Duty paid customs warehouse stock

Can someone explain what duty paid customs warehouse stock is?  Is this a concept unique to GTS?
In the "real world" once the duty is paid, the stock is no longer relevant to the customs warehouse. 
GTS is often making errors in designating duty unpaid stock as duty paid customs warehouse stock. What's the best way to address this?

Hi,
for GTS the only relevant information for inventory/warehouse management is the customs status of the goods,
what means DUTY PAID or DUTY UNPAID.
DUTY PAID menas, you have already declared the goods for free circulation and customs has not longer any interst in this godds.
For DUTY UNPAID means, that these goods are under customs control, and import duties, and  taxaes have not been paid for these goods. This is typically for godds in a customs warehouse,e.g. type D in Europe the case.
You can also store duty unpaid and duty paid goods in one warehouse, but you need to know how many goods are in which status - and this information is hold by GTS.
hope that helps,
regards,
Ralf

Similar Messages

  • Consignment Sales - Problem : Dual Ex. Duty Paid, but recovered only once

    Dear Experts,
    We are working on Consignment Sales configuration.
    we have done all configuration as per standard practice and observing correct postings.
    Post Goods Issue, we normally have two seperate postings :
                          Set 1 :
                                Ex. Duty Paid Dr
                                Ex. Duty Payable Cr                                                                               
    Set 2 :
                                Customer A/c Dr
                                E. Duty Recovered Cr
                                Sales A/c Cr
    We are using same pricing procedure as that of regular Sales.
    But in trials, we are observing that the Excise Duty Paid  / Payable is getting posted twice, but is recovered only once.
    how do we investigate & correct the error of this dual posting of Ex Duty Paid / Payable. If new pricing procedure is to adopted, what should the change in it?
    pleae help and Yes, wish you all a very happy diwali.
    Experts, please help.
    Edited by: Hussein  Merchant on Oct 20, 2009 6:51 AM

    Hi,
    As per stand.SAP consingment is divided in to four types i.e CF, CI, CR, & CP.
    When you are snding goods to your consingment stock which is in costumer premices, you have to pay Excise duty while moving the goods from yuor manufacturing plant.
    so at that time only you have to pay Excise duty. i.e at the time of consingment fill up only.
    At the time of consingment issue , your actual sales happend means your actual stock will decrease & sales happend.
    See first you have to check from your business that your consingment fill up  price & consingment issue price is same or differnt.
    for example if you are removing goods from your manufacturing plant at price Rs.100/- that time you have to pay Excise duty Rs. 14/- only.
    At the time of Consingment issue if you are saling the same goods may be at the price of Rs. 150 then you have to pay excise only for Rs.50 only . In most of the cases both CF & CI prices are same so you have to create two pricing procedure in which at the time of CF only excise will get calculated & postings will be happend. At the time of CI no excise will get posted only it will show or get printed on invoice , no postings will be hapend. You can do this by making changes at condition type level.
    Please feel free to contact me if still you have any doubt.
    Thanks
    Devdatta.

  • Posting of duty paid material

    Hi All,
    I have a issue of duty posting after PGI. A customer is duty suspended so he is not suppose to pay any duty on material he is ordering. But the maerial he is ordering is duty paid. Now as per the pricing procedure condition value of Duty is appearing as 0 because of duty suspended customer. There is one more Condition value for duty liability (= cost price of material X condition value) and this amount should post to G/L account of duty recovery.
    I have created delivery, split batch and created transfer order. When I am issuing goods (PGI) I can see in FB03 there is only one accounting document for material (which we maintain in OBYC). But there is no accounting document generated for duty.
    Can anyone please explain me reason for no duty postings? Also where do we maintain G/L account for this kind of duty?
    Note: We are using batch determination and warehouse also. This is a case of Kenya region.
    Any piece of information is highly appreciated.
    Mohit

    hi,
    if the customer is duty exept than u cannot charge him the duties in any case provided he is furnishing the necessary docs. and there will be no liability on part of teh organisation towards the govt. in this case. so as much as i understand there shud not be ne liablity at all.
    saurabh

