Different schedule in terms of payment during sales process

Dear experts,
          One of our international customer is having one requirement for having "Various schedule in different terms of payment". Meaning, they want to collect the advance (Down payment) from customers in various schedules during sales process itself. If customer doesn't pay the advance amount then, system should not allow the further sales process like delivery creation, picking and packing.
Example, client wants to receive the advance amount from customer in following schedules
1. During sales order creation - 30%
2. During production order process - 25%
3. then, during delivery creation stage - 25%
4. And as regular after creation of invoice remaining amount 20% client wants to collect from customer.
Is it possible to set this setting with block of sales process. I need experts opinion.
Thanks for your cooperation.
Warm Regards,
VEL

Hi,
You can achieve it through billing plan,
In billing rule speciefy your percentage
OR ELSE
You can achieve it through payment terms
In payment terms speciefy installment percentage
Kapil
Edited by: Julius Bussche on Jan 27, 2010 1:05 PM
English grammar corrected. Please do not use SMS-txt...

Similar Messages

  • Various schedule in terms of payment during sales process

    Dear experts,
              One of our international customer is having one requirement for having "Various schedule in different terms of payment". Meaning, they want to collect the advance (Down payment) from customers in various schedules during sales process itself. If customer doesn't pay the advance amount then, system should not allow the further sales process like delivery creation, picking and packing.
    Example, client wants to receive the advance amount from customer in following schedules
    1. During sales order creation - 30%
    2. During production order process - 25%
    3. then, during delivery creation stage - 25%
    4. And as regular after creation of invoice remaining amount 20% client wants to collect from customer.
    Is it possible to set this setting with block of sales process. I need experts opinion.
    Thanks for your cooperation.
    Warm Regards,
    VEL

    Hi,
    You can achieve it through billing plan,
    In billing rule speciefy u r percentage
    OR ELSE
    You can achieve it through payment terms
    In payment terms speciefy installment  percentage
    Kapil

  • How to grey out terms of payment in sales order.

    Hi,
    While making sales order ,user should not make changes in terms of payment.how we  can restrict the user for any changes.
    and what is procedure for this.
    Regards,

    you can get many treads if you had searched with your subject.Anyway please find one among them.
    payment terms-greyed out field
    I would prefer going for option of activating critical field in OVA8 if Credit management is configured in your client process.
    thanks,
    Srinu.

  • 100% advance payment during sales order creation

    Dear Experts,
               One of our international client is having one requirement for collecting the 100% advance payment from customer during sales order creation itself. Our customer is in Germany.
    For high risk customers they want to collect the advance payment for 100%. And if this 100% advance payment was not paid by customer then, sales order should not be processed.
    And during regular sales invoice creation the same down payment also needs to be displayed in the invoice as advance payment.
    Is it possible to setup this process using milestone billing.?? .or some other process is available to setup this process.
    Thanks for your cooperation.
    Warm Regards,
    Velmurugan

    Hi
    Try with this with Credit management.Put High Risk with Error message.
    When ever you will Create Sales Order it will Block due to Credit Chech.For this scenario Enter the Parking  Vale at F-66.
    Then make a entry for Customer-CR to BANK-DR.
    This may solve ur requirement.
    Regards
    JS

  • Material Substitution during Sales Process

    We produce one material, production posting in one material number AAAA, but when people sale because of different grade acid, they sale in several different material number, ie. BBBB and CCCC, then inventory becomes negative for these material number BBBB and CCCC .  At month end, people have to do manually move stock from AAAA to BBBB and CCCC.
    Is their any way we can config to let this automatically happen?  Which means if we sale BBBB and CCCC, it will deduct inventory from AAAA?

    Hi,
    Have you tried material determination in sales so that when you ordered BBBB, it is substituted with AAAAAA ?
    Why doesn't it work ?
    Myriam Catrycke

  • Change ivoice doc type during  sales process flow.

