Foreign trade and customs

what is Foreign trade and customs, kindly explain me detail?
Thanks in advance
Ponts would be rewardes,

check the link
http://help.sap.com/saphelp_46c/helpdata/en/93/74440d546011d1a7020000e829fd11/frameset.htm
http://help.sap.com/saphelp_46c/helpdata/en/cb/fa2f58a9a011d395750000e83dcfd4/frameset.htm
http://help.sap.com/saphelp_46c/helpdata/en/75/fceb47b535d1118b3f0060b03ca329/frameset.htm

Similar Messages

  • Foreign trade and custom for europe

    If anyone have info abt Foreign Trade and Custom for Europe please mail me to [email protected], it would be great help....and its bit urgent,
    Thanx
    Sajid.

    HI....
    Please send me the configuration steps of Foreign trade and global trade. to the following mail id
    [email protected]
    Regards,
    Murthy

  • Foreign trade and customs data should be picked automatically in delivery

    Dear All,
    Foreign trade and customs data should be picked automatically in delivery note and in the invoice  once we enter it in the master data for L/C Local Sales for example country  Saudi arabia to Saudi Arabia in vi95 or any other transaction you have for this particular master data entry.please help

    Check the customizing settings under
    IMG - SD - Foreign Trade/Customs - Basic Data for Foreign Trade -  Define Business Transaction Types And Default Value
    And the data should be picked up from Material Master record in Foreign trade export view.
    They are checked as mandatory fields according to customizing under:
    IMG - SD - Foreign Trade/Customs - Control Foreign Trade Data in MM and SD Documents - Incompleteness Schemas for Foreign Trade Data
    Also, refer following link:
    [Customizing Foreign Trade Master Data |http://wiki.sdn.sap.com/wiki/pages/viewpage.action?spaceKey=ERPLO&title=CustomizingForeignTradeMasterData&decorator=printable]
    Thanks & Regards
    JP

  • Foreign Trade and Trade Collaborator

    Dear SAP Gurus, I would like to know about foreign trade SD in India and how is it different with North America Foreign trade. Also I would like to know if we need Trade Collaborator to carry out Foreign trade.
    Your urgent reply would be highly appreciated and awarded.
    Regards
    Hans Raj Meena

    SAP-GTS (Global Trade Solution) covers NAFTA & EU trade agreements.
    India has trade agreement called SAFTA and I don't know whether this trade agreement is similar to NAFTA or EU agreements.
    Check whether SAFTA is covered under SAP-GTS

  • Number range for Documentary payments in foreign trade

    Hi Friends,
    Can anybody guide me as where to maintain the number range for Documentary payments in foreign trade?
    I want to define new no range for the same.
    Thanks in advance
    Shailesh

    Hi Shailesh,
               Go through this path
               IMG ---> Sales and distribution -->Foreign trade and customes --> define number range --> Documentary payments
    T.Code XAKK
    I hope it will full fill your requirement
    Regards,
    Murali.

  • Foreign Trade data Incomplete

    Hi Folks,
    when i do a billing I am getting a message saying foreign trade data incomplete. Then i went to VF02 transaction and made following changes..
    1. Goto->Header->Foreign trade data/Customs. There i gave values for  modeoftransport Border and Domestic ModeofTrans fields then document is complete.
    My doubt here is why do i get such an message.............
    Can anyone help me in solving this issue.....
    Thanks,
    Madhan raj. C

    Dear Madhan raj ,
    Please activate the Incompletion procedure for header and  item as shown below : 
    1. IMG> Sales and distribution>Foreign Trade/Customs-->Incompleteness Schemas for Foreign Trade Data.
    Create 2 Incompletion procedure  Z1-Incompletion procedure- header  and Z2-Incompletion procedure - Item
    2. Z1-Incompletion procedure- header : Assign the following fields
    EXPVZ     Mode of Transport for Foreign Trade
    STABE     Country of Origin of the Means of Transport at Departure
    STGBE     Origin of Means of Transport when Crossing the Border
    ZOLLA     Customs Office: Office of Exit/Entry for Foreign Trade
    3.Z2-Incompletion procedure - Item
    Origin field    EXPRF
    1   Field ready for input - Incompletion check not active
    4. Then go to  Foreign Trade Data in MM and SD Documents  and assign the above  incompletion procedure
    DE     004 Germany     2     Z1          Z2 activate tick mark
    ES     011 Spain     2     Z1          Z2activate tick mark
    FR     001 France     2     Z1          Z2activate tick mark 
    This will solve your issue .
    Thanks and regards
    Veera