  • Import Excisable Raw Material on Custom Warehouse Issue

    Hi Expert....
    One of my client import Raw Material of 2000 KG on 15/02/2012 at Port Warehouse (Custom Bonded Warehouse). At the same time, Inventory Asset GL should be affected on the same date.
    This Material stored in Port Warehouse (Custom Bonded Warehouse). So i can not define as my warehouse as well as i can not assign my ECC no. to that warehouse.
    That Material store on Port Warehouse (Custom Bonded Warehouse) & hence i can not create Excise Liability on same date (15/02/2012). But when client require material, suppose 500 KG material require on 01/03/2012,At that time Custom department send them Excise invoice & Custom Duty invoice copy of that 500 KG material. Hence Excise Duty (Incoming Excise Invoice) & Custom Duty liability should be create & affect in balance sheet on 01/03/2012 date.
    Hence 1500 KG (2000 - 500) material would be left on Port Warehouse (Custom Bonded Warehouse).
    Now, after that when again they require that material, suppose 300 KG on 05/03/2012,  they again pay Excise & Custom Duty to Custom department of that 300 KG material on  05/03/2012.
    Pls help me to find out solution of such scenario.
    Thanks & Regards,
    Vishal Dabhi

    Quote" Please advice how do we issue items to a process order that have already been issued to a Cost Center. What is it that I am missing?"
    Not possible. As the component has only one stock (no paralllel lifes here in SAP), if you issue it against a cost center, then you will have no stock to consume against the order.
    I would suggest using Picking List (CO27), so the movement from Storage Location is "in fact" the issue to order, so no need to additional posting.
    Or you can have some work around using non valuated materials.
    So the value related to the component is debited to a cost center ( the purchasing order, for instance) but ths stock is consumed to an order.
    If you give additional information or constraints, perhaps we can give some better approach.
    Regards

  • EOU : duty paid transactions

    Dear All ,
    We have EOU unit where most of the Transaction are duty free.
    But we have few items where we have paid duty :
    Pl guide for the report where we can see the transacion / items in which have paid duty ?
    regards,

    Hi,
    for GTS the only relevant information for inventory/warehouse management is the customs status of the goods,
    what means DUTY PAID or DUTY UNPAID.
    DUTY PAID menas, you have already declared the goods for free circulation and customs has not longer any interst in this godds.
    For DUTY UNPAID means, that these goods are under customs control, and import duties, and  taxaes have not been paid for these goods. This is typically for godds in a customs warehouse,e.g. type D in Europe the case.
    You can also store duty unpaid and duty paid goods in one warehouse, but you need to know how many goods are in which status - and this information is hold by GTS.
    hope that helps,
    regards,
    Ralf

  • CIN-Two Export scenarios-Duty not paid & Duty Paid

    Hello SAP SD CINers,
    I have a basic requirement which is that one industry exports without duty paid (which is always the case) and other duty paid which means in the Billing document & the Export Excise Invoice the Price will be statistical but the Taxes like JEXP (IN: A/R BED %) will be accounted for.
    The solution as formulated by us is that we have a new series created and then all seems right but the problem here is that it is very very difficult to get a new series from Customs for different busines scenario as normally only two are sanctioned like Home consumption and for Exports.A new Shipping Point be created specially for this scenario which can then be maintained in the Excise/Series group determination but the problem here is that one needs a new Series Group to be maintained which should have utilization not clicked as normally for exports it is ticked off for no utilization but here we need to carry out utilization.Hence, the requirement for a new Series is generated.This is very difficult to convince the Authorities to sanction a new series grouop as this is normally not done.
    Could you CIN masters suggest something for this.
    In Std SAP, we can have two order types for e.g. OR & RE to have the same No. range int. assignment which will cause the number maintained to find the next available number for both OR as well as RE..OR can have number "1" and RE can have number "2" & so on and so forth.Duplications dont happen here but in case of CIN Excise Invoices, this happens if we shift between Series "EX" (for export) & new Series say "S1" both of which have Object " J_1IEXCEXP" have same from -to numbers.
    This problem can be easily be solved by making the changes in the source code which allows this two series groups to have the same number range and the numbers shouldn't get duplicated and the sytem should take in next available number just as this is done for Sales Orders.But that is a change, so we would request for some solution within the existing setup.
    I am sure this problem must arise with almost all Indian export factories so there must be some workaround for this problem.
    Kindly advice as this is very challenging scenario.In case of further queries, kindly send query for this & i will  be looking forward to valuable inputs from you all regarding this.
    Thanks All in advance.
    Regards,
    Dinesh Relwani.

