Error in mass settlement of rebate agreements

Dear Friends,
I am facing the following problem while doing the mass settlement of rebate agreements
while Going with VB(7 T.code for mass settlement system is giving information message "No rebate agreement was selected"
But i gave rebate agriment number and relevent values in the required fields.
Regards
nitchel

Hello,
please check carefully the selection field "validity end date before" is higher thanEnd date of rebate, and also the Flags "rebate settlement status" are marked for the actual status of the rebate.
Best regards,
Ivano.

Similar Messages

  • Settlement of rebate agreement for previous period

    Hi Friends!
    This is about rebate settlement (Partial settlement) for rebate agreement documents. We have a process of creation of retro-active rebate agreements and then the sales invoices are updated through a backgound job (program SDBONT06). At the month end there is another background job (BON_ENH_SETTLE) for partial settlement for a month.
    The above program is able to create rebate credit notes for respective months but there are updated invoice documents (accruals) in previous month. The background jobs are not able to settle the rebate accruals which are generated in previous months.
    My question is that if we input the settlement period (ex june) for that particular month and the settlement date (30th June) in selection screen of program BON_ENH_SETTLE, would this ensure that the credit note can be generate for the month of june?
    regards,
    Praveen.

    Hi Friends,
    Can any one please help me on the mentioned issue. It's bit urgent.
    Thanks & regards,
    Praveen.

  • Final settlement of Rebate Agreement

    How Final Settlement B1 is created in rebate agreement 0002 (Material Rebate)
    What should be the minimum status in the agreement for final settlement
    In Condition record BO02  It is not allowing to activate B1 ie Final Settlement tab
    Can any one give the whole process of rebate processing from the start to finish all of it when to do what ie partial settlement,manual settlement and most importantly final settlement
    Thanking u all
    arnoldsw

    Hi,
    To execute manual partial settlements, select:
    1. Logistics → Sales and Distribution → Master Data → Agreements → Rebate Agreement → Change.
    Change the Agreement status field to B.
    Choose Create manual accrual or press Shift+F12.
    2. Save the document. The credit memo request document is generated
    automatically.
    3. Find and record the number of the credit memo request created from the
    agreement.
    Select Rebate payments → Rebate documents.
    Select Partial settlement.
    Click Choose.
    View the credit memo request number.
    4. Release the billing block on the credit memo request and save your changes.
    5. Create and save the credit memo from the credit memo request.
    To create a rebate credit memo, select:
    Logistics → Sales and Distribution → Billing → Billing Document→ Create.
    6. Release the credit memo to accounting. Enter the billing document number and choose Release To Accounting

  • Settling of rebate agreement : Accrual not reversed

    Hi experts,
    I've quite a strange problem when i make a final settlement of a rebate agreement :
    The accrual are not reversed but are counted twice.
    I.e. I've an accrual of 100u20AC for a rebate agreement, when i settle it, it didn't go to 0 but to 200u20AC.
    When I make a partial settlement, the accrual is well reversed.
    The document types are the same for partial and final settlement.
    VKOA is correct and all FI document are posted correctly.
    Has someone an idea?
    Thanx
    Nicolas

    Hi nicholas
    If  answer has been given or your problem is solved ,kindly close the thread but if it is not solved dont close the thread , but if you have any new problem post it differently
    Regards
    Srinath

  • Settling Rebate Agreements with Validity Start Date not Start of the Month

    Hello Experts,
    I am currently trying to settle a rebate agreement with validity dates November 20, 2011 to December 31, 2011. However, after the credit memo is created, I noticed that the Service rendered date is today's date, but I expected it to be the same as my Settlement Date = November 30, 2011 (a month-end). Please advise if this is normal. If not, please advise how to correct the automatic entry of dates.
    Thanks,
    M

    Hi
    Kindly let us know what is the rebate agreement type that has been used for which you are facing problem and for which rebate agreement type you are getting the month end date.Check wheather scale basis is B(Value scale) has been maintained or not for the rebate agreement for which you are getting problem.So check the differences between the two rebate agreement types.As The service rendered date of the invoice line item is used to determine the validity of a rebate condition record
    Regards
    Srinath

  • Settling Rebate Agreements

    Hello,
    I have read that you can carry out final settlement of rebate agreements:
             - automatically
             - Manually (directly from within a rebate agreement)
             - as a background task (in batch)
    and I want to know how can I do it automatically, anyone can help me?
    Thank you,
    Silvia

    Hi,
    The rebate settlement program using T code VB(7 allows you to create settlements for rebate agreements. You have the option of carrying out a final settlement in this transaction.
    Hope this helps.
    Regards,
    Rohit Zalani

