Documentation in SPRO

Hello,
  Can anybody please tell me how to maintain our own documentation in SPRO while doing the configuration. I want to maitain my own documentation, in addition to the SAP IMG help we get in SPRO.
Is there a provision to make such a documnt there itself or do we have to maintain it in Solution Manager??
Regards
Rajeshree Kadam

Dear Rajeshree Kadam,
Provided if you have done all your configuration via solution Manager,then you can
generate your own(project related) configuration guide as a detailed one.
But also,even if you have not done the settings via solution manager,but still you
can generate the document,<b>by using T code Solar02</b> and in<b> the top
menu's click on configuration---Generate Configuration guide.</b>
To get more clear replies,better post the same thread in Solution Manager forums.
Regards
Mangal

Similar Messages

  • How to add Attribute Category in Mail Form - WEB UI CRM 7.0

    Dear Friends,
    My requirement is to add custom fields to the mail form - attribute page so that IC agent can select these attributes when they create the mail forms. These customer fields are related to Service ticket like Account details, service ticket ID , IBASE details etc.
    I read on SAP HELP and got to know that I need to implement BADI CRM_IM_ADD_DATA_BADI to maintain additional attribute but for this, first i need to maintain attribute context ( IMG path is under personalized mails under campaign management in CRM Marketing ). so i created the attribute context.
    But  i can't see anything related to my attribute context on mail form when i select attribute button, i get nothing in additional fields to insert. Also the BADI does not get triggered.
    Can anyone please guide me on this as how to get the custom attributes on mail forms ?
    Our requirement is not specific to CRM marketing but generic to give IC agents some Service ticket specific attributes to add in the mail forms.
    Please advice as i am struggling a lot on this and i never worked in CRM marketing.
    Reply awaited.
    Thanks & Regards,
    Suchita

    Hi,
    Sorry for the delayed reply as notifications were kept off.
    I solved it by implementing the BADI, and the same method as you guessed. I also had to maintain the custom attribute contexts with the fields i would like. This custom attribute context will be the filter for the badi and basically you will populate the attribute values in the badi method.
    Mail-form help on help.sap.com as well as the BADI and IMG documentations on SPRO are more than enough to get the job done.
    I wont be able to share the code as it was complete custom development in relation to auto-escalation emails in SLA and Escalations scenario and the project was completed long back.
    Thanks & Regards
    Suchita

  • Scheduling agreement- With Release

    Dear All,
    Can anybody give the steps for Scheduling agreement with Release documentation from SPRO settings and ME84.
    Also Delivery schedule print settings with re to scheduling agreement also needed.
    Regards

    Hi
    You can refer the below link
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/75/ee1fa755c811d189900000e8322d00/frameset.htm

  • Team Calender in Leave Request Application

    Hi Experts,
    ERP2004 SP17, EP6.0 SP20, ESS/MSS SP17
    I am trying to configure the leave request application. I see a link in the "Show team calender" in the application. I configured according the documentation in spro>personal Management>Employee Self Serivce>service specific settings>working time>leave request.
    the documentation is like this In "layout of web application">select employees for team calender:
    5. Select the employees whose absences you want to display in the team calendar. You first have to enter one of two grouping characteristics in the View/Grp field:
    If you use the Manager Self-Service (MSS) or Employee Self- Service (ESS) components at your enterprise, you will probably use the view groups. They are based on employees organizational assignments.
    If you use the Time Managers Workplace (TMW), you probably use grouping IDs.
    You now have to select the employees whom you want to display in the team calendar. <b>To do so, enter the required view group or grouping ID in the relevant field.</b>
    However I do not know where to create a "GROUPING ID". I have added the view group. but the field "GROUPING ID" is blank in the customization. May be this is required to display employees in team calender.
    Could you help me how to get employees in Team Calender.
    your help will be greatly appreciated.
    Thanks so much!
    Message was edited by:
            minisap g