    Hello SAP SD CINers,
    I have a basic requirement which is that one industry exports without duty paid (which is always the case) and other duty paid which means in the Billing document & the Export Excise Invoice the Price will be statistical but the Taxes like JEXP (IN: A/R BED %) will be accounted for.
    The solution as formulated by us is that we have a new series created and then all seems right but the problem here is that it is very very difficult to get a new series from Customs for different busines scenario as normally only two are sanctioned like Home consumption and for Exports.A new Shipping Point be created specially for this scenario which can then be maintained in the Excise/Series group determination but the problem here is that one needs a new Series Group to be maintained which should have utilization not clicked as normally for exports it is ticked off for no utilization but here we need to carry out utilization.Hence, the requirement for a new Series is generated.This is very difficult to convince the Authorities to sanction a new series grouop as this is normally not done.
    Could you CIN masters suggest something for this.
    In Std SAP, we can have two order types for e.g. OR & RE to have the same No. range int. assignment which will cause the number maintained to find the next available number for both OR as well as RE..OR can have number "1" and RE can have number "2" & so on and so forth.Duplications dont happen here but in case of CIN Excise Invoices, this happens if we shift between Series "EX" (for export) & new Series say "S1" both of which have Object " J_1IEXCEXP" have same from -to numbers.
    This problem can be easily be solved by making the changes in the source code which allows this two series groups to have the same number range and the numbers shouldn't get duplicated and the sytem should take in next available number just as this is done for Sales Orders.But that is a change, so we would request for some solution within the existing setup.
    I am sure this problem must arise with almost all Indian export factories so there must be some workaround for this problem.
    Kindly advice as this is very challenging scenario.In case of further queries, kindly send query for this & i will  be looking forward to valuable inputs from you all regarding this.
    Thanks All in advance.
    Regards,
    Dinesh Relwani.

  • STO Duty Paid

    D/ Friends,
    Ouru2019s is an excisable product. Now we want to do STO from plant to depot. What is the std. process flow of STO in case of Duty paid depots? Pls explain the flow of T.Codes also. Weu2019ve configured CIN.
    Second issue is that std. billing type JEX is not picking the STO Pricing Procedure. We want to transfer the goods to the depot at some price & excise. So how to bring STO Pricing Procedure in the billing doc.
    Thanks.

    Hi,
    Please find the following process
    ME21N-Purchase order STO
    VL10B - Replenishment delivery
    VL02N - PGI
    VF01- Proforma invoice
    J1IIN - Excise invoice
    MIGO - Goods Receipt
    J1IG - Excise Capture
    VA01 - sale order
    VL01N - OBD
    J1IJ - Excise invoice
    VF01 - commercial invoice.
    J1IDEPOTSTOCK - RG23D Report.
    Returns from Customer to Depot
    1) Create a Depot return sales order in VA01 with reference to original billing document
    2) Create Delivery
    3) Create Transfer Posting using MB1B with Movement type 453 and dont forget to make a note of the material document number
    4) Go to J1IG, click "Capture". There enter material document number and the respective series group. Then click "details". Now select the line and click "More documents". Maintain the excise invoice number created at supplying plant.
    Returns from Depot to supplying plant
    1) Go to J1IG and click on red icon from the toolbar. Enter material document number created during MIGO, year,series group of Depot and hit Enter button. Now click on "Item" so that you will be taken to next screen where you can see line item for RG23D cancellation. Save so that system prompts you asking whether you want to cancel the entry. Click YES.
    2) Verify this by going to tables J_1IEXCHDR & J_1RG23D. Check GRPO entry in both the tables where the status must have changed to "D"
    3) The original excise invoice can be canceled via J1IH and check whether DLFC entry has the status "R" and at this time entry CEIV is also created confirming excise invoice and CENVAT reversal.
    Hope this may clears your issue,
    Thanks and Best Regards,
    Muralidharan S

  • Non duty paid STO

    D/ Friends,
    In case of STO of FERT material to Non Duty Paid depots, how the billing doc is created? With out excise duty or with duty? If it is w/out excise duties, then how it is possible?
    Somebody pls tell what is the whole cycle for the above scenario.
    Thank you.
    Edited by: Siddhant Hant on Sep 17, 2010 9:35 AM