  • Automatic final settlement of rebates without payment screen

    When we final settle SAP rebate agreements with payment screen (where we have to specify the final settlement amount) everything is working fine. But when we attemept to final settle the rebate agreement WITHOUT using the payment screen (all the accurals have to be paid to the rebate recepient), I am facing the following issues
    1. SAP gives a message saying credit memo request is created, but there is no credit memo request number in the pop-up screen
    2. When I do a VA03 it shows a default credit memo request number (doc number moves as per the number range), which I can not display the document because SAP gives error saying the document is not in the database.
    3. When I go back to the rebate agreement there are NO changes to it - status is still in "Open" (changed to 'B' during final settlement). I try again final settle it automatically without payment screen and face all the above problems again.
    But if I final settle the same rebate agreement using paymentscreen by specifying a payment amount everything works fine. Is it a bug in the program (or) am I missing something? Please let me know. Thanks

    Hi Dhanaraj
    Please check whether some user exits/enhancements have been implemented for your standard program?
    Also you can take help from ABAPed to check the program in debug mode for such behaviour.  Even after that if problem persists then you can call SAP on it.

  • Return process in case of final settlement of rebate

    Hi.
    I have mapped the rebate process which is working fine.But suppose i have carried out final settlement of rebate agreement and material is return by customer which has the rebate impact on it.
    In this case suppose material is return, the rebate agreement also get updated even though final settlement is carried out by some amount.
    this is nothing but the amount which customer as to pay back to the company....right
    In this case how should i process so that i can nullify the return rebate amount impact(This is case when validity period is valid)
    And how should i process if validity period is over of that agreement because inthis case no amount will be updated in agreement.
    Thank you

    Hello Prem,
    Please review the Note 392683.
    Regards,
    Raghavendra YN

  • Manual accruals/ Partial settlement in rebates

    Hi,
    I have following questions sinc eiam doing rebates for first time.
    1)  in the billing document, the rebates are calculated as per the the accrual rates in rebates condition records. My question if the invoice is for Rs 100 and accrual rebate amt in invoice is rs 2. will the customer pay Rs 98 against this invoice of full Rs 100.
    2) what happens during manual accruals.  why a credit memo request is generated during manual accruals. what happens to accruals as per condition records.
    3) what happens during partial settlement. do the accruals already poested gets reduced to the extent of amount of partial settlement. do manaul accruals have any role to play during partial settlement
    4) what happens during final settlement. do manual accruals have any role to play during final settlement i.e. do they get reversed and what happens to accurals posted as per  rebate conditon records.
    regards
    sachin

    Dear Sachin,
    1) in the billing document, the rebates are calculated as per the the accrual rates in rebates condition records. My question if the invoice is for Rs 100 and accrual rebate amt in invoice is rs 2. will the customer pay Rs 98 against this invoice of full Rs 100.
    Ans --> Customer need to pay Rs 100 only , rebate amount will paied to the customer after completion of the rebate duration in between there will be partial settlement.
    2) what happens during manual accruals. why a credit memo request is generated during manual accruals. what happens to accruals as per condition records.
    Ans--> Manual Accruals
    Use
    Posting accruals manually can be useful in different situations such as:
    Lump sum payments
    Accruals correction
    You can control at which time and for which amount the accruals should be posted.
    You can build accruals for a particular condition record or reverse them in part or in full.
    When you save the rebate agreement, the system will automatically create a credit memo request. The system uses this document to create a credit memo. When the credit memo is released, the accruals are posted to FI.
    If you have posted accruals manually, but these have not been passed on to financial accounting, the manual accruals and manual payments in the rebate agreement are blocked.
    3) what happens during partial settlement. do the accruals already poested gets reduced to the extent of amount of partial settlement. do manaul accruals have any role to play during partial settlement
    Ans->Partial Settlement
    Use
    You can also partially settle a rebate agreement during its validity period. The amount to be paid can be limited in Customizing for Sales. Payments can be:
    limited to the cumulative accruals of the condition record
    limited to the amount that would be paid if final settlement were presently carried out
    unlimited
    You carry out partial settlement by using the manual payment screen within rebate agreement processing. On this screen you can specify the amount to be paid for each condition record.
    The system will automatically create a credit memo request for the amounts specified.
    It will also reverse the accruals with the credit memo if the rebate agreement type is configured accordingly. If the payment exceeds the recordu2019s accumulated accruals, the system will only reverse the accruals which are actually there.
    The system gives you the opportunity to carry out additional partial settlements when previous partial settlements remain open in the form of credit memo requests or credit memos. The system always takes open documents into account when determining the maximum amount which you can pay.
    When the system carries out final settlement for a rebate agreement, it takes all partial payments into account.
    4) what happens during final settlement. do manual accruals have any role to play during final settlement i.e. do they get reversed and what happens to accurals posted as per rebate conditon records.
    Ans-->Final settlement
    Use
    When you carry out final settlement of a rebate agreement, the system automatically
    calculates the rebate based on the sales volume statistics or the lump sum
    deducts any previously paid rebates
    It then creates a credit memo request, and proposes the end date of the agreement validity period as the billing date.
    The system also reverses any accruals that have been posted.
    Depending on Customizing, when the system creates a credit memo request, the document is automatically blocked for billing. After approving the credit memo request, the person responsible can remove the billing block. You can then create the final credit memo.
    When you want to search for credit memo requests during sales order processing, you can use the matchcode F "Credit memo request for rebate".
    You can carry out final settlement of rebate agreements
    automatically
    Manually
    as a background task (in batch)
    Settling Single Rebate Agreements
    You can carry out settlement directly from within a rebate agreement.
    Before you save the rebate agreement you can still carry out changes to the credit memo request:
    The credit memo request is only saved when you save the rebate agreement.
    Carrying out Final Settlement as a Background Task
    If the volume of your sales rebate processing is high, you can collectively process rebate settlements as a background task.
    The following reports are available:
    RV15C001
    RV15C002
    Your system administrator can use these reports to generate a list of rebate agreements, based on various selection criteria, such as rebate recipient, status of the agreement, and so on.
    Background processing can then be carried out later. I.e., after the regular posting periods.
    After a list is generated, the rebate agreements can be analyzed or processed for payment.
    For more information about settling rebates as a background task, see your system administrator.
    I hope it will help you,
    Regards,
    Murali.