    Hi Sonia,
    Below is what i see in view TWPC_VG.
    <b>VIEWGROUP</b>           <b>   VIEWID</b>
    APPRAISAL     AP_ALL
    APPRAISAL     AP_DIR
    AP_OVERVIEW     APOV_A
    AP_OVERVIEW     APOV_D
    ATTEND     A_ALL
    ATTEND     A_DIR
    COMMUNICATION     CALL
    COMMUNICATION     CDIR
    DIRECTREPLEVX     TVLEV1
    DIRECTREPLEVX     TVLEV2
    DIRECTREPLEVX     TVLEV3
    DIRECTREPLEVX     TVLEV4
    DIRECTREPLEVX     TVLEV5
    HAP_STATUS     HAPALL
    HAP_STATUS     HAPDIR
    ISR                     ISR1
    ORG                     ORGALL
    ORG                     ORGDIR
    ORG_PROF     O_PROF
    ORG_S                     O_SALL
    ORG_S                     O_SDIR
    PCR                     PCRALL
    PCR                     PCRDIR
    PCR_ERP                     PCRER1
    PCR_ERP                     PCRER2
    PTESS                     ESSDIR
    QP_ORGS_VG     QP_DIR
    REC_OVERVIEW1     RECALL
    REC_OVERVIEW1     RECEXT
    REC_OVERVIEW1     RECSIM
    REC_OVERVIEW2     REC_PA
    REC_OVERVIEW2     REC_PE
    REC_OVERVIEW2     REC_PS
    REPORTING     RPT_KA
    REPORTING     RPT_OA
    REPORTING     RPT_OD
    REPORTING     RPT_PA
    REPORTING     RPT_PD
    VACOV                     RCVAC
    XYLVG1                     XYL1
    ALso let me know the viewgroup you see for the view group "ESS_LEA_EE". May i will try creating these.

  • New Fields For Free Goods Determination

    Hi everyone.  We need to add a new field for FG determination.  According to the documentation in SPRO, the new field should be added in SE11 KOMK under include KOMKZ for free goods.  However there is no KOMKZ include in KOMK.  How is this supposed to work?  We have succesfully added fields for pricing, shipment cost, listing and exclusion without any problems.
    "New fields for free goods determination are added in the following INCLUDES:
    Header data in KOMKZ (INCLUDE in KOMK, KOMG)
    Item data in KOMPZ (INCLUDE in KOMP, KOMG)"
    Thanks!

    Hi Rodrigo..
    As mentioned the include is KOMKAZ and not KOMKZ.. Just wanted to check if code has been written in the user exits to populate that fields..
    Ex:
    FORM USEREXIT_PRICING_PREPARE_TKOMK in include MV45AFZZ .
    It worked for me.
    Best Regards,
    Pradeep.

  • Problem adding new field to free goods Determination

    Hi everyone. We need to add a new field for Free Goods determination. According to the documentation in SPRO, the new field should be added in SE11 KOMK under include KOMKZ for free goods.
    However there is no KOMKZ include in KOMK. How is this supposed to work? We have succesfully added fields for pricing,using KOMKAZ but... I cant find KOMKZ, the is a error in SPRO documentation or what Im doing wrong?
    "New fields for free goods determination are added in the following INCLUDES:
    Header data in KOMKZ (INCLUDE in KOMK, KOMG)
    Item data in KOMPZ (INCLUDE in KOMP, KOMG)"
    Someone could tell me how u do it to add a field for Free Good determination ?
    Thanks!

    It seems to ve a Typo Is not KOMKZ  I used KOMPAZ include and worked fine after checking the customozing.

  • CRM 7.0 How to create Business role & generate

    Hi Team,
    Can you please let me know some breif idea about CRM 7.0 security guide.
    How to created Business role is this part of functional activity?
    Whats the role of Technical colleagues BASIS guys in CRM 7.0 security .
    Please help me to get some document regarding business role creation , generation , assignment & authorization checks in CRM 7.0.
    Thanks & Regards,
    Vyash Mishra

    Hello Viyash
    I will add the most important information for generation of business roles and assignment of authorizations to users.
    You must first create the PFCG roles. PFCG role is built based on the Business Role.
    Please see documentation in : SPRO
    SAP Implementation Guide =>  Customer Relationship Management
    UI Framework  > Business roles > Define Authorization Role
    Then the PFCG role can be assigned to the business role in 
    SAP Implementation Guide =>  Customer Relationship Management
    UI Framework  > Business roles > Define Business role
    Finally you must assign business roles to Organizations or positions in organizations in
    SAP Implementation Guide =>  Customer Relationship Management
    UI Framework  > Business roles > Define Organizational Assignment
    The users that are assigned to such organizations / positions will be therefore linked to the business role.
    With the previous steps the users will have the authorizations that are assigned to the PFCG profile that is linked to their business role.
    Business roles are the main way to configure authorizations for users in CRM but you have more options that give you flexibility.Each business role has assigned one PFCG role, but the relationship between business role and PFCG role is not strict. You can even assign a dummy PFCG role to a certain business role in business role customizing and then go to transaction PFCG and assign other PFCG role(s) to the users that are assigned to that business role.
    I would say that the previous tasks must be performed by the basis team but in cooperation with the functional team
    Best Regards
    Luis Rivera