    Hi,
    Please find the following process
    ME21N-Purchase order STO
    VL10B - Replenishment delivery
    VL02N - PGI
    VF01- Proforma invoice
    J1IIN - Excise invoice
    MIGO - Goods Receipt
    J1IG - Excise Capture
    VA01 - sale order
    VL01N - OBD
    J1IJ - Excise invoice
    VF01 - commercial invoice.
    J1IDEPOTSTOCK - RG23D Report.
    Returns from Customer to Depot
    1) Create a Depot return sales order in VA01 with reference to original billing document
    2) Create Delivery
    3) Create Transfer Posting using MB1B with Movement type 453 and dont forget to make a note of the material document number
    4) Go to J1IG, click "Capture". There enter material document number and the respective series group. Then click "details". Now select the line and click "More documents". Maintain the excise invoice number created at supplying plant.
    Returns from Depot to supplying plant
    1) Go to J1IG and click on red icon from the toolbar. Enter material document number created during MIGO, year,series group of Depot and hit Enter button. Now click on "Item" so that you will be taken to next screen where you can see line item for RG23D cancellation. Save so that system prompts you asking whether you want to cancel the entry. Click YES.
    2) Verify this by going to tables J_1IEXCHDR & J_1RG23D. Check GRPO entry in both the tables where the status must have changed to "D"
    3) The original excise invoice can be canceled via J1IH and check whether DLFC entry has the status "R" and at this time entry CEIV is also created confirming excise invoice and CENVAT reversal.
    Hope this may clears your issue,
    Thanks and Best Regards,
    Muralidharan S

  • Additional duty of custom in domestic purchase

    Hi Friends,
    My Client purchases import material in domestic market also. So at the time of purchasing this material client pays ADC to the vendor.
    So in domestic pricing i want to maintain this condition of ADC.
    I want to clear following points in this regard:-
    *1. To create this ADC condition type which condition should i refer.
    2. This ADC amount is claimable and its value is debited into BED register how can i do this*
    Waiting for your response !!
    Regards
    Vivek

    Hi,
    Refer SAPNote 964190 - ADC on domestic purchase of imported goods
    This occurs in case if a trader will pass on Additional duty of Customs paid while importing the goods. In case of capital goods, the credit for ADC can be fully availed.The credit for this ADC can be availed.
    Configurations:
    Create a new condition for ADC(JADC) by referring to the attachement in SPRO -> Materials management -> Purchasing -> Conditions -> Define Price Determination Process -> Define Condition Types. Give the short text as "ADC in Pricing".
    Add this condition type (JADC) to the pricing procedure at SPRO -> Materials management -> Purchasing -> Conditions -> Define Price Determination Process -> Define Calculation Schema. Set the SubTotal as 2 for this condition type(JADC). No ActKy is required.
    JEXC shall be used for countervailing duty and ECS amount need not be entered in the pricing procedure.Only ADC amount will be entered against
    this new condition type(JADC).
    1. The Excise Registration Is Liable to AED.i.e. In the transaction SM30, for Table / View:J_1IREGSET, AED must be checked.
    2. AED% is NOT required to be maintained J1ID for that material.
    3. The AED(Additional excise duty)condition in the tax code has to be active if sub-routine based tax procedure(TAXINJ) is being used.
    4. For  ADC, either the setoff or inventory exists.Both conditions cannot exist simultaneously.
    5. The condition record for AED has to exist (in transaction FV12) if  condition based tax procedure(TAXINN) is being used.
    Refer to the attached document 'J_1I4_GET_MANUAL_EXCISE.zip' for changing the import and export parameters.
    Add the parameters listed in the document to respective function modules.
    Procedure to add new parameters:
    Run transaction SE37, enter the function module name as J_1I4_GET_MANUAL_EXCISE and click on 'Change' button. To add import parameters, click on 'Import' tab, else to add export parameter click on18.03.2008 Page 2 of   3 Note 964190 - ADC on domestic purchase of imported goods
    'Export' tab. Add new parameters according to the details given in the attached document. Save and activate the changes.
    Apply the code corrections once the parameters have been added.