    Hi all!
    I have encountered a problem:
    AS IS:
    1. sales order document type is configured in spro field: <b>Dlv-rel.billing type</b>  F2    Invoice
    2. after delivery I get invoice of type F2
    AS SHOULD BE:
    1. I need to have a different invoice type created after delivery on a condition based on customer master data.
    Is it possible to program it or change copying requirements so that I would get what I need?
    I am not interested in new sales order doc type creation.
    Best regards,
    Michal

    Michal,
      Your second requirement is standard,
    Coming to your second requirement..  Are you expecting to create the billing document through the Billing due list VF04 and get the doc created with specific billing doc type for a particular customer?
                            If So , I don't think you can achive this. I feel you should come up with a Custom billing program or (Customized VF04) where in you can check the  Billing due list for a particular period, or delivery range or customers...and based on the customer you can select the target billing type from the Z tables and do a BDC Code for VF01 by entering the target billing type in the screen.  Before this you need do to the necessary copy controls for the bililng types you are going to use
                     This is my opinion.  Lets see any one proposes any User-Exit to achive this..  Even though I say its not possible, I will wait for our Genious SDN'ers response.
    Regards,
    Ajai.

  • How to do a 3rd party sales process

    How to do 3rd party sales process.....
       plz reply me with the full configuration.....

