Dear SAP Guru's

Dear SAP Guru's
I have query kindly solve my issue.
What is the basic configuration for RD04 out put type.
Becoz iam doing the crosscompany sales, while customer is ordering the to Plant A, at tht time plant A is not having the goods, then Plant B will deliver the goods. Then Plant B will raise the invoice to Plant A and Plant A raise the invoice to customer.
That means IV(intercompany billing), while i am doing the inter company billing the there is a Output type RD04 , vendor invoice posting.
But in my scenario it is not happening. Kindly any one can help me in this issue.
With regards
Ram

Hi,
First you have to assign the RD04 O/P type to your Billing O/P determination procedure.
Then maintain the condition record for O/P type (VV31).
Please check with the same and confirm.
Reward points if this helps.
Regards,
Harsh

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    Regards

  • Dear Sap Freinds

    Dear SAP Friends,
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  • FBL1N Issue (Sap Guru back with a bang)

    Hi Frends,
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    The clearing should be done when receiving the confirmation of the bank in the bank statement. If you have a process for Electronic Bank Statement, it should be able to clear the accounts automaticaly.

  • SAP guru's....please do help.....

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    Hi,
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  • Dear SAP Experts,

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    Hi Koushik,
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  • Hai sap guru's

    i want to do client copy (EXPORT AND IMPORT) in operating system level from dev client 120 to pro 500. can tell me procedure ....
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    sathish nagarajan .

    Hi
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    client export           SCC8
    client imoport          scc7
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    2.  "IDEKT01068" for transporting client-specific data                                                                               
    3.  "IDEKX01068" for transporting client-specific texts, provided texts 
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    Regards
    George Varghese

  • Hi...SAP Guru's.....

    Hello,
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    Hi
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    thanks,
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    Hi
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    This is very subjective to clients requirement & not possible to explain it here.
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    <b>
    reward if helps</b>

  • Hi, every sap guru's

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    Hello,
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    <i>
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  • Hi sap guru

    I want to convert some of the Balance sheet accounts (GL) from line
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    hi,
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    pls try in sand box server
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    Thanks & Regards
    phaneendra

  • Hello SAP Guru's

    Hi Everybody.....Happy Diwali......
    The following questions are faced in my last interview. please clarify......
    somebody has given answers for this but those are not helpful me. So anybody to me with full details......means detail answer with customizations.....etc.,
    1.After run the APP system will clear all open items and printed cheques. After that client wants to cancel these cheques and again wants to run the APP(reason some mistackes done in APP). is it possible? if How? what is the effect...
    2.How to upload the open item balances(pl give me some ex.)what are the prequisites?what is the role of functional consultant?
    3.If u have 4 co.codes how to take consolidated balance sheet?
    4.configuration steps for WHT from creation of WH type , codes to Annual Return?
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    adv thanks
    venkata

    Hi Venkata Krishna,
    Wish you a very happy Diwali and prosperus new year.
    1) you can reverse the APP using the T-code FBRA. you need to write a BDC program for T-codeFBRA  which will  reset & reverse alll the documents created by APP. Then you can re-run APP.
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    3)  Using Consolidation FI-LC module
    4) For WHT you need to configure WHT code and WHT tax type. multiple WHT codes will be created under WHT type.
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    Ashish Jain

  • Helly dear sap experts,

    Hi, I need to know if I can have the option to enter the exchange rate manually on FRFT screen. Please help.

    Hi Dileep,
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    Prashant

  • Regarding SAP Sales & distribution.

    Dear SAP Guru's ...
    I have a general Query.....Career Related.
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    We also heard that it will be mergedwith other higher version modules.
    Please advice me ....
    The Market Situation future?
    The Trends ?
    Whch module Should I focus ..after SD......
    Regards,
    Amaln Sarkar
    SAP SD Consultant.

    Dear Amlan,
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    Do award points if you found them useful.
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    Rakesh

  • How to upload the RM and PM budjeted cost in sap.

    Dear sap guru's,
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    . TCode : LSMW.
    2. Enter Project name, sub project name and object name.
    Execute.
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    Execute
    select Batch Input recording
    goto->Recording overview
    create
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    save + back.
    enter recording name in lsmw screen.
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    execute
    save + back
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    select tabulatore
    enter
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    display change
    save + back
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    save + back
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    save + back
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    tick keep batch input folder
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    back
    14. RUN BATCH INPUT SESSION.
    sm35 will come
    Object name will be shown here
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