Exchange rate differences to be added to item cost

Hi All,
My client wants all the exchange rate differences existing in the Purchase process should affect the item cost?
How can i do this?
thanks
regards
Md.nazeer Shaikh

Hi All,
Thanks for the replies.
Scenario. My client mainly deals with import export business.
When he post the GRPO the exchange rate may be 55 but when he posts the invoice it may be 55.5 in this case system will post the difference amount to the exchange rate difference account.
Second case when he make the payment it may be 60.Again the system by default posts to the exchange rate difference account.
My client wants everytime whenever he finds this scenario system should automatically increase/decrease the item cost.Is it possible in SAP B1
thanks
regards
Md.nazeer Shaikh

Similar Messages

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    Example:
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    Hi everyone,
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  • Exchange Rate Difference in PO with cost center assignment

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    Hi,
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    Transaction code OBA1
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    Give your chart of accounts:
    Enter
    Exchange rate difference key:
    Expenses account:
    E/R (Exchange rate) gain account:
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    Praveen P C
    Edited by: Praveen Chirakkel on Apr 21, 2011 7:11 AM

  • Unplanned delivery cost & exchange rate differences in MIRO

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  • Exchange rate difference in f-03

    Hi all
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    Diagnosis
    The accounts for posting exchange rate differences could not be determined. For the specified G/L account and the specified currency key, the accounts are only specified incompletely. Either the accounts for the implemented exchange rate difference, the accounts for the valuation differences or the balance sheet adjustment account are missing.
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    +919916131375

  • Exchange rate difference not getting posted to KDM account during MIGO/MIRO

    Hello Gurus,
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    Hi Venkatesh,
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  • Exchange rate difference posted to Group currency only during MIRO

    Hi SAP Gurus,
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    Valuation        Legal Valuation
    ER Type    M     Standard translation at average rate
    Srce curr. 1     Translation taking transaction currency as a basis
    TrsDte typ 3     Translation date
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              credit Vendor acct - 4,078.19 ZAR/ 460.02 USD
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    2.) Can this be changed? Say instead of the original acct assignment, the management want to change it to FX gain/loss account
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    Appreciate your help. Thanks!
    Regards
    Dru

    Just an update to this issue- I just found out that the system is pointing to KBS when posting the
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  • Exchange Rate Difference Posting

    Dear Gurus,
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    Regards
    Raju

    Dear All,
    Let me elaborate the scenarion in more deatil:
    We post Foreign Currency Invoice LIV--MIRO say rate is 41 USD/INR
    For payment F110 No Exg rate differences is selected in FBZP--So no Exchange Rate Difference is posted for payment.
    Now for clearing the bank Sub account Entry posted by APP user input LIV Exg rate in past and systen allowed to clear with no Exg rate Differ.This is OK.
    Now when user try to clear same account with same entry system is issue msg like No Exg Rate diss account maned.I tried to clear th GL document with both LIV and APP exchage rate its strange that is each case system expects Exchange rate diff account.
    I maintained in FBKP KDB in development client but then Exg Rate diff is getting posted which is not the requirement.
    Can any body please help.
    Regards
    Raju

  • Exchange Rate Difference Error

    Hi,
    While posting payment through F-58, we are getting below error :
    Ex.rate diff.accts are incomplete for account 0010500400 currency INR
    Message no. F5063
    Diagnosis
    The accounts for posting exchange rate differences could not be determined. For the specified G/L account and the specified currency key, the accounts are only specified incompletely. Either the accounts for the implemented exchange rate difference, the accounts for the valuation differences or the balance sheet adjustment account are missing.
    System Response
    The system cannot generate the exchange rate difference posting.
    Procedure
    By pressing ENTER, you achieve that the document is reset to a status without automatic posting. In another window, you can complete default settings for exchange rate differences and post the document afterwards.
    Proceed
    However, all the necessary settings are made in KDF & KDB. Here we are processing payment for local vendor & the PO, GR, IR is done in INR then at the time of processing payment its giving above mentioned error. We are unable to understand that why system is asking for exchange rate difference account. Please suggest as the issue is urgent.
    Regards,
    Varsha