  • Currency in Rebate Agreement is different to Curr. required for Credit Memo

    Hello!
    I have a question regarding Rebate Agreements.
    We have clients with whom we have Rebate Agreements in USD, but clients are chilean so the Credit Memo is meant to be in Chilean Pesos. But there is apparently no possiblity to change the currency neither in Credit Memo Request neither in Credit Memo. The Chilean Financial Institute does not allow Credit Memo Document issued in USD, it has to be in Chilean Pesos!
    Do you have any idea how to solve this problem?
    Thank you very much,
    Dominik Ley
    Santiago de Chile

    Hi domnik
    First of all maintain currency conversion in OBO8  . Now when you settle the rebate agreement then go to Credit memo order (change mode)  and in item data ->conditions tab change the currency then automatically the value will also change and the same value will flow to the Credit memo billing document and then you can forward it to FI.
    Regards
    Srinath

  • Archive Rebate agreement?

    Hello Everybody,
    I have settle the rebate agreement and also credit memo is created. Now,
    I want to archive the Rebate agreement, but unfortunately validity of Agreement
    is after the current date. that's why document is unable to archive. so how to change
    he validity of the agreement, please suggest me.
    can it require by table level.
    please suggest me
    Thanks

    ganesh borase,
    For future reference, please let us know how you solved your issue.
    PeteA

  • Rebate Agreement problem( VB(7 )

    Hi All,
    I'm having trouble in the creation of Credit Memo Request No..The problem is that, when i'm going to settle the rebate agreement no. ( VB(7 ), and i append a date in VALIDITY DATE TO, after the creation of credit memo request no., the billing date of that no. is not matched to VALIDITY DATE TO. What are the reason why it came up to this problem? Normally, the VALIDITY DATE TO will APPEAR in the billing date field after you created the credit memo request no. Please help people why this happen.
    Points will be given immediately.
    Thanks and regards,
    Mackoy

    Hi ,
    I have checked the Accky "ERU" and Accr "ERB"...there is no problem regarding that ....
    Thanks .
    Abhijit

  • Rebate agreements / Rebate condition type

    Hi Experts,
    Can anyone tell me how to process Rebate agreements/Rebate condition types in pricing procedure.Please help me by giving step to step description for rebate condition type and where to maintain condition records and how they function.
    Thanks in advance experts,
    Kanna Palle.