    THIRD PARTY SCENARIO
    in third-party order processing, your company does not deliver the items requested by a customer. Instead, you pass the order along to a third-party vendor who then ships the goods directly to the customer and bills you. A sales order may consist partly or wholly of third-party items. Occasionally, you may need to let a vendor deliver items you would normally deliver yourself.
    Process Flow
    the processing of third-party orders is controlled via material types. Material types define whether a material is produced only internally can be ordered only from third-party vendors, or whether both are possible. For example, a material that is defined as a trading good can only be ordered from a third-party vendor. However, if you manufacture your own finished products, you may also want, from time to time, to be able to order the same type of product from other vendors.
    Processing Third-Party Orders in Sales
    Third-party items can be created automatically by the system, depending on how your system is set. However, you can also change a standard item to a third-party item during sales processing manually.
    Automatic third-party order processing:-
    if a material is always delivered from one or more third-party vendors, you can specify in the material master that the material is a third-party item. During subsequent sales order processing, the system automatically determines the appropriate item category for a third-party item: TAS. To specify a material as a third-party item, enter BANS in the Item category group field in the Sales 2 screen of the material master record.
    Manual third-party order processing
    In the case of a material that you normally deliver yourself but occasionally need to order from a third-party vendor, you can overwrite the item category during sales order processing. For a material that you normally deliver yourself, you specify the item category group NORM in the material master.
    If, as an exception, you use a third-party material, change the entry TAN to TAS in the ItCa field when processing the sales document. The item is then processed as third-party item.
    If address data for the ship-to party is changed in the sales order in third-party business transactions, the changed data will automatically be passed on to purchase requisition and also to the purchase order ,if one already exists. In the purchase order, you can display the address data for the ship-to party in the attributes for the item.
    You can only change the address data for the ship-to party in the sales order for third-party business transactions, and not in the purchase order.
    Processing Third-Party Orders in Purchasing
    when you save a sales order that contains one or more third-party items, the system automatically creates a purchase requisition in Purchasing. Each third-party item in a sales order automatically generates a corresponding purchase requisition item. During creation of the requisition, the system automatically determines a vendor for each requisition item. If a sales order item has more than one schedule line, the system creates a purchase requisition item for each schedule line.
    Purchase orders are created from purchase requisitions in the usual way. For more information about creating purchase orders, see the Purchasing documentation. During creation of the purchase order, the system automatically copies the delivery address of your customer from the corresponding sales order. In a sales order, you can enter purchase order texts for each third-party item. When you create the corresponding purchase order, the texts are automatically copied into the purchase order. The number of the purchase order appears in the document flow information of the sales order.
    All changes made in the purchase order are automatically made in the sales order as well. For example, if the vendor confirms quantities and delivery dates different from those you request and enters them in the purchase order, the revised data is automatically copied into the sales order
    you process third-party items by creating a normal sales order. In overview for the order, you can then overwrite the default item category (TAN in the standard system) with the special item category for third-party items: TAS
    Billing Third-Party Orders
    If relevance for billing indicator for the item category has been set to B (relevant for order-related billing on the basis of the order quantity) in Customizing, the system includes the order in the billing due list immediately. If, however, the indicator has been set to F (relevant to order-related billing on the basis of the invoice quantity), the system does not include the order in the billing due list until an invoice from the vendor has been received and processed by the purchasing department. In the standard system, item category TAS (third-party order processing) has been given billing-relevance indicator F.
    In the first case, the third-party order is considered to be completely billed only when the invoiced quantity equals the order quantity of the sales order item. In the second case, each time a vendor invoice is received, a customer invoice is created for the quantity in the vendor invoice and the order is considered to be fully invoiced until the next vendor invoice is received.
    If you have activated billing-relevance indicator F for item categories in Customizing, billing can refer to the goods receipt quantity instead of the incoming invoice quantity.
    You can control whether the invoice receipt quantity or the quantity of goods received is relevant for billing in Customizing for copying control for billing at item level.
    FOR YOUR PROCESS Individual Purchase Orders WELL GIVE THE RIGHT SOLUTION
    Individual purchase orders are used when your customer orders goods from you that are not in stock and must be ordered from one or more external vendors.
    Process Flow
    During sales order entry, the system automatically creates a purchase requisition item. The purchasing department creates a purchase order based on the requisition and the vendor ships the goods directly to you (unlike third party order processing, where the vendor ships directly to your customer). You then ship the goods to your customer. While the goods are part of your inventory, you manage them as part of the sales order stock. Sales order stock consists of stock that is assigned to specific sales orders and cannot be used for other purposes.
    Process Flow for 3rd Party Sales
    Customize the third party sales in summary:
    Prerequisites for 3rd party sales,
    Purchasing org,
    purchasing group,
    assign the Purchase org to company code
    assign Purchase org to plant,
    should not maintain the stock in material, it should be trading goods,
    1. Create Vendor XK01
    2. Create Material – Material Type as "Trading Goods". Item category group as "BANS".
    3. Assign Item Category TAS to Order type that you are going to use.
    4. A sale order is created and when saved a PR is generated at the background
    5. With reference to SO a PO is created (ME21N). The company raises PO to the vendor.
    6. Vendor delivers the goods and raises bill to company. MM receives the invoice MIRO
    7. Goods receipt MIGO
    8. Goods issue
    9. The item cat TAS or Schedule line cat CS is not relevant for delivery which is evident from the config and, therefore, there is no delivery process attached in the whole process of Third party sales.
    10. Billing *--
    SD - 3rd party sales order Create Sales Order
    VA01
    Order Type
    Sales org, distr chnl, div
    Enter
    Sold to
    PO #
    Material
    Quantity
    Enter
    Save
    SD - 3rd party sales order View the PR that is created with a third party sales order
    VA01
    Order Number
    Goto Item Overview
    Item ->Schedule Item
    SD - 3rd party sales order View the PR that is created
    ME52N
    Key in the PR number
    Save
    SD - 3rd party sales order Assign the PR to the vendor and create PO
    ME57
    Key in the PR number
    Toggle the "Assigned Purchase Requisition"
    Execute
    Check the box next to the material
    Assign Automatically button
    Click on "Assignments" button
    Click on "Process assignment"
    The "Process Assignment Create PO" box , enter
    Drag the PR and drop in the shopping basket
    Save
    SD - 3rd party sales order Receive Goods
    MIGO_GR
    PO Number
    DN Number
    Batch tab , click on classification
    Serial Numbers tab
    Date of Production
    Flag Item OK
    Check, just in case
    Post
    Save
    SD - 3rd party sales order Create Invoice
    MIRO
    Invoice Date
    Look for the PO , state the vendor and the Material
    Check the box
    Click on "Copy"
    Purchase Order Number (bottom half of the screen)
    Amount
    State the baseline date
    Simulate & Post
    Invoice Number
    *Invoice blocked due to date variance
    SD - 3rd party sales order Create a delivery order
    VL01N
    In the order screen , go to the menu Sales Document , select "Deliver"
    Go to "picking" tab
    State the qty and save
    SD - 3rd party sales order Create a billing document
    VF01
    Ensure that the delivery document is correct in the
    Enter
    Go to edit -> Log
    Save

  • Payment terms for a particular sales order

    Dear Gurus,
      I want to trigger a particular payment term for a particular sales document type.
    i.e., when i create a sales order with this particular sales document type the desired payment term should be copied into sales order by default. Is this possible.. please suggest.
    thanks
    suri