  • Issue with Product Allocation Scenario

    I am Trying out Product Allocation in APO (SCM 5.0).
    Relevant setup in SPRO - Product Allocation Object, Group, Procedure, Sequence etc., Planning Object Structure, Planning Area, CVC generation, Connection between Planning Area and Product Allocation object in GATP, assignment in Location Product Master (at Customer Location) Product Allocation Procedure, Check mode, ATP Group has been done in APO.
    After entering data in appropriate keyfigures (Allocated Qty) it shows up under GATP>> Reporting >> Product Allocations >> Time Series per CVC
    Have carried out ATP Simulation to check that for a given product at Customer the Product Allocation against a Required Quantity takes place correctly.
    Now trying to carry out the Product Allocation check by creating a Sales Order in ECC. In that case during the material availability check screen in APO, the product allocation does not show up.
    I believe it is related to master data settings for the product in ECC. My questions are as follows:
    1. In ECC the product exists at the manufacturing plant only (and not at customer as in APO). There in MRP3 tab Strategy Group is maintained. Is this along with Availability Check field responsible for determining the check instruction (combination of check mode + business event) in APO for the Product Allocation check.
    2. If so (which I guess it is) I can see the check instruction picked up in APO while creation of sales order in ECC is different from the check instruction I ran simulation with. How can I ensure the same check instruction is chosen (in which case I believe the availability check result will be same as the ATP Simulation carried out in APO).
    3. In APO I ran simulation for the product at customer location (and maintained the required ATP settings in the product master). In case of Sales Order creation in ECC how does system pick up the Check Mode and Business Event for the product (having Sold-to as customer and Supply Plant as the plant code) and use it in APO.
    4. Any other setting/configuration that is missed causing this behaviour.
    I guess some of the questions is a bit hazy but I would appreciate if someone can outline the Product Allocation Scenario. I am trying out based on Building Block S59 Demand Planning for Product Allocation but of course it does not detail out enough.
    Disclaimer: My knowledge of GATP is almost nil but am exploring.
    Thanks,
    Somnath