  • THird Party PO Scenario - GR into Customer Consignment Stock

    HI,
    In a Third party scenario, is there any possible way to post the GR into Customer consignment stock ?!
    In std SAP,
    PR is generated from Sales order and the PO is created w.r.to the PR.
    PR & PO will have the acct assignment ( sales order) and item category (third party).
    during GR,  we can't see the stock in the system. because the GR is statistical one since the stock is directly deliverd at customer place.
    But in the current world in our case,
    the stock is delivered in an external warehouse, from where the goods will be delivered to customer at a later point.
    we want to track the stock in external warehouse. so, we want to have this as the "customer consignment stock". ( we may have this as a SLOC and from there we can transfer to customer consignment stock. but there will not be any link for the sales order and this customer consignment stock and moreover during GR we are not updating the stock...)
    SO here is the question,
    how can we update the stock during GR for Third party order( as far as I know, we can't define new item category).
    If we are updating the stock during GR for 3rd party, then we may find a way to post it to the customer consignment....
    Pls share your ideas..thanks.

    Third Party Consignment?  Anyone have an answer?  I have the same requirement

  • Need to include Warehouse stock into MRP

    Hi Gurus,
    We have an issue to include warehouse stock into MRP.
    This is because We have stock in warehouse to cover the demand but the MRP creates line against the VSF.
    Please help me to resolve this.
    Is there any customizing chnages there for including the warehouse stock.
    Thanks in advance.
    Naveen.

    Dear Naveen,
    1) Normally we call un-restricted use stock as ware house stock.
    2) you can check the same in MMBE
    3) this stock is default considered by MRP in Net Req Calculation & Create Procurement Praposals
    4) Coming to Block stock, if u want MRP to consider this stock then
    5) Then Just Mark as Tick for Blocked stock in OPPQ & save
    6) Then Run MRP system Consider block stock also in Net Req Calculation
    Regards
    kumar

  • Customs Warehouse solution for South Africa?

    Hello Experts,
    Is it possible to implement Customs Warehouse solution for country South Africa?
    Is it possible to do it without development and from standard GTS10.0 product?
    Customer also needs to generate Customs duty drawback for all Imports and Exports from South Africa. Is it possible?
    If all of the answer is yes, can you please guide me where to look for and share documents/links if possible.
    Best,
    Ethan

    Hi Ethan,
    The CWH functionality is built around EU requirements, but probably the ZA requirements are very similar.  The problem will be in generating the associated Customs Declarations; there you will need development - either of the electronic messages or the traditional printed forms.  Neither of those are included in the standard GTS product.
    GTS supports IPR, but predominantly the "suspension" regime.  Drawback is not allowed in the EU these days, and GTS does not support it as standard.  It would be possible with non-standard developments, and the extent of those would somewhat depend on how the drawback is claimed.
    Regards,
    Dave