    Dear Suri
    As you would be aware, by default, Payment Term will flow in sale order from customer master.  However, if you want to have a different payment term to flow automatically, then you have try with any of the following user exits.
    User exits in the program MV45AFZZ - USEREXIT_READ_DOCUMENT
    User-Exits in program MV45AFZB - USEREXIT_CHECK_VBAK
    thanks
    G. Lakshmipathi

  • Terms of payment in PO and Schedule agreement

    Dear Gurus,
    Is there any standard setting to update terms of payment without changing the PO and schedule agreement manually. My client wants that they will update terms of payment in vendor master at the first time and create 1 purchase order for the particular vendor.
    Later they will change the terms of payment in vendor master and the same has to picked up in PO automatically without changing the PO.
    Please let me know if there is any standard settings available or any user exit i have to apply.
    Regards,
    mohdsams

    Hi,
    If you have multiple payment term in one vendor then you can not put payment terms in vendor master.
    You put payment terms in at the time of P.O.
    Regards,
    Spradip

  • Payment Terms in Third Party Sales Invoice.

    Hi Experts,
    We are facing the problem in third party sales process.
    Suppose X is our customer and Y is our vendor, here Y is supplying the material directly to X and Y sending us the bill of entry and other documents to us, and then we create the sales invoices to X, we are following all process like first we create SO to X then with the PR we create PO to Y then we do migo and miro of vendor invoices then creating the sales invoice to X.
    The main problem is that we want that the payment due date to our customer invoice starts from the vendor bill of lading date which we enter at the time of migo and miro (document date), but in our system, in sales invoice to X, system is calculating payment terms which we have entered in the customer master of X.
    How to get above functionality activated in sap.
    Regards
    Rajeev Gupta
    Message was edited by: Rajeev Gupta
    Please somebody reply.

    Can somebody reply this query.
    Thanks

  • Customer Down payment clearing during sales order

    Dear all,
    I have create a customer down payment via tcode F-29.
    now, i want to clear this down payment along with sales order.
    ex :
    day 1 : customer pay advance 10
    day 5 : customer buy item with amount 80 (cash sales)
    can we deduce by down payment 10 during invoicing process then receipt 70 only.

    But my document is not having any clearing documents and it can't be reset by FBRA,  these documents get posted by  mistake , while debugging from SD side , so any idea on it ?
    Thanks
    Deepak

  • Payment terms for Advances in Sales & Distribution

    Hi friends !!
    1)You may know that we have payment terms like eg: 30% advance and remaining payment after delivery.
    In such scenario, while doing sales order itself the customer need to pay the advance. Then he needs acknowledgement or bill for that amount. How and where we will configure that???
    2)If the advance amount recieved at sales order level do we need to issue the invoice for the full amount or for the balance amount??
    Please any one help me to understand the logic !!
    Thanks & Regards,
    Sreedhar.
    Email: [email protected]

    hi,
    If it is real-estate based one plz follow the following procedurs:
    You have to define conditions for sales-based rent in order to be able to post sales-based rent. Also, if advance payments were made for sales-based rent or a minimum sales-based rent is defined, conditions allow you to offset these against the sales-based rent to be paid.
    Prerequisites
    You defined the necessary condition types in Customizing and assigned them attributes for sales-based rent. In Customizing choose:
    SAP Customizing Implementation Guide - Flexible Real Estate Management - Conditions and Flows - Condition Types
    You set the Relevant to Sales indicator on the General Data tab page in the real estate contract.
    Procedure
           1.      On the Conditions tab page, assign the necessary conditions to the contract. The following condition types are relevant for sales-based rent settlement:
    ·        Advance Payment for Sales-Based Rent
    One-time or recurring condition for sales-based rent; requires actual rent as condition purpose. Advance payments made by the tenant are offset against the sales-based rent resulting from the sales-based rent agreement.
    ·        Minimum Rent
    Minimum amount of sales-based rent to be paid. This is usually a condition with the condition purpose actual rent, but can also be used as a statistical condition.
    ·        Maximum Rent
    Maximum amount of sales-based rent to be paid (cap). Maximum rent is usually represented by one or more statistical conditions. The maximum amount is the sum of the conditions, limited to the given settlement period.
    ·        Sales-Based Rent (Required for Every Sales Rule)
    This condition defines how the receivable or credit memo is posted. It is not possible to assign a unit price to this condition, since the posting amount is determined by the sales-based rent settlement. The calculation formula always has to be sales-based rent (see: Customizing settings). The system generates a cash flow item for the posting that reflects the posting period and settlement period. For this reason, you do not enter a frequency for this condition. Instead, it is defined as a one-time condition.
    The Sales-Based Rent condition is also used to specify which objects of the sales-based rent agreement form the basis for sales-based rent. This makes it possible to determine sales-based rent using measurements as a basis (for example, per square foot of retail space). If the condition has a distribution rule, then sales are distributed to the objects using this rule.
    Note that the system uses only the last distribution formula in the settlement period. The system does not distribute proportionally within the settlement period if there is a change to the distribution formula.
           2.      On the Terms subtab, assign the same sales rule to all advance payment conditions for sales-based rent, to all minimum sales-based rent conditions, and to just one Sales-Based Rent condition.
    You have to assign a single Sales-Based Rent condition to each sales rule.
    If a contract contains more than one sales rule, you have to assign that number of Sales-Based Rent conditions in order to be able to perform settlement. You cannot use advance payments or minimum sales-based rent conditions for settlement. You can assign a sales rule to from zero to any number of advance payments and to from zero to any number of minimum sales-based rent conditions.
    regards,
    Siddharh.