  • Expt/Imp Proce & Buss.Transaction Type for Foreign Trade for Puchase order

    Hello All,
    I need to get the EIPO-EXPRF(Export/Import Procedure for Foreign Trade) and EIPO-EXART(Business Transaction Type for Foreign Trade) for Purchase Order. Is there any function module available for this.
    To get the same information (EIPO-EXPRF and EIPO-EXART) for Invoice there is an FM EXPIMP_BUS_TRANS_CUST_PROC_DET.
    But I need to get the same information for Purchase orders.
    Thank you!
    Best Regards,
    Sasidhar Reddy Matli.

    Hi Jürgen,
    Thanks for you reply.
    You are right that VI99 are for reporting returns, but my problem is that MEIS in ECC 6.0 now shows the items as a full value
    for reporting, if i do this in 4,7 they are not seleted for reporting, and i my view they should not be seleted in MEIS but they are.
    what is you opinion.
    I just check the movement type in Customizing and the "type of posting" are set to "2" the setting are the same in both 4,7 & 6,0
    Regards, Lars

  • Foreign Trade Data

    We would like to generate export documents (FUCI, FUSD, FUCO) for orders that have a domestic ship to address.  The process works fine for export shipments, however there is no foreign trade data copied into the delivery or billing documents if the ship to party is domestic.  Is there a setting in copy control or user exit that will allow these fields to be populated?
    Thank you, Julie
    Edited by: Julie Simonds on Feb 7, 2008 4:36 PM

    Hi Julie,
    I just checked, the user exits could be used for modyfing the EIPO data. But you will have to be careful with this because the EIPO data reference key needs to be picked from the LIKP table. So you need to ensure that the user exit is used in calling the whole sub module of Foreign trade and not just the updation of EIPO table.
    Because the issue is that if its a domestic shipping the foreign trade data would not be generated at all. So you would have to ask the ABAP team to call include or Functional module which generates the foreign trade data. This include will change the LIKP and EIPO table  as  done in the export/import shipment cases.
    Let me know if you need more assistance.
    regards,
    Abhishek

  • Foreign trade: VI95 Office of exit and export customs office

    In transaction VI95, does anyone now in what SAP reports, forms , and documents the data in field "Office of exit' and "export customs office" appears?

    Hi,
    The "office of exit" comes in the billing document in table EIKP and the field name is ZOLLA.
    and "Customs office" comes in the same table EKIP and field name is AZOLL.
    Hope this will help you.
    Regards,
    Krishna O

  • Legal Unit and Foreign Trade organization are not in same country

    Hi all,
    We are currently working on a Maquiladora project under which our plants in Mexico will be assigned to a US company code.
    However, when we try to define this org structure in GTS, we are getting the below warning message while assigning the Legal Units (with MX address) to the FTO (US address). The system allows us to save the config, but it doesn't appear to work correctly. For example, when I simulate an import into MX plant, the system is applying the US legal regulation rather than MX.
    Has anyone encounterred this error or any suggestions? (One idea we thought about is to define the FTO with a MX address, not sure if this would be the right thing to do; one additional problem is, the given FTO also includes other US plants for which we do want to apply US legal regulation, should we rather define an entirely separate company code (US address) & FTO (MX address) for the given MX plants??)..Can someone shed some light on this subject? Thanks in advance. -Raj Palanivel.
    Below is the full details of the warning/error:
    Legal Unit xxx and foreign trade organization yyy are not in same country
    Diagnosis
    You tried to assign  foreign trade orgnaization yyy in in US to legal unit xxx in MX.
    This is not permitted. You must create the legal unit and the foreign trade organization in the same country.
    System Response
    The system does not permit this entry.
    Procedure
    Correct your entry.