    Hi Varsha,
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    For your ref:
    You can read more information about this error in SAP note 12962 - Clearing Foreign Currency Items
    https://websmp130.sap-ag.de/sap(bD1lbiZjPTAwMQ==)/bc/bsp/sno/ui_entry/entry.htm?param=69765F6D6F64653D3030312669765F7361706E6F7465735F6E756D6265723D313239363226
    Regards,
    Julie

  • Exchange Rate Difference in BP Account balance

    Hi Experts,
    I am facing a problem, what i did i raised a outgoing payment for vendor $1000 and the exchange rate is 50 Rs, after that i did AP Invoice for $1000 and the exchange rate is 51 Rs for the same vendor. After that i linked the AP Inv to that particular Outgoing Payment.
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    Hi Murtuza,
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  • Exchange rate difference in GR & IR

    Hi experts,
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    regards
    jai

    Hi,
    When an invoice relating to a purchase order is posted with a different exchange rate to that of the goods receipt exchange rate; the differences arisen for the open items will be posted to the transaction/ event key 'KDM' in the case of Standard price control "S" automatically.
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    Regards,
    Narayana.

  • Exchange rate difference in transaction FB05

    Dear experts,
    I have a question regarding exchange rate difference in transaction FB05.
    Prerequisite:We have implement accounts for the exchange rate difference in OB09.
    I try to clear the customer in a billing transfer document in FB05, and I didn't do any manual change about amount during the process.
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      1   40   111111    cl.acc.b.statem.              33,592.00          24,672.79  EUR
      2   40    222222   bank fees&charges          50.00                1,365.91  EUR
      3   15    333333   customer A                     33,642.00-         26,038.70- EUR
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      Exchange rate /1.36150
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    Even I have implemented this note in our 4.6C system for account assigned POs, but no luck. Please let me know if are successful.
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  • Settlement of exchange rate difference

    Hi All,
    After doing final payment of PO in which Network is used as cost object, i.e. through transaction F-58, and if the PO is of import nature and in different currency, an automatic line item of exchange rate difference occurs. While doing settlement of the Network to roll up its related amount to main project, all amount gets settled while exchange rate difference and liquidity damages does not. Isn't PS tightly integrated with FI in such cases? Any suggestions on how to settle such amount?
    Thanks
    -Nayab

    Hi,
    You said about automatic creation of new line item for exchange rate difference, What is the Item category for the new line item? to which cost object is this line item account assigned ? For it flow back in to Network, it should be account assigned to Network. If creation of this new line item is achieved thru development, then also update it to account assign the new line item to Network.
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  • Exchange Rate difference for freight clearing

    Hi SAP Gurus,
    I am facing a problem regarding exchange rate fluctuation. We have an import PO with USD (300 USD for Goods + 24 USD as freight).
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    With Thanks & Regards,
       ___SAJIB SAHA___

    Exchange rate differences for open items (KDM)
    Exchange rate differences for open items occur when an invoice and a goods receipt for a purchase order are posted at different exchange rates and the material cannot be debited or credited due to standard price control or stock shortage.
    Price differences (PRD)
    Price differences occur for materials subject to standard price control for all movements and invoices valuated at a price other than the standard price. Examples: goods receipts for purchase orders when the purchase order price differs from the standard price; goods issues when an amount is entered manually; invoices when the price invoiced differs from both the purchase order price and standard price.
    Price differences can also occur for invoices for materials with a moving average price when there is insufficient stock coverage for the quantity invoiced.
    Depending on the settings for the posting logic for the processing key PRD, you can work with or without account grouping. If you work with account grouping, the following are used in the standard system:
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    PRF for goods receipts for production orders and
    order settlement
    PRA for goods issues and other movements
    PRU for transfer postings (price differences for external amounts)

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