    Hi Somnath,
    It will be a pleasure to help you out.
    Firstly I will list out all the steps which I can think of:
    (1) R3-You have moved all the ATP customizing from R3 to APO via ATP integration model.
    (2) APO- goto SPRO>APO>GATP>General Settings>Maintain Check Instructions
    Here go to Check Mode- 041 and Business Event- A and maintain the following settings manually in development and migrate it all the way to Production
    I am assuming here that you want to first do an allocation check and then availability check**
    Product Allocation: Change from NO CHECK to First Check
    Product Check: Change from First Check to Second Check
    This check mode and business event is the most common one which is triggered while placing a sales order
    See the following blog for DETERMINATION OF CHECK MODE
    http://solution-timezone-issue.blogspot.com/
    There might be other check modes( 030, 050) which might also require this change. However you can judge that while placing a sales order and when you go to the availability screen, You have the tab - SCOPE OF CHECK CONTROL where you can see the Check Mode + Business Event
    Following guidelines can be used to modify Check Instrctions after Customizing Import from R/3 –
    1.     Business Event A*  is Sales Order Entry (The main scope of GATP) so define check instructions for all check modes since it is not possible to identify the requirement class that may come over on an order. For Business Event A* if availability check was being done in R3, then define check instructions with Allocation as first step, then Availability check as second step. Else if no availablity check in R3 then define check instructions with no availability and no allocation checks.
    2.     Business Event B* is  normally for deliveries but is also required for Rush Sales Orders. An R/3 configuration showed that 041 is the only requirement class that will come across for this business event. Hence defined only for 041 check mode. For Business Event B* if availability check was being done in R3, then define check instructions with Allocation as first step, then Availability check as second step. Else if no availablity check in R3 then define check instructions with no availability and no allocation checks.
    3.     Business Event 03 required for Inventory Transaction availability check such as MB1C. For such transactions, the APO Product Master Check Mode is used. Hence check instructions for all Check Modes are maintained. For Business Event 03 if availability check was being done in R3, then define check instructions with Availability check as first step. Else if no availablity check in R3 then define check instructions with no availability checks.
    (3) Maintain the Product Alllocation Procedure:
    <b>a-</b> Create a Product Alloc Object -- Example: PAO-001
    In this step, we define the product allocations objects - product allocations are saved per object for a characteristics combination in the product allocation group.
      Product Allocation Procedures can be used to maintain different Product Allocation Objects for different time validity periods.
      Generally Product Allocation Objects are used to model the different ‘reasons’ for the need for allocation – material shortage, capacity constraint, etc.
    <b>b-</b> Product Alloc Group--PAO-1234
    A product allocation group defines a group of characteristics against which allocation checking is done.
       Creating a Product Allocation Group creates a characteristics directory in the APO database and an area in Live Cache where the key figures are maintained.
       If ‘Check Planning Area’ is set to No then allocation and incoming order quantitiy data can be seen in table /SAPAPO/QTTAB. If the ‘Check Planning Area’ is set to Yes then no data is stored in this table and the allocation check is done directly against the data in the Planning area.
       Detials of allocationconsumption by sales orders are maintained in table /SAPAPO/QTVB in APO and in QTVB in R/3.
      If ‘Check Planning Area’ is set to ‘Yes’ and if there are users are in the change mode in the Planning Book, Sales Order Entry can get locked out.
      If ‘Check Planning Area’ is initially set to yes and then deactivated later you will no longer see data in /SAPAPO/AC42.
    Settings:
    Check Planning Area – Yes. The reason being that users are not expected to lock planning books as they would be defaulted into the display mode (through a development object). Also most allocation uploads will be through batch jobs. Setting it to ‘Yes’ reduces one step of moving data between the planning area and the allocation group.
    Check Date - Material Availability Date. Consumption of allocation quantity and checking of available allocation quantities is determined by the check date.
    Time Bucket Profile – Week
    Characteristics – Product Allocation Object (1), Product (2), Plant(3), Customer(4)
    Consumption Period – Bwd Consumption 1  
    Meaning that first the order will consume from current week allocation and then go 1 week backward to consume.
    <b>c-</b> Product Allocation Procedure --- PAO-4567
    Step Sequence:
    <i>Step</i> -
    <i>Step Name-</i> -
    Prod Alloc Group -
    Wild card
    1                      First Step             PAO-1234                     9
    <i>Alloc Procudure</i> - PAO-4567
    <i>Prod Alloc Step</i> -1
    <i>Control</i>
    <i>Valid from -
    Valid to---- -
    Object -
    Active -
    Factor</i>
                            12/31/2037      PAO-001    Check the Box                  1
    <b>d-</b> Maintain Connection to Planning Area (APO) 
    In this step, we maintain the assignment of the planning area to the product allocation group. We must make this assignment because characteristics of the product allocation group have different names from the info objects of the planning area.
      All characteristics of a product allocation group must be assigned to an info object. But multiple info objects can be assigned to one info object. It is not always necessary to assign every info object to a characteristic. It is possible for aggregation and disaggregation (depending on the direction of transfer) to take place with info objects that are not assigned.
    <i>Product Alloc Group -
    Planning Area -
    Version -
    Time Buckets</i>
    PAO-1234                         xxxxx                     000             W
    <i>Characteristic</i>
    KONOB - Prod Alloc Obj
    MATNR --- Material
    WERK -
    Plant
    XXXXX---- Customer
    <i>Key Figures</i>
    Order Qty - AMENGE
    Alloc Qty - KCQTY
    <b>e-</b>  Check the Product Alloc Settings
    This is only a check- Everything should be green and OK .
    (4) You have planned the Characteristic Combination on which you want to do ALLOCATION.
    <b>Create a new POS-</b> Which has your chracateristics as PRODUCT, PLANT,CUSTOMER, Product Alloc Object ( 9AKONOB)
    <b>Planning Area,-</b> Key figures required are Alloc Qty, Order Qty( Sales Order Qty)
    <b>PLannig Book, Data View</b> which has the following characteristics- Product, PLant
    Assuming you are allocating at the following CVC level- Product, PLant,Customer
    Step 1:
    /n/sapapo/MC62-Create Time Series- Basicallly your CVCs -
    Example: Product 1234, Plant INDIA, CUstomer WALKART
    Step 2:
    Move Characteristic Values Combination to Allocation Group (APO) 
    /SAPAPO/ATPQ_PAREA_K
    INput :
    Planning Area: xxxx
    Prod Alloc Group: PAO-1234
    (5) In the INtegration MOdel - Activate the ATP CHECK Integration model for the Plant and material
    THis is the KEY which decides whether availability should be done in R3 or APO
    Material Active in the integration model -- Means Availability( GLOBAL AVAILABILITY: Prod Alloc+Prod Availability) is done in APO
    Material not active in the integration model --- Means Availability Check is done in R3
    (6) APO MASTER DATA SETTINGS:
    Material Master:  On the ATP Tab, Assign Loc Dep Procedure ( Prod Alloc Procedure)
    Location Master: Calendar Tab> Create a shipping time stream calendar
    Additional Info: Please contact your R3-SD people as this involves a lot of understanding and I have not listed all the details here.