  • Different Terms Of Payment for one Vendor

    Hi all,
    For one big vendor we have different terms of payment (TOP) for different company codes. As we use only one purchase organization we can not differentiate between them.
    I found one posting to use vendor sub-ranges. But this is not practicable, as we don't use info records for each and every material.
    Is there any other way to realize this or any customer exit?
    Thanks for your help.
    Tobi

    hi buddy
    u will be having one std terms and remaining optional ,
    what u can do is the one in frequent use put it in ur vendor master and then if u want to change  u can change at time of miro
    so u can put  other terms while doing miro manually
    i think that will be better
    reward if useful
    regards
    kunal

  • BaseLine date different from Terms Of Payment Date

    Hi,
    My client posted 3 documents dated 23.12.2009,17.12.2009,14.12.2009  respectively. The terms of payment has been set to accept document date as default for the baseline date. This means that the baseline dates for the  documents should be same as 23.12.2009,17.12.2009,14.12.2009  respectively. However, the system has set 31.12.2009 as baseline dates for all MIRO documents. I have already checked Terms Of Payment  ,Vendor Master and the posted documents.
    Can anyone please provide any clues to this problem?
    Thanks In Advance
    Regards,
    Payal Saxena

    Hi Payal
    Request you to check settings for PT in OBB8
    Also, refer to this thread - Baseline date in payment terms_reply the question for FI experts
    If the problem still persists, you will require a user exit.
    Rgds,
    Zub

  • Authorization Object - Sales orders Terms of Payment

    Hi,
    How can we add the terms of payment field in the authorization? Such that some users may change the terms of payment, while others can only display?

    Hi,
    Tcode SU53. It tells you the object that it needs. Add it in tcode PFCG.
    Regards,
    Eduardo

Maybe you are looking for

  • Change Plant in SAles order..

    Hi, I'm trying to change the plant in sales order Tcode :Va02->Fast change of -->Plant. Though the plant is enabled when i change it gives me a message "Item:......Plant cannot be copied". Can anybody help me in changing this.Is there any userexit or

  • PC and MBP keyboard/mouse switch

    I got a MS natural keyboard as well as Logitech thumb-ball mouse that I use often with my PC. When I put the MBP on the desk, I'm constantly switching to the MS Natural KB and Logitech Mouse and thought if there's such KVM device that will handle onl

  • No authorization for printer "LOCL"

    Hi , I have Support role for my USER. Iam trying to schedule a process chain in Background. so it will ask for  "OutPut Device name" . i given LOCL Then its given a message : No authorization for printer "LOCL" . then i run the SU53 TCODE to see the

  • Creating Lines in cs4

    I'm creating a criminal line out background . I'm using the line tool to creat the lines. I have renamed it in the path tool   created a cliiping mask but when I flatten the image once finished the lines  dissappear. I have also tried creating a new

  • OCCI parameter indexing?

    Looks like OCCI host variables are using different methods in indexing for setters and getters. For example for table VARTEST (A NUMBER, B NUMBER, C NUMER); Statement *stmt =      conn->createStatement("insert into vartest (a, b, c) values (:in1, :in