  • External Inventory Feed - Wish to Exclude Customer Order Stock

    We have an hourly inventory job, which writes available inventory to an external file.  Recently, we learned that the report is including material which has already been reserved for future customer orders (see for example in MD04).  We do not have an ABAP programmer on staff so I am posting our existing code below and would appreciate hugely an updated script.
    I've seen references in other searches to MD04 and use of function 'MD_MPS_READ_STOCK_REQMTS' as well as 'BAPI_MATERIAL_STOCK_REQ_LIST', but do not know how to incorporate this into the hourly job.
    As you can see, the report output is being pulled from MARD-LABST, unrestricted, but it needs to also exclude allocated customer order stock.
    Thank you in advance for looking.
    *& Report  ZMM_INVENTORY_FEED*&*&---------------------------------------------------------------------**&*&*&---------------------------------------------------------------------*
    REPORT  zmm_inventory_feed NO STANDARD PAGE HEADING.
    TABLES:mara,marc,mard,mvke.
    *-------------Types Declaration----------------------------------------*TYPES:BEGIN OF ty_file,
          text(500),
          END OF ty_file,
          BEGIN OF ty_mard,
          matnr    TYPE mard-matnr,
          werks    TYPE mard-werks,
          lgort    TYPE mard-lgort,
          labst    TYPE mard-labst,
          mstae    TYPE mara-mstae,
          maktx    TYPE makt-maktx,
          mvgr2    TYPE mvke-mvgr2,
          END OF ty_mard,
          BEGIN OF ty_final,
          supplier TYPE lfa1-lifnr,   "Supplierid
          matnr    TYPE mard-matnr,   "Item no
          labst    TYPE char13,       "Qty
          qtyback  TYPE char13,       "Qtyback
          qtyorder TYPE char13,       "Qtyorder
          itemav   TYPE c,            "Itemavdate
          itemdis  TYPE char13,       "Discount
          desc     TYPE makt-maktx,   "Description
          END OF ty_final.
    *----------Internal Table Declaration---------------------------------*DATA:it_mard   TYPE TABLE OF ty_mard,
         it_final  TYPE TABLE OF ty_final,
         it_file   TYPE TABLE OF ty_file,*----------Work Area Declaration--------------------------------------*
         wa_mard   TYPE ty_mard,
         wa_temp   TYPE ty_mard,
         wa_final  TYPE ty_final,
         wa_file   TYPE ty_file.
    *----------Local variable Declaration---------------------------------*DATA: lv_labst   TYPE char13,
          lv_labst_i TYPE i,
          lv_labst1  TYPE char13,
          lv_labst2  TYPE j_1itaxvar-j_1itaxam1,
          lv_mess    TYPE string.DATA lv_filename TYPE char100.*----------Selection-Screen Declaration-------------------------------*SELECTION-SCREEN BEGIN OF BLOCK b1 WITH FRAME TITLE text-001.
    SELECT-OPTIONS:s_mstae  FOR mara-mstae OBLIGATORY,                     "Material Status
                   s_mvgr2  FOR mvke-mvgr2 OBLIGATORY,                     "Material Group
                   s_matnr  FOR mara-matnr,                                "Material Number
                   s_werks  for mard-werks,
                   s_lgort  FOR mard-lgort.PARAMETERS:    p_per(3) TYPE n DEFAULT 20,                             "Percentage
                   p_appl   TYPE rlgrap-filename DEFAULT '\\Appsrv02\Datadown\DropShip_SAP_Test\'. "File Path
    SELECTION-SCREEN END OF BLOCK b1.*----------End Of Declarations----------------------------------------*
    *AT SELECTION-SCREEN ON VALUE-REQUEST FOR p_appl.*  PERFORM f4_filename.                     "F4 help for file path
    START-OF-SELECTION.
      PERFORM get_data.
      PERFORM process_data.
      PERFORM file_export.*&---------------------------------------------------------------------**&      Form  GET_DATA*&---------------------------------------------------------------------**       text*----------------------------------------------------------------------*FORM get_data .
      SELECT a~matnr
             a~werks
             a~lgort
             a~labst
             b~mstae
             c~maktx
             d~mvgr2 INTO CORRESPONDING FIELDS OF TABLE  it_mard
                           FROM mard AS a
                     INNER JOIN mara AS b
                             ON b~matnr = a~matnr
                     INNER JOIN makt AS c
                             ON c~matnr = a~matnr
                     INNER JOIN mvke AS d
                             ON d~matnr = a~matnr
                          WHERE mstae   in s_mstae              "Exclude Material Status Filteration
                            AND a~werks IN ('1100','1200')        "Plant in 1100 and 1200
                            AND mvgr2   IN s_mvgr2              "Exclude Material group
                            AND a~matnr IN s_matnr
                            and a~werks in s_werks
                            AND a~lgort in s_lgort.
      SORT it_mard BY matnr werks lgort.
      DELETE ADJACENT DUPLICATES FROM it_mard COMPARING matnr werks lgort.ENDFORM.                    " GET_DATA*&---------------------------------------------------------------------**&      Form  PROCESS_DATA*&---------------------------------------------------------------------**       text*----------------------------------------------------------------------*FORM process_data .
    *--------------File Header Information --------------------------------*
      wa_final-supplier    = 'Supplier Id'.
      wa_final-matnr       = 'Item Number'.
      wa_final-labst       = 'Total Qty'.
      wa_final-qtyback     = 'Qty Backordered'.
      wa_final-qtyorder    = 'Qty on Order'.
      wa_final-itemav      = 'Item NextAvdate'.
      wa_final-itemdis     = 'ItemDiscont'.
      wa_final-desc        = 'Description'.
      CONCATENATE  wa_final-supplier
                   wa_final-matnr
                   wa_final-labst
                   wa_final-qtyback
                   wa_final-qtyorder
                   wa_final-itemav
                   wa_final-itemdis
                   wa_final-desc    INTO wa_file
                                    SEPARATED BY ','." RESPECTING BLANKS.
      APPEND wa_file TO it_file.
      CLEAR :wa_final,
             wa_file.*------------------End File Header---------------------------------------*
    *------------------File Item Data----------------------------------------*
      LOOP AT it_mard INTO wa_temp.
        wa_mard = wa_temp.
        MOVE:wa_mard-matnr TO wa_final-matnr,  "Item No
             wa_mard-maktx TO wa_final-desc.   "Description
        IF wa_mard-werks     = '1100'.
          wa_final-supplier  = '6476'.         "Supplierid
        ELSEIF wa_mard-werks = '1200'.
          wa_final-supplier  = '6477'.
        ENDIF.
        IF wa_mard-labst IS NOT INITIAL.
          lv_labst1 = lv_labst1 + wa_mard-labst.
        ENDIF.
        AT END OF werks.
          IF wa_mard-mstae = 'AE'.
            wa_final-itemdis = '0'.        "Item Discontinued
          ELSEIF wa_mard-mstae = 'CM' OR wa_mard-mstae = 'DR'.
            wa_final-itemdis = '1'.
          ENDIF.
          IF lv_labst1 IS NOT INITIAL AND p_per IS NOT INITIAL.
            lv_labst = lv_labst1 * p_per / 100. "Qty
            lv_labst = lv_labst1 - lv_labst.
            IF lv_labst LT 0.                    "If Qty less than Zero Make it as Zero
              lv_labst = 0.
            ENDIF.
          ELSE.
            lv_labst = lv_labst1.
          ENDIF.
          lv_labst2 = lv_labst.                  "Rounding to Nearest Qty
          CALL FUNCTION 'J_1I6_ROUND_TO_NEAREST_AMT'
            EXPORTING
              i_amount = lv_labst2
            IMPORTING
              e_amount = lv_labst2.
          lv_labst_i = lv_labst2.
          lv_labst = lv_labst_i.
          CONDENSE lv_labst.
          CALL FUNCTION 'CONVERSION_EXIT_ALPHA_OUTPUT'
            EXPORTING
              input         = wa_final-matnr
           IMPORTING
             OUTPUT        = wa_final-matnr
          CONCATENATE wa_final-supplier
                      wa_final-matnr
                      lv_labst
                      wa_final-qtyback
                      wa_final-qtyorder
                      '          '"'00/00/0000' "wa_final-itemav
                      wa_final-itemdis
                      wa_final-desc INTO wa_file
                                    SEPARATED BY ','." RESPECTING BLANKS.
          APPEND wa_file TO it_file.
          CLEAR:lv_labst1,
                lv_labst,
                lv_labst2,
                wa_file.
        ENDAT.
        CLEAR:wa_mard,
              wa_temp,
              wa_final.
      ENDLOOP.*---------------------------End  File Item data----------------------*ENDFORM.                    " PROCESS_DATA*&---------------------------------------------------------------------**&      Form  FILE_EXPORT*&---------------------------------------------------------------------**       text*----------------------------------------------------------------------*FORM file_export