    This config shown here is a very basic one which not even 25% of the companies might be using.
    If you have any questions on this part- please see my business card and email me**
    (7) SCHEDULING: This is a major task which determines the route and transit times for calculating the
    Material Availability date
    Goods Issue Date
    Delivery Date
    on the sales order line item- schedule line
    I dont know whether you need info on this**There are many ways of doing this
    a- Configurable Scheduling
    b- COndition records
    c- User Exit
    You can find documentation in SPRO or else let me know*
    For simplicity- Let me take the easiest to create and difficult to maintain master data- Condition Records
    Step1 --Define Field Catalog for Condition Table (APO) 
    /SAPCND/AU01
    Require Plant and Route defined here in the field catalog
    Step 2- Define Condition Table for Scheduling (APO) 
    /SAPCND/AU03
    Create a new table- 901
    901 -  Pick Time based on Route with key as Route
    902- Route Time based on route
    Step 3- Maintain Access for Scheduling (APO) 
    /SAPCND/AU07
    Take the important ones- PICK and TRAN
    I am assuming again as I dont know what kind of Scheduling is maintained on R3 Side. Mostly 80% companies have only two lead times- Pick and Route Transit time.**
    PICK- Select pick and click on accesses > <i>Acno</i>-10-- <i>Table</i>-901
             >> Then save it > and go in again
    Select PICK and click on Fields> A popup will appear > Enter the access sequence as PICK--- Enter the access as 10  and click on the GREEn ARROW and save it
    TRAN- Select TRAN and click on accesses > <i>Acno</i>-10-- <i>Table</i>-902
             >> Then save it > and go in again
    Select TRAN and click on Fields> A popup will appear > Enter the access sequence as TRAN--- Enter the access as 10  and click on the GREEn ARROW and save it
    Now coming to maintaining the Condition records in APO EASY ACCESS
    /SAPCND/AU11
    Create  SCheduling Step for PICK : Enter condition type- PICK
    <i>Enter Route</i>- USCAN --- <i>Duration</i> -24:00 (Hrs)
    Create  SCheduling Step for TRAN: Enter condition type- TRAN
    <i>Enter Route</i>- USCAN --- <i>Duration</i> -48:00 (Hrs)
    Now Let me answer your questions:
    (1) Question 1- <i>In ECC the product exists at the manufacturing plant only (and not at customer as in APO).</i>     
    I did not undertsand what you mean here. As we can create a Material at the following locations in APO( Dist Center(DC), Manu Plant(PL), Cusomter, Vendor, etc)
    For GATP all we need is the material at a PLant location
    STrategy Group on MRP3 tab: This is purely used for determining the CHECK MODE value on APO Product Master.
    When this is blank on R3, the check mode will be blank on APO.
    However SAP recommends Putting in a strategy group value on R3 Material Master
    or
    a default Check MOde value for all those Products who have blank check mode-   041 is the best value * This piece SAP hasnt recommended but I found that there is No harm in anyway and it is MANDATORYfor inventory transactions like GOODS ISSUE otherwise you will get a QUEUE in SYSFAIL **
    Even if this is blank this has no effect on the GLOBAL ATP as the Check mode for a SD transaction is determined as follows
    98% of the SD transactions will generate a CHeck mode of 041 and Business Event- A ***
    Through the item category and the MRP type in the MRP view
    The item category is derived from the item category group in the Sales view of the material master record and from the order type of the sales document. Together with the MRP type in the MRP view of the material master record, the item category determines what requirements type is selected. The advantage of this method is that the selection of the requirements type depends on the business process (such as quotation, sales order, or repair).
    (2) Question 2 - I guess now you must have understood why when you do a simulation in APO, it is taking the Check mode from APO product Master
    and when you do a ATP Check from R3, the check mode(041) is different
    You dont need to ensure that they are the same- It doesnt matter in anyway.
    (3) Question 3- <i>In APO I ran simulation for the product at customer location (and maintained the required ATP settings in the product master).</i>I
    When you run ATP simulation- AC04, you generally run it for the plant as that is the supplying location and not the customer.
    <i>In case of Sales Order creation in ECC how does system pick up the Check Mode and Business Event for the product (having Sold-to as customer and Supply Plant as the plant code) and use it in APO.</i>
    PLease look above for this answer.
    (4) Question 4 - <i>Any other setting/configuration that is missed causing this behaviour.</i>
    To my best knowledge, whatever I could remember I have listed out. However there are some more steps which might be needed.
    Follow all the steps as I have mentioned and whenever you get struck somewhere, shoot me a message and I will help you.
    ONe more pointer here to what you have mentioned
    Relevant setup in SPRO - Product Allocation Object, Group, Procedure, Sequence etc., Planning Object Structure, Planning Area, CVC generation, Connection between Planning Area and Product Allocation object in GATP, assignment in Location Product Master (at Customer Location) Product Allocation Procedure, Check mode, ATP Group has been done in APO.
    After entering data in appropriate keyfigures (Allocated Qty) it shows up under GATP>> Reporting >> Product Allocations >> Time Series per CVC
    <u><i>Have carried out ATP Simulation to check that for a given product at Customer the Product Allocation against a Required Quantity takes place correctly.</i></u>
    Somnath, I believe you might have a wrong picture here. The concept of allocation is  Controlling Supply against huge Demand which is in this case coming from SALES ORDER
    When you place a sales order, the supplying location is your plant and that is where you would like to put in allocation quantities
    Say for example for a material 12345 - You have stock of 100 Qty in Plant KING fo this week and it shows as follows in the planning book
    Customers say are WALKART, GE-FUG, MACROGUN
    The CVCs which we have to create are as follows
    Similar to Demand PLanning**
    Material 12345 -PLant KING-Cust WALKART-Prod Alloc Obj
    Material 12345 -PLant KING-Cust GE-FUG-Prod Alloc Obj
    Material 12345 -PLant KING-Cust MACROGUN-Prod Alloc Obj
    And this is how it appears in the planing book when you go into DETAILS ALL
    You basically enter the Allocation Quantities just as how you enter forecast quantities in DP Book*
                            Wk1   |  WK2     WK3   WK4  WK5
    Alloc Qty                     |
    Material 12345                |
    Plant KING                    |
    Cust WALKART            50    |
    Cust GE-FUG             30    |
    Cust MACROGUN           20    |
    Incoming Order Qty               |
    Material 12345                   |
    Plant KING                       |
    Cust WALKART           <u>50</u>|
    Cust GE-FUG            <u>25</u> |
    Cust MACROGUN          <u>20</u> |
    <u>50</u> : Say the Cust WALKART has ordered 250 for this week, however only the allocated quantity -50 will be confirmed for him and the remaining 200 qty will be confirme at a later week when he is given the allocated amount.
    <u>25</u> :Similarily say this customer GE-FUG has ordered 20 qty. So his remaining allocation is basically 5 which cannot be used by any other customer.
    <u>20</u> : Say this customer MACROGUN has ordered exactly the allocated amount of 20. So his remaining allocation will be 0.
    This is the basic idea of how Allocation Concept is used in GATP.
    Ofcourse you can add the other functionalities like
    Rules Based ATP(LOcation Substitution, Product Substitution)
    Multi ATP( BOM-COmponents)
    Check Aginst Forecast
    Etc Etc
    Like any other module of SAP- this module has much to offer which unfortunately I cannot list here**
    GOOD LUCK and let me know If you need additional help.
    Regards
    KUMAR AYYAGARI
    Message was edited by:
            Kumar P Ayyagari

