Extend Customer to Different Company code?

Hi.
How to extend Customer to Different Company code?
ie, Cust1 is created with ABC company code, now i want to extend the same with XYZ company code.
in same client.
Reg,
Antaa21

Hi,
In T.Code XD01 - Select relevant account group and enter new company code.
Under reference option enter the existing customer number and sales org details click on continue button enter name and address details remaining information will be copied from existing customer and save.
Thanks,
Padmaja

Similar Messages

  • Extend customer to multiple company codes and mutliple sales organisations

    Hi,
    Customers with only general info. are getting created from CRM system to SAP ECC. Now we extend the same customer to differnt company codes and different sales organisations.
    When I checked the BADI, CUSTOMER ADDDATA, in this S_KNA1, S_KNB1, S_KNVV structures are there only. So is it possible to extend it to mutiple company codes at the same time.
    It is mostly appreciated for early response.
    Thanks,

    Hi,
    You can use fm SD_CUSTOMER_MAINTAIN_ALL to extend customer to sales are and company code.
    Using this fm you can maintain all customer master data.

  • Extend vendor to different company code

    Hi All,
    We are trying to find an Enterprise Service that fits the following requirement:
    Expand an existing vendor to a different Company Code.
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    Thanks.
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    Hi,
    XK01, enter same vendor number and enter different company code.
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    General data will be same.
    Regards,
    Chandra

  • Extend article wrt. different store which belong to different Company code

    Hi experts !!!!
    Would like to get u r suggesations
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    The scenario is called Cross Company Code Stock transfer.
    If your company's distribution center and store belong to different company codes and you need to transfer goods from one to the other, you must create a stock transport order with document type NB. This involves the process stock transfer with billing document. As in normal stock transport orders, an SD delivery with a
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    http://help.sap.com/erp2005_ehp_03/helpdata/en/4d/2b917843ad11d189410000e829fbbd/content.htm

  • Billing in Stock Transfer between two plants of two different company codes

    Hi Friends,
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    I have some issues in Billing for this..
    What are the settings do i need to to for Pricing in SD point of view.
    Ex:
    Supplying         /         Receiving
    Com.Code:2000     /        CompanyCode:1000
    Plant:2100              /         Plant:1100
    SA:2000/10/00      /          SA:1000/10/00
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    I created Vendor  7777 and assigned Supplying Plant 2100 in add purchasing data.
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                                                        In Supplying Plant i assigned customer blank and sales area as 2000/10/00
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    What are Pricing settings in SD i have to do?????????
    Process:
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    I have gone through many threads in Forum but confusion in Pricing Part..
    Some are mixing with the inter company sales proces..
    Pls guide me..
    With Regards

    Do the following steps for STO Customizing:-
    1. Create a customer master record for the issuing plant.
    2. Create a vendor master record for the issuing plant, and enter customer account number in the Customer field on the Control screen.
    3. Repeat steps 1 and 2 for the receiving plant.
    4. Assign the plants to the customer master record in Customizing for Materials Management (MM), by choosing Purchasing <Purchase Order < Set Up Stock Transport Order< Plants.
    The Process Flow would be as follows :-
    Create a stock transport order, following the standard procedure, and send the order to the issuing plant.
    Issuing plant has processes your order, and when it is ready to ship,the storeperson at the issuing plant issues the goods using a transfer posting. The excise clerk there creates an excise invoice.The excise supervisor verifies and posts the excise invoice.It then sends the goods to you, together with the excise invoice.
    Once the goods arrive, you follow the standard procedure for incoming excise invoices:
    The excise clerk captures the excise invoice, using the stock transport order as the reference document. The storeperson enters the goods receipt, again using the stock transport order as the reference document.Alternatively, you can first enter the goods receipt and then capture the excise invoice.
    The excise supervisor then posts the excise invoice.
    Best Regards,
    Ankur

  • Creation of referenc BP in SD for different company code from IS-U system

    Dear Friends,
    I have two company codes called 2000 and 3000 in my IS-U system. I would like to create SD ref customer with reference to BP created in the IS-U system.
    I created SD reference customer with 2000 company code along with sales data's and assigned it to MKK role in IS-U, but for the second company code 3000, I can't assign the SD reference customer in IS-U MKK role, because the MKK role has been assigned it to the SD ref customer of company code 2000.
    Now the problem is, I need to create SD reference customer for two company codes (2000 and 3000) with two different sales org. details through IS-U.