    What you said is exactly what I want! Very thankful for your help.
    Yes, I have found that in EBEW table that standard price is valuated with preliminary cost estimate because I don't give a sales order cost estimate but I give an sales order stock in the customizing - requirement class. So, I have this question that how the sales order stock is determined.
    In COPA customizing (COprofitability analysismaster datavaluationSet up valuation using material cost estimate), standard cost estimate or sales order cost estimate can be transferred into COPA value fields in our system.
    But, I have still have a question: I found in our system, preliminary cost estimate in the linked production order is determined for valuation of sales order stock in EBEW table. As sap online help says, cost component splits can not be transferred to COPA.
    So, according to SAP online help, I think what you said u201Cu2026..However , when we start thinking about the result of this cost to flow into COPA , this cannot happen as the Inventory was valued with a Preliminary csot estimate. So , the Online help says that it will not be able to transfer Result of Preliminary cost estimate into COPA for transferrring COGS details. System would always require a Standard cost estimate or a Sales order Cost estimate to flow Cost details into COPAu201D is correct.
    But, in our system, cost component can be transferred into COPA!? When I create a sales billing (invoice) with tcode VF01, it can create a profitability analysis document (shown in VF03) which it had a cost component split for that material in the sales order stock valuated with the preliminary cost estimate. Or where is stored for the Make-to-Order materialu2019s cost component split in COPA?
    That is the real point that confused me. Hope you can help me. Thanks very much.