  • Delivery copy control Issue

    Dear All,
    I created a new order type, Item category, Delivery type and delivery item category. Maintain copy controls  too.
    But system is not allowing to do delivery.Error Message '
    Copying is not poss.because an entry is missing in Table TVCPL; ZTAN- LF.
    I searched in forum too no solution in most of the cases. Entry is reflecting in Table TVCPL.
    May you pls advise
    Regards,
    DP

    Hello,
    If you need your flow to be a Z*** order-> Z*** delivery, then it is correct not to maintain a copy control from Z*** order->LF delivery.
    What I can suggest is to:
    1. Remove your copy control from Z*** order->LF delivery.
    2. Review your entry in transaction VTLA ans make sure that  you have only now the copy control from Z*** order-> Z*** delivery.
    2.1. Make sure you have the item category/(ies) from the order in the configuration of the item level in transaction VTLA
    2.2. If you need a new item category in the delivery, you can make a new item category determination.  But in most cases, this is just copied from the sales order (see documentation in SPRO path for copying control for deliveries).
    Sample Entries in TVCPL
    Delivery Type//Sales Doc Type//Item Category
    ZEBB             //ZBR2                                          <-this is my copy control header level
    ZEBB             //ZBR2                //ZB70               <-this is my copy control item level; ZB70 is the item category as determined in the preceding Sales Order ZBR2
    3. Make sure you also have the proper copying requirements and data transfer routines depending on the business requirement.
    Good luck,
    Eva