    Try creating your SD reference customer in both the company codes (2000 & 3000) with their respective Sales Org data in XD01. Specify this reference customer while defining the parameters for automatic creation of SD customers for BP in IS-U.
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    Rajini.

  • Inter company STO wtih two different company codes

    Hello expert,
    I am doing inter company stock transfer between two plants that belongs to two different company code. Can someone tell me if my settings are correct
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    Plant- B (S.org-Y, DC-10, D00) and CC-B
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    u2022     Plant u2013A
    u2022     Customer u2013B
    u2022     Sales Org-X
    u2022     DC 10
    u2022     D 00
    u2022     Under Control data tab, Vendor = A     
    Define shipping data for plant u2013B
    u2022     Plant u2013B
    u2022     Customer u2013A
    u2022     Sales Org-Y
    u2022     DC 10
    u2022     D 00
    u2022     Under control data tab, Vendor = B
    Customer Master for Plant -A
    u2022     Customer-A
    u2022     CC-B
    u2022     S.org-Y
    u2022     DC -10
    u2022     D-00
    Customer Master for Plant -B
    u2022     Customer-B
    u2022     CC-A
    u2022     S.org-X
    u2022     DC -10
    u2022     D-00
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    u2022     P.org = 1000
    u2022     Additional purch data/Extrac = A
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    this is because of of shipping point is not determined, maintain shipping point for the following combination
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    2) The loading group from the material master record (Sales/Plant Data screen)
    3)The delivering plant
    Regards,
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  • F.27 - combined statement for different company codes

    Hi,
       In F.27 transaction, for sending account statement to customer, for a customer with open items in different company codes, a different account statement is generated for each company code. The business wants one statement per customer, with open items from all company codes. We have been working on a investigating a solution, but making a Z-copy of the programs and modify looks too complicated. Is there a solution in FI configuration, which leads to generation of just one account statement per customer.
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    HI
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    sarma

  • STO - Two plants within Different Company Codes

    Hello,
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    17.01.2010     Stock                            10.500,000      0,000      10.300,000
    13.01.2010     Order     Totals record     100,000-     100,000      10.300,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.300,000
    17.01.2010     StLcSt     SLFR     10.500,000      0,000      10.300,000
    13.01.2010     Order     Totals record     100,000-     100,000      10.300,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.300,000
    17.01.2010     BtchSt     123     10.500,000      0,000      10.400,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.400,000
    17.01.2010     BStLoc     123       /SLFR     10.500,000      0,000      10.400,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.400,000
    This is the whole table.
    This is what i got. i believe that it is an availability check problem, i just can't see what is the solution.
    SLFR is the Storage location of the issuing plant.

  • Withholding tax of vendor in different company code

    Hi All,
    We are facing problem that withholding tax of single vendor is being deducted correctly in one of the company code while in others, it deducts 0 tax.
    Single vendor e.g. 100002 is created in Company Code 112
    The same vendor is extended in Company Code 113, 114 and 115
    The issue is, we have created four different invoices in different company codes. Now we are making payment by selecting four of the invoices through F-58. It deducts the withholding tax in only 112 company code, while in others its calculating wht = 0
    The configuration is such that, withholding tax type '01' is used in vendor master and in all invoices. The minimum limit is set to 0 so there is not any possibility of not exceeding the minimum amount. The other thing is withholding tax is set at country level, and all of our company code belong to same country so no issue of different configuration. We also check if 'Liable' is checked in each vendor master as well as no exemption is given in any period.
    What could be the possibility?
    Warm Regards,
    Nayab

    Thank you Chandra for quick response.
    I checked, everything is perfectly set. I guess there is some issue with extension of same vendor in different company codes as e.g. in new company code, same withholding tax code is applied on vendor's invoice and deducted correctly while for other vendor it is not.
    Is there any thing related to vendor master?
    PS: Can we check through some report if withholding tax amount on some particular vendor is exceeded with its minimum withholding tax amount, set in IMG?