    Hi Raj,
    In GTS we can map the company codes to FTO's as one to one  and FTOs to company codes as many to one in the same way plants and legal units.
    So in this case you can maintain one dummy FTO related to Mexico and assign it to the plants in mexico.But in R/3 you will map the plants in mexico to US company codes.For this SAP has provided some BADI's to implement this functionality.we have also have some similar functionality which we have implemented it at the time of transfering outbound deliveries.So use the following BADI /SAPSLL/IFEX_SD0b_R3 and method IF_EXTEND_CON_CDOC. you need to maintain one custom table for the organization units which needs to be transfered.
    Regards,
    HAri Challa.

  • Problem when creating contract  with foreign trade / customs

    Hi,
    I encountered a problem when creating contract / outline agreement.
    I used ME31K to create a contract with a vendor outside of our country. I suppose that I should be able to see "Foreign Trade / Customs" in "Header" menu, but this entry is gray, I cannot enter it.
    I tried to create a scheduling agreement using ME31L with the same vendor and material, I can see "Foreign Trade / Customs" information. I suppose these two process are similar, aren't they?
    Btw., I checked the master data according to this thread:
    http://help.sap.com/saphelp_46c/helpdata/en/ed/3b6cc697e711d1b4e20000e82d81b0/content.htm
    Can anyone give me some hint?
    Thanks!
    Charlie

    These two processes are different:
    The Contract agreement or the Outline Agreement is that create the centrally contract (cross-plant) where it can maintain different pricing conditions for each and every plant. It creates the Release Order with reference to Outline Agreement. No detailed delivery schedule can be made in the Release Order. No Release documentation is created. Only time-dependent conditions can be created, Some Item Category 'M' and 'W' can be used.
    Whereas the Scheduling Agreement is the Plant Location what must be entered in the Scheduling Agreement. Its no need to create any other purchasing document except for delivery schedule line via Transaction ME38 or MRP running (with the appropriate setting of Source List). Delivery Schedule line items are created subject to your specific requirement. It can create both Scheduling Agreement with or without release of Documentation (subject to the Document Type LP or LPA) with the selection of either FRC or JIT delivery schedule. Either time-dependent or time-independent conditions can be created subject to the customizing in the Document Type of the Scheduling Agreement. Item Category 'M' and 'W' can not be used.

  • EN99 Import Simulation-Foreign Trade / Customs

    Hi ,
    I am using TCode EN99. When I simulate import processing with reference to
    - a purchase order line item and it's ok (with RMIMPO)
    - a good receipt and the system doesn't  calculate the custom duties.
    I checked the documentation, it refers to program name:
    "Program RVEXIMSI Description
    Import Simulation
    Buyers can use the import simulation function to simulate an import process that saves time and expense.
    Output
    When you execute the program, you receive the following information from the simulation run:
    1. Information on customs tariff numbers and customs duties
    2. Information on the preference situation
    3. Information on verification documents and authorities
    4. Log information on the simulation run
    Note
    The link to pricing allows you to simulate different scenarios for the customs duty rate to be paid.
    You can use other factors in pricing that influence values, such as surcharges and discounts, freight charges or insurance costs, for the import simulation. The relevant condition types are stored in pricing procedure RMIMP0.
    Requirement
    A prerequisite for a correct simulation run is that you maintain all the necessary data, such as determination tables, in Customizing.
    In order to calculate customs duties, you have to maintain the relevant condition records.
    The standard system contains pricing procedure RMIMP0 with the following condition types:
    CU00: Gross price - Customs simulation
    CURB: Total discount
    CUFR: Freight/Quantity
    CUIN: Insurance
    CUZK: Customs quota
    CUPE: Pharmaceutical products
    CUAS: Customs exemption
    CUPZ: Customs duty rate - Preference
    CUDL: Customs duty rate - Third country
    CUAD Anti-dumping
    Access sequence 0002 is used for condition type CU00.
    Note that the info record category field remains blank or 0 when you maintain the relevant condition records.
    Also note that the term "home country" corresponds to "importing country"."
    The good receipt use standard procedure RM0000, even changing procedure to RMIMPO, the duties and gross price are not calculated automatically.
    Can anyone help me on how this program it's work and how custom duties are calculated automatically?
    Regards,

    HI, Mauro!
    It seems that you are familiar with the import simulation in Foreign Trade Customs.
    Please consider the issues I have, maybe you can help me:
    1. In simulation (TCode