  • Automatic Allocation of Settlement Rule on WBS

    Hello,
    I am facing issues with automatic population of settlement rule in Expense Projects. I have a scenario where I need to settlement to Cost Centres,G/L etc. Now I have maintained a settlement strategy for WBS in configuration. However in that config the account assignment option is only for PSG, responsible CC and requesting CC.So I have left it blank and just assigned the settlement profile.
    Is there any way to automatically fill the settlement rule. What will be the ideal way to deal with this situation? Manual or just maintain default receiver as responsible CC.
    Please let me know if anybody has experience in above.
    Thanks

    You'll need to use Business addin for automatically generating settlement rules for expense projects with receiver as req cost center.
    Check the documentation at:
    SPRO=>PS=>Cost=>Automatic and Periodic Allocations=>Settlement=>Settlement Rule for Work Breakdown Structure Element=>Business Add-In: Generation of WBS Element Settlement Rule (CJB1/CJB2)

  • Rec/client paramater for logging of table changes

    Hello all,
    I know that it was asked many times on many forums how to activate the log of a specific tables and most of the answers were about disabling every table activated by default through DD09L table and then use SE13 to enable the ones we want.
    But on the documentation on SPRO, there is this mention about "rec/client" parameter :
    Set the rec/client profile parameter to one of the following values :
    -- mmm,nnn,ppp,...: logs client-specific tables in the named clients
    If I understand well, using this value I can focus the logs on a specific table, am I right ?
    If so, how do I use it ?
    I guess "nnn" is the client number. So what does "mmm", "nnn", "ppp" means ?
    Thanks & regards,

    Thank you for your answer.
    Never mind my question, I misread the description, didn't notice the "s" on "in the named clients". I should have changed the language to my native language
    I misunderstood and thought that we could actually put the name of a table directly in this parameter.
    So then, my question is, how would do to actually activate the logs only on a specific table because looking at my production server, I can see that there is about 30 000 tables activated by default to be logged.
    Thanks

  • Problems with Personnel Cost Planning

    Hi all,
    i have problems with the Personnel Cost Planning specifically with the Quota planning (infotype 1019).
    i save data in the infotype 1019, Quota planning, for a organizational unit and in the infotype 1005, Planned Compensation, i save data for a job (i also tried with positions), but i can't value the cost for the organizational unit.
    maybe I'm missing some setting or I'm doing something wrong.
    Thanks

    Joanne,
    Are you still having issues with BI-IP?  I have been troubleshooting with the basis folks in getting BI-IP up on a new system over the last few day to a week and have now gone through the process myself whereas before I had been given a system already set up.  I have enclosed some troubleshooting feedback with my counterpart in getting the system up.
    What type of issue are you having? 
    Can the basis folks start the planning modeler or planning wizard in RSPLAN even if you can't?
    1. The note mentioned above 919850 and the help documentation in SPRO under
    SAP NETWEAVER->Business Intelligence->BI Integrated Planning
    are very helpful.  They have to set the following Jco Destinations in Web Dynpro Content Administrator:
    BI_MODELDATA
    BI_METADATA
    WD_ALV_MODELDATA_DEST
    WD_ALV_METADATA_DEST
    And the problem was the connection to the message server. It was not possible to connect without having a Logon group assigned. This had to be done in WI4 ABAP as well as in the SLD for this system. After that assignment connection was no problem.
    2. make sure you have the portal ips in your host file.
    3. have they have created an account for you in client 001 of the NW04S?
    4. Have they created a portal id for you and  assign the portal role com.sap.ip.bi.business_planning_showcase to you?
    5. have they configured the setting for starting the planning modeler (also under SPRO)..
    Hope this helps.  If you have more specific questions, feel free to e-mail me directly.
    Mary

  • How to user Smart form for the BID in SRM 4.0

    Hello,
    We have SRM 4.0 and we need to send the BID information to the vendor. This is because we have vendors that are not able to get in to our system and we have to send them a print out of the bid information so that they give us back the information. Then our users will insert it in the system.
    It could be as an attach to the email or it could be printable in the program SPPS - Selecting and Processing Outputs.
    SAP says that there is a smart form BBP_BIDINV_BID and BBP_BID_NOTIFICATION but I am not managing to make them work.
    I found some messages to help solving specific problems so I assume it is possible to do this...
    Is there someone that can help me?
    Thanks very much.
    My best regards,
    Catarina Campos