  • Request for help on Vendor Consignment stock and Customer Consignment Stock

    HI Experts,
    We have a requirement to segregate the Customer Consignment stock and Vendor consignment stock from the total Consignment stock available in the BW report.
    Currently in the report the calculation of total consignment stock is based up on Issued consignment stock and Received consignment stock .
    The calculations of the Issued and Received consignments stocks are specified below.
    Issued consignment Stock
    The below following parameters are checked when the quantity is considered as Issued consignment Stock 
    Transaction or Process keys :  100, 101, 104, 105, 106, 110
    Application    :   MM    
    Stock relevance : 1
    Adding to the above conditions,
    u2022     When the stock category is u2018Ku2019, the Quantity in Base Unit of Measure is assigned to Issued Consignment Stock.  or
    u2022     When the stock category is blank and the stock type is u2018Eu2019 or u2018Ku2019 or u2018Lu2019 then also the Quantity in Base Unit of Measure is assigned to Issued Consignment Stock.
    Received Consignment Stock :
    The below following parameters are checked when the quantity is considered as Issued consignment Stock 
    Transaction or Process keys :  000, 001, 004, 005, 006, 010
    Application    :   MM    
    Stock relevance : 1
    Adding to the above conditions,
    u2022     When the stock category is u2018Ku2019, the Quantity in Base Unit of Measure is assigned to Received Consignment Stock.  or
    u2022     When the stock category is blank and the stock type is u2018Eu2019 or u2018Ku2019 or u2018Lu2019 then also the Quantity in Base Unit of Measure is assigned to Received Consignment Stock
    Only stock category and stock type are available in the BW report for determining the type of consignment stock . So, with respect to stock category and stock type, could you please kindly advise if it is possible to determine the Customer consignment stock and Vendor consignment stock in the report
    Thanks a lot
    Warm Regards,
    Jeswanth
    Edited by: jeswanth kadali on Jun 23, 2009 4:10 PM

    Hi,
    We can settle consignment goods to vendor through MRKO transaction.Even user transafers consignment stock to own stock through MB1B transaction.We can use same document to settle vendor through MRKO transaction.
    What is implications of such Action (like Goods issue, 1 step transfer) on SAP.
    Nothing will happpen after after stock converted to own stock.
    Regards,
    JS

  • Custom warehouse using OBIEE11g

    Hi Guru,
    I want to know whether we can implement project using custom warehouse with out obi apps? we wanted to implement small project with obiee11g, informatica 9, DAC and oracle11g. Can any one suggest me whether we can implement custom warehouse with OBIEE11g?
    Thanks in advance for your help
    Regards,
    par.

    Go ahead. You can very well implement this. OBIEE11g supports both.

Maybe you are looking for

  • New install - starting xfce4 returns blank sreen.

    Hi All, I have just attempted my first Arch install, on a Toshiba Tecra A10 laptop. The install went through fine, after configuring the network I have updated the system successfully but I'm having a problem getting my DE running. I installed xfce v

  • Removing color from a PDF file

    I am trying to remove the colors from a PDF file. To do this I print it to "Adobe pdf" setting the parameter in the Paper/Quality tab, Black & White. But in the generated PDF the color is still there ! How can I remove the color from a PDF file ? Tks

  • Zen Touch plugged to the AC adap

    Hello, I wonder if it is risky to leave my Zen Touch always plugged to the AC adaptator. What would you do? Thanks !

  • Sapcontrol.exe error

    I have downloaded the SAP Netweaver 7.0 ABAP Trial Version SP12 and was in the process of installing it until I hit an error.  I have tried removing all files and reinstalling but with no success - so if someone can kindly advise me on how to further

  • Keine Kreationen-- Photoshop Album 2.0

    Hallo, ich habe heute das Programm von meiner Schwester bekommen und installiert,aber ich kann nichts damit machen. Keine Kreationen,Alben,Grußkarten....Es heißt immer ich muß mir was runterladen....aber wo? Vielleicht kann mir jemand helfen? Liebe G