Exchange rate according to document date

Hello all,
We are creating PO and then Goods receipt. I need to change exchange rate according to document date while creating Goods Reiceipt. We have done few customizing changes for this. Translation date has been updated with the document date but exchange rate is still derived from posting date. My new translation date is ignored for exchange rate derivation. If Where should be a problem?
I looked into note 619330 for this issue. If someone has implemented this note already for this issue, could you please let me know whether this note will solve this issue?
Thanks,
Priya

hi priya,
Do u got the solution for this problem, couz I have the same issue.
Please reply if u got solution.
Regards
Deepak

Similar Messages

  • BADI exchange rate according to document date instead of posting date

    Hello,
    I am looking for a BADI that will enable us to change the exchange rate according to document date instead of posting date.
    This change is needed for documents of travel expenses.
    I tried to use substitution but it didn't work for documents created in Tcode PRRW.
    Thank you,
    Dan

    Friend,
    Try to use Field exit functionality.
    You can create field exit for Translation date(WWERT). While currency converstion this date only taken as base.
    Technically you can pass Doc.Date(BLDAT) value to Translation date.
    Or in Substituton(GGB1) also for the header "Transaltion date = Docu.Date".
    I hope it serves your purpose.
    Chandu

  • Exchange rate in billing document

    Hi,
    I am facing issue in determining the exchange rate in billing document.  During billing document creation, system is picking the exchange rate based on the item level exchange rate.  This exchange rate is determining based on the pricing date but this pricing date in billing document is equal to the sales order pricing date.  But my requirement is to determine exchange rate based on the billing date.
    I done the following settings -
    1. Maintained the exchange rates in exchange rate table
    2. Defined copy control between delivery to billing and in that maintained pricing exchange rate settings as
    C Exchange rate determination according to billing date
    But still system is determining the exchange rate based on Condition Pricing date which is copied from the sales order (sales order pricing date is equal to billing pricing date).
    Please help, how to make pricing date as today's date or billing date
    Regards
    Goutham

    Hi,
    u can achive though copy controls vtfl u go to there item level u find exchange rate type 'C' Pricing date will based on billing date.
    Best regards,
    venkataswamy

  • Change exchange rate according BLDAT via BADI - FI_TRANS_DATE_DERIVE

    Hello all,
    i need to change exchange rate according document date in FB60. I implemented BADI for that purpose according oss note 575249. Translation date has been updated according document date but exchange rate is still derived from posting date. My new translation date is ignored for exchange rate derivation. Where should be a problem?
    Thanks, zd.

    Hi,
    Can you please tell us which BADI did u implemented. Did you used FI_TRANS_DATE_DERIVE ?
    Did u finally got the solution for it??
    Thanks for help.

  • Exchange Rate in Billing Document and FI document differ

    Hi,
    We're facing an issue with the exchange rates b/w 2 currencies in the FI document. While the billing document shows one exchange rate for the item (based on pricing date of invoice) , the FI document shows a different exchange rate(latest date in 0B08).
    As a result the local currencies in the two documents differ.  Any ideas?

    Hi,
    Please chcek the EXCHANGE RATE TYPE in the COPY CONTROL from Delivery to Billing in the transaction code VTFL at item level
    Change the EXCHANGE RATE type to DETERMINE THE EXCHANGE RATE BASED ON CURRENT DATE, then it will determine the EXCHANGE RATE in the Billing document based on the OB08 settings.
    After making these changes the accounting document and the Billing will show the same value.
    Please revert back if you need further details.
    thanks,
    santosh

  • PO exchange rate in GRN document

    Hi All
    Without maintaining the exchangerate in Table(ob08), i want flow the PO exchange rate in MIGO document.
    that is my (GRN) documents should update with PO exchange rate. System should not pick(exchange rate from table).
    Can any one tell me how can i do?
    Regards
    M S K

    Hi
    As per standard the PO exchange rate gets automatically determined based on the values maintained in Configuration OBO8.
    If you want the GRN to be based on a fixed exchange rate then you can flag the exchange rate fixed indicator in the PO header tab Delivery/ Invoice.
    Thanks & Regards
    Kishore

  • Exchange rate on approved document

    Dear experts,
    I have a scenario where while i raise a marketing document like Purchase Order. My exchange rate on the table is 1 Dollar = 81 KSH. When i raise a purchase order i change the exchange rate on the document to 80. If this document goes for approval the exchange rate picks from the table but if it doesnt it remains as 80. Does anyone has a reason why this could be the case cause i should be able to edit the my document to a different exchange rate and maintain that on the document. please advice
    Regards,

    Hi,
    What B1 version are you using ? I am afraid it could be bugs.
    Log a message to SAP support. They can provide solution for that.
    Other cause is the approval document is performed in the day after document created. However, it should not change the rate. You could also read the ees pdf file on exchange rate from SAP AG
    Rgds,
    JiM

  • IN doing MIGO Exchange Rate is taking posting date but now we need to select with document date

    Dear Experts,
    After posting in MIGO exchange rate need to select document date.present it is taking posting date.how we will make pls suggest me
    Regards,
    Rajam