    Hi
    <u><b>Here is the standard solution to use your own forms:-></b></u>
    <u>- copy the smartform BBP_BIDINV_BID to ZBBP_BIDINV_BID (transaction SMARTFORMS) and apply your changes
    - use BADI to call your custom form ZBBP_BIDINV_BID</u>
    <b>For PDF output form change use BADI BBP_OUTPUT_CHANGE_SF.</b>
    <b>For email notification change use BADI BBP_CHANGE_SF_BID instead.</b>
    <u>You will find all relevant documentation in SPRO --> Supplier Relationship Management --></u>
    SRM Server --> Business Add-Ins (BAdIs) --> Document Output -->
    - Change Forms for Document Output
    - Change Smart Form for E-Mails Relating to Bids
    <u><b>Please go through the links below for more details -></b></u>
    Re: how to use cutom smartform instead standard?
    Re: Email message customization ?
    Re: Bid Invitation Email Subject
    Re: Email notification to bidder should reflect start/end date and time
    Re: RFQ Smartform in SRM
    Re: Standard Text
    Do let me know.
    Regards
    - Atul

  • Rounding to nearest 5 cents

    Hello experts,
    At our client, for XXX currency payments, the amount should be rounded to the nearest 5 cents. For example, 100.02 should be rounded down to 100.00 and 100.03 should be rounded up to 100.05.
    I did the config at OB90, wherein I added the following line:
    COCD XXX 5
    But still, when I create the invoice and run the payment program, the currency is not getting rounded to nearest 5. Does anyone have an idea on what I might be missing down here...
    Please advise!
    N,
    All answers will be duly rewarded.

    From the IMG activity documentation in SPRO for OB90, it looks like this setting will be applicable only to cash discounts.  It says that the amounts you enter into the system (Vendor invoice) should have multiples of 5 after the decimal point (if you specify 5 as the rounding unit) and then the cash discount % calculated will be rounded by the system to 5.
    You will also need to define accounts for cash discount in OBXU.
    Example (from IMG activity documentation)
    For Switzerland, you decide that five centimes is to be the smallest denomination for payment transactions. For Swiss company codes and the Swiss franc, you therefore enter 5 in the "Rounding unit" column. Cash discount amounts are then rounded off to this currency unit. In the case of Swiss franc amounts entered manually, that part of the amount after the decimal point must be divisible by five.

  • Language key in customer master

    hi
    customer with both different language  in customer master addess, e.g. german and english. For the printing, they want to use German addess, but keep english addess as well in company code ABC. But in comopany code DFG, mostly, the printing is english. So what should I do? also whats the function of international version in customer master. Pls advice. thanks

    Hello,
    it's not clear to understand from your question wether your customer have two different addresses or do you need a different form of printing (depenting of country for delivery i.e.).
    If you need two different addresses, the Business Address Service can be a solution for you. The button "international version" customer master allows to hold more than one address for one customer. Have a look in customizing documentation at SPRO > Activate international address versions. You can define your own kind in customer namespace (between 0 to 9).
    Than, if you have more than one address, you can choose in the printing programm the address which you want to print.
    More informations about using the Business Address Service you will found at http://help.sap.com/saphelp_nw70/helpdata/EN/c8/13b237b9a9a968e10000009b38f8cf/frameset.htm.
    Regards Thomas

Maybe you are looking for

  • PHP script calling another but staying on same page

    Hi, Im thinking of writing an additional PHP page, that has a link to another PHP page, to do an insert. On the current PHP page, I have a counter which I would want incrementing after the 2nd PHP script is called, but don't think its possible? I'm s

  • Best Practice for Migration of BO  from one server to another

    Hi All,            I would like to know what is the Best pratice for Migration of BO from One server to another. i have Installed BO Xi R2 on my server. Thanks, Anendu Bothra Edited by: Anendu Bothra on Mar 5, 2009 10:24 AM

  • I want to back up 2 computers to time capsule

    Hello, I currently have a 3 TB time capsule. We are buying a new laptop, either PC or Mac.' I need to know in either case wehther it is possible to backup both on the time capsule? Would I need to partition the disk in either case? I am fairly new at

  • Issue with HTML Links/Images in PDF print

    Hello, In a Webi XI report, I'm using HTML to link to other reports or execute javascripts. It works just fine when executing the report but when exporting to PDF, the actual code would appear instead of the correspondent link/image. Any help would b

  • LR5: yellow/sepia highlights

    Been using Win 7, LR4, installed LR5. Pure white image highlights now display as yellow/sepia, with both color and B/W images. This happens in Library, Develop, Print, thumbnail strip. In Print module, images have the sepia highlights, but the backgr