  • Consolidation of multiple invoices from different company codes

    Dear sap gurus,
    Please advice me on consolidation of invoices from different company codes?
    If no  why consolidation of invoices from different company code is not recommended ?
    what are the disadvantages?
    Phani

    Hi,
    What is your requiremen? Which Invoices Vendors or Customers?
    Using ABAP we can develop the report program.
    You want to view a report of Customer/Vendor Invoices of all Company Codes at a time correct.
    So, in your report map the invoices of different company codes to one report.
    Thanks
    Chandra

  • Ur customer is another company code

    Hello Gurus,
    Please tell me how to create an invoice to see VPRS, where our customer is another company codes.

    Hi Friend,
    Here you can see the entire Procedure:
    1. Call up the transaction as follows:
        Transaction Code: VF04
        Menu Path: Logistics &#61614; Sales and Distribution &#61614; Billing &#61614; Billing Document &#61614;    Process Billing Due List
    2. Enter the following data:
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              c.     Sales organization
              d.     Delivery-related (in the Documents to be selected screen area)
    3. Choose  DisplayBillList.
    The system proposes all the deliveries due on the current date for the selected sales organization.
    Note that there could be more deliveries (from previous processes) ready for billing than you created in this process. If this is the case, simply deselect the deliveries that do not belong to your current IDES process.
    4. On the Process Billing Due List screen, choose .
    The system displays your group number.
    5. Place the cursor on the line with the group number and then choose Documents.
    You see the sales document created for your group.
    6. Note the billing document number in the SD doc. column.
    7. Position your cursor on the line containing your sales document, then choose  Display document.
    8. Select your position.
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    12. On the Invoice... (F2) Display: Item Data screen, mark the condition PI01 and choose .
    You reach the Invoice ... (F2) display: Item Data screen.
    Condition PI01 is marked as statistic in the invoice for the end customer.
    13. Choose .
    14. On the Invoice... (F2) Display: Item Data screen, choose  Analysis.
    15. On the Condition determination analysis screen, scroll down until you can display the condition type VPRS Cost appears.
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    The condition Cost (VPRS) is part of the pricing procedure. It has statistic character and shows the goods issue value in the invoice. In this case goods issue is posted in a different company code to that of the billing document, so the condition is ignored. The cost that is transferred to the Sales Information System and to Profitability Analysis is the condition value for the internal price, rather than your value.

  • Same WareHouse  Assigned to different plants under different company codes

    Hi Guys,
                 I assigned a warehouse to two different storage location under two plants under two different company codes. I did do the movement in one plant and i could do TR and TO
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  • Using Same Bank Account for two different company code

    Can we use the same bank account number and ABA key for two different company codes? Both the company codes are in USA and with the same currency.
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    Shannon

  • Create SO based on PO of different company code

    Hi all,
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    Cheers,
    Kenneth

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    http://abapliveinfo.blogspot.com/2007/12/abap-idocs-basic-procedures.html
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    WE20----TO INCLUDE PROCESS CODE TO PARTNER PROFILE
    WE41----TO CREATE PROCESS CODE
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    SM59----RFC ADMINISTRATION
    WE46----IDOC ADMINISTRATION
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    WE10----IDOC IN ARCHIVE
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    There can be some other ways also by which you can create SO from POs, and you can get many ideas if you talk to your developer. My reply was more in the perspective of the company codes that how to determine the second ccode based on teh ccode of one document.
    Please let me know if you need some more info
    You can reward me if this info helps u

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