    Hi Rajam
    Fx translation is actually dependant neither on doc date nor on posting date.. It is dependant on the "Translation date". If the Trans date is not entered, then Posting date is taken as the basis
    If you want to change this behaviour, refer the following notes
    574583 - For MM LIV and 42615 for FI Posting (FI Posting uses substitution)
    Br. Ajay M

  • Exchange rate determination on Billing Date

    Hello,
    We have a problem with respect to exchange rate re-
    determination - on billing date at the invoice level.
    Currently in our system the Exchange rate is being determined on the
    pricing date at the sales order level. When we create the invoice the
    exchange rate at the header level (VBRK-KURRF) is getting re-determined
    on the billing date.
    However the problem is the exchange rate at the item level (VBRP-KURSK)
    & exchange rate with respect to amount currency level (KOMV-KKURS).
    In order to re-determine exchange rates at item level (KOMV-KKURS) - we have done the
    configuration for exchange rate type field in Copy control settings at
    VTFL/VTFA should be u201CCu201D.
    But however, the system is determining the pricing exchange rate (KOMV-KKURS) on the pricing date, and not on the billing date.
    We have also applied the note 92613. In spite of making the changes the pricing date is not being re-
    determined to u201Cbilling dateu201D for exchange rate calculation at conditioncurrency level.
    Can you please let us know, how can we have the pricing exchange rate (KOMV-KKURS), be determined on the billing date and not on the pricing date. Do we have a configuration for this? Or is some change in any user exit is required. Please suggest.
    Best Regards,
    Priya Gor.

    Hi All,
    I am having the same kind of issue.
    My requirement is if the condition currency is different than Document currency (which is also local currency) the system should re-determine the exchange rate in billing as per current date.
    Could you please suggest me how KOMV-KKURS will be redetermined in billing as per current date?
    As you know copy control TVCPFLP-PFKUR filed will be applicable for VBRP-KURSK but for my requirement it is not needed.
    Is there any copying requirement required or any user exit in Billing document ?
    Please share if anyone having any info for this.
    Thanks
    Amar

  • Changing Exchange rate as per Billing  date

    I have got 1 requirement while creating Billing document through VL01 transaction the user change the header data Billing date as per billing date the exchange rate also will be change automatically.
    Enhancement : SDVFX008
    Exit Name : SAPLV60B_008.
    Include : ZXVVF008.
    in that the client have 2 marketing place one is india and another is US the if user change the invoice Billing date VBRK-FKDAT as per billing date US$ exchange rate will be change automatically in the field VBRP-KURST. i written code but i did not fetching data in to table in this exchange rate maintained in table TCURR and my code is.
    "" Data : ukurs1 type tcurr-ukurs,
              date(10 )type c.
    if cvbrk-fkdat is not initial .
    select singe ukurs into ukirs1 from tcurr
                  where gdatu = date and
                              tcurr = 'USD'.
      loop at vbrk where vbeln = doc_number.
        clear cvbrp-kursk.
        cvbrp-kurst = ukurs1.
      endloop
    endif.""

    Hai,
    "" Data : ukurs1 type tcurr-ukurs,
    date(10 )type c.
    if cvbrk-fkdat is not initial .
    select singe ukurs into ukirs1 from tcurr
    where gdatu = date and
    tcurr = 'USD'.
    loop at vbrk where vbeln = doc_number.
    clear cvbrp-kursk.
    cvbrp-kurst = ukurs1.
    *MODIFY cvbrp.*
    endloop
    endif.""
    Modify the internal table & check it.
    Regards,
    Sudhakar Rayala
    Edited by: SudhakarRayala on Feb 14, 2010 1:28 PM

  • Exchange rate for controlling document.

    Hi,
    We have 3 currencies in total, 1 local  2 other currencies in USD. During posting system automatically converts local currency amount into USD based on exchange rate available. suppose if this USD amount is manually changed during posting and posted, controlling document (cost center document) is still considering the exchange rate available in system and not manually changed amount. This is leading difference between FI and CO in USD amount where as Local curr amount matches. I checked all the controlling settings.. versions etc to avoid this, but couldnt succeed. Can some one advise if this is standard behavour ? can this be changed by some customisation ?
    thanks

    HI
    Yes this is the way SAP works.  You need to reconcile with local currency . However if you want to reconcile with other currency too , you can use the same rate which is being used for transfer of the data into CO. You may have Audit issue in such case , however currency re valuation will take care this aspect too .
    Regds
    Rajiv

  • Which table field stored the exchange rate for controlling documents?

    Hi,
    May i know which table field stores the exchange rate used for a controlling document?

    Hi,
    The exchange rate is not specifically stored in CO. In table COEP, the data in transaction currency, object currency and controlling Area currency is stored. You can derive the exchange rate from here.
    Rgds
    Shivram.

