    In the receiver side Master IDoc must be created every time and Item IDoc must be created only if the particular segment occurs.
    Is it possible to do this scenario with out BPM.
    Thanks and Regards,
    Jeevan.

    Hi,
    Its possible without BPM.
    1)Export the target Idoc
    2)Change the occurance of Idoc to 0..unbounded
    3)Also change the occurance segment to 1
    4) Now import this external definition in the target.
    Refer this blog for details :
    The specified item was not found.

Maybe you are looking for

  • Logic 9 - factory and function options are greyed out in audio editor

    When editing audio files, I can't seem to use the things like reverse, fade in fade out etc. as they are all grey. I've tried all sorts of audio files and made sure they're not locked and also tried bouncing them down into another folder but no joy.

  • DVD-R no longer recognized since 10.4.4

    Hey all, I back up a lot of data on blank DVD-R discs. Ever since upgrading to 10.4.4 my Superdrive no longer mounts these discs, it just spits them out. I had hoped 10.4.5 would resolve the issue but it hasn't. My Superdrive still plays video DVDs p

  • RE: Full update and init for 2008 differs

    Dear All, I am doing initilization of data for 0fi_ar_4. When i do the full update for selection as fiscal yr.period =2008001 to 9999012 i get all the data around 33600 records. When i do the init however it fetches only 89000 records. I want do init

  • Validate the data in the internal table with the date in selection screen

    Hi all, I want to validate the data in the internal table and get only the records with the input date in the selection screen. The date is in the select options and please let me know how to get the records only if it satisfies the input date in the

  • My power shot button is jammed what should i do ?

    My power shot button is jammed how much would it cost with out warranty to fix it ?