    Hi ,
    find some notes on rebates.
    in the billing document, the rebates are calculated as per the the accrual rates in rebates condition records. My question if the invoice is for Rs 100 and accrual rebate amt in invoice is rs 2. will the customer pay Rs 98 against this invoice of full Rs 100.
    Ans --> Customer need to pay Rs 100 only , rebate amount will paied to the customer after completion of the rebate duration in between there will be partial settlement.
    2) what happens during manual accruals. why a credit memo request is generated during manual accruals. what happens to accruals as per condition records.
    Ans--> Manual Accruals
    Use
    Posting accruals manually can be useful in different situations such as:
    Lump sum payments
    Accruals correction
    You can control at which time and for which amount the accruals should be posted.
    You can build accruals for a particular condition record or reverse them in part or in full.
    When you save the rebate agreement, the system will automatically create a credit memo request. The system uses this document to create a credit memo. When the credit memo is released, the accruals are posted to FI.
    If you have posted accruals manually, but these have not been passed on to financial accounting, the manual accruals and manual payments in the rebate agreement are blocked.
    3) what happens during partial settlement. do the accruals already poested gets reduced to the extent of amount of partial settlement. do manaul accruals have any role to play during partial settlement
    Ans->Partial Settlement
    Use
    You can also partially settle a rebate agreement during its validity period. The amount to be paid can be limited in Customizing for Sales. Payments can be:
    limited to the cumulative accruals of the condition record
    limited to the amount that would be paid if final settlement were presently carried out
    unlimited
    You carry out partial settlement by using the manual payment screen within rebate agreement processing. On this screen you can specify the amount to be paid for each condition record.
    The system will automatically create a credit memo request for the amounts specified.
    It will also reverse the accruals with the credit memo if the rebate agreement type is configured accordingly. If the payment exceeds the recordu2019s accumulated accruals, the system will only reverse the accruals which are actually there.
    The system gives you the opportunity to carry out additional partial settlements when previous partial settlements remain open in the form of credit memo requests or credit memos. The system always takes open documents into account when determining the maximum amount which you can pay.
    When the system carries out final settlement for a rebate agreement, it takes all partial payments into account.
    4) what happens during final settlement. do manual accruals have any role to play during final settlement i.e. do they get reversed and what happens to accurals posted as per rebate condition records.
    Ans-->Final settlement
    Use
    When you carry out final settlement of a rebate agreement, the system automatically
    calculates the rebate based on the sales volume statistics or the lump sum
    deducts any previously paid rebates
    It then creates a credit memo request, and proposes the end date of the agreement validity period as the billing date.
    The system also reverses any accruals that have been posted.
    Depending on Customizing, when the system creates a credit memo request, the document is automatically blocked for billing. After approving the credit memo request, the person responsible can remove the billing block. You can then create the final credit memo.
    When you want to search for credit memo requests during sales order processing, you can use the match code F "Credit memo request for rebate".
    You can carry out final settlement of rebate agreements
    automatically
    Manually
    as a background task (in batch)
    Settling Single Rebate Agreements
    You can carry out settlement directly from within a rebate agreement.
    Before you save the rebate agreement you can still carry out changes to the credit memo request:
    The credit memo request is only saved when you save the rebate agreement.
    Carrying out Final Settlement as a Background Task
    If the volume of your sales rebate processing is high, you can collectively process rebate settlements as a background task.
    The following reports are available:
    RV15C001
    RV15C002
    Your system administrator can use these reports to generate a list of rebate agreements, based on various selection criteria, such as rebate recipient, status of the agreement, and so on.
    Background processing can then be carried out later. I.e., after the regular posting periods.
    After a list is generated, the rebate agreements can be analyzed or processed for payment.
    For more information about settling rebates as a background task, see your system administrator.
    Best regards,
    venkataswamy.y

  • Creating a Rebate agreement doc for multiple co codes

    Hi,
    To enable settling one rebate agreement across multiple company codes.
    We have a scenario, to accomodate on Rebage agreement type for multiple company codes,
    and to do the settlement for the billing documents created in these multiple company codes.
    I think it is a standard processes, but how to execute this to get the results,pls suggest.
    Regards
    AK

    Hi Franck,
    Thanks for your prompt feedback,
    Further to the issue I would like to clarify couple of other issues related to
    the processing of one Rebate agreement for multiple company codes.
    1. This is a client requirement, which need to be addressed through
    enhancements since standard possibility is ruled out, we have tried with this scenario but sales area is a mandatory entry while creating the agreement type (Tcode-VBO1).
    2.  If it is feasible could you please provide the configuration steps for the scenario or any enhancements related to this scenario for implementing.
    Kindly explain what do you mean by IMHO?
    Regards
    AK

  • Reversing of accruals for Rebate agreement with status D

    Issue :
    Rebates were wrongly accrued because business had cancelled final settlement for rebate agreement ,and then created new rebate agreement for final settlement.
    Details:
    Three rebates agreements were created for the same customer .
    Two of them were wrongly created and final settelment was done by business .
    So business cancelled final settellemnt for these 2 rebate agreement.Hence status of these rebate agreement is D.
    (Note -credit memo was not issued for these 2 rebate to the customer)
    Third new rebate agreement was finally created and after final settelment credit memo was issued to customer.
    Now since for first 2 rebate agreement final settelment was done and then cancelled,accruals are still sitting in G/L account.
    Please suggest how to reverse these accruals, so that G/L accounts can be cleared.

    Hi Saurabh
    Why dont u reverse the entry direcely in FI by passing an entry with document type SX to reverse the accrual.
    Thanks
    Indranil

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