  • Required to shoe exchange rate as per billing date in VF01

    Hi Experts,
    We have created 2 invoices (export and intercompany billing). My client has identified a peculiar query and I am unable to get a solution for it.
    The Export invoice shows 2 exchange rates, viz: Condition exchange rate for conversion to local currency = picks the exchange rate as per the pricing date.
    And Exchange Rate for Price Determination = picks the exchange rate as per the Billing date/ service rendered date.
    But, in the Intercompany invoice the Condition exchange rate for conversion to local currency = picks the exchange rate as per the pricing date and Exchange Rate for Price Determination = 1.
    The client wants the exchange rates should reflect as per the Billing date/ service rendered date. And should reflect same exchange rates in both of these documents.
    I have changed the Pricing exchange rate type to C and D in VTFL but it is not giving any fruitful result for IV.
    Please let me know, how this requirement can be achieved.
    Thanks in advance.
    Regards,
    Shibaji.

    Hi Laksmipati,
    Thanks for your suggestions.I have few doubts to be clarified.
    In case of intercompany invoice the value in KONV-KKURS is showing as per pricing date.
    Can we make it as per billing date?
    What is the significance of this field?
    Which exchange rate is actually considered for finnacial posting?
    Thanks in advance.
    Regards,
    Shibaji.

  • Convert a sales value to the reference currency with the exchange rate of a specific date

    Hi Friends,
    I Have 2 Dimensions: Time and Currency
    I also have to fact tables, exchange rate and sales
    Both fact tables have references to Time and Currency Dimension.
    The user want to select using excel the sales in the local currency and the correspondent conversion in the reference currency (the reference currency is fixed) in the selected date.
    To obtain the desired exchange date I need a date and a currency. The user select in excel a specific date but the currency must be the current currency in the sales table. I achived something like this in the query editor:
    with
    MEMBER [Measures].[Current Rate To Euro] AS (
    ([ISO Currencies].[ISO Curr Code].CurrentMember, [Time].[Date Id].CurrentMember, [Measures].[Exchange Rate To Euro]))
    MEMBER [Measures].[Net Sales Euro] AS (
    [Measures].[OOH Net Sales Dom Snapshot]/[Measures].[Current Rate To Euro]
    SET NE_measures as {[measures].[Net Sales Value Domestic], [Measures].[Exchange Rate To Euro]}
    member m_NonEmptyCheck as
    Generate
    NE_measures
    ,{Iif([Measures].CurrentMember, [Measures].CurrentMember, NULL)}
    ).Count = NE_measures.Count
    ,NON_EMPTY_BEHAVIOR =
    {[measures].[Net Sales Value Domestic], [Measures].[Exchange Rate To Euro]}
    select {[Measures].[Net Sales Euro], [Measures].[OOH Net Sales Dom Snapshot],[Measures].[Current Rate To Euro]} on 0,
    Filter(
    {[ISO Currencies].[ISO Curr Code].[ISO Curr Code]}*{[Time].[Date Id].&[2581]*[Customers].[PDU Description].[PDU Description]}
    ,m_NonEmptyCheck
    ) on 1
    from [DM ISR DEV];
    But I don't know how to translate the last select in a calculated measures in order to let the customer only to select this measures in the values area and the time in the filters.
    Any comment would be appreciated
    Kind Regards

    Was not so difficult as I thought, however, it took me several hours to understand how could it work:
    with
    MEMBER [Measures].[Current Rate To Euro] AS (
    ([ISO Currencies].[ISO Curr Code].CurrentMember,[Time].[Date Id].CurrentMember, [Measures].[Exchange Rate To Euro]))
    MEMBER [Measures].[Net Sales Euro] AS (
    SUM([ISO Currencies].[ISO Curr Code].[ISO Curr Code],([Measures].[OOH Net Sales Dom Snapshot]/[Measures].[Current Rate To Euro]))
    select {[Measures].[Net Sales Euro], [Measures].[OOH Net Sales Dom Snapshot],[Measures].[Current Rate To Euro]} on 0,
    non empty {[Time].[Date Id].&[2580]} -- specific datatime, in my db is the 23 Jan. 2014
    *{[Customers].[PDU Description].[PDU Description]} on 1 -- An attribute of the customer hier.
    from [DM ISR DEV]
    I think all of my confusions come from my Sql background. A calculated member is a member that is resolved by calculating an MDX expression to return a value, not a set, for this reason the key to solve my problem was the SUM function.

  • Wrong exchange rates entered and documents posted need to be updated

    Hi Friends,
    We have a situation where wrong exchange rates were entered at the end of month and lots of documents were posted with the wrong exchange rates. All these documents need to be updated with the correct exchange rate. But system will not allow changing the exchange rate in already posted documents. One option is to do mass reversal of all the documents posted, change exchange rates to correct rates and then repost all the documents with the correct exchange rate. Is there any other better option or SAP Program available to update exchange rates in all these documents instead of doing reversal and reposting?
    Thanks and regards,
    Pinky

    Hello,
    You can do foreign currency valuation (for Vendors/ Customer/ GL balances) through TCODE: F.05 or FAGL_FC_VAL. This will ensure that as at the period end, your open items are currectly valuated. This will post the exchange difference to P&L & B/s and  will automatically give you the correct picture as at the period end.
    If there are lot of entries posted then Foreign Currency Valuation will be a good option. This will save lot of time in reversing and reposting all the incorrect entries.
    Regards,
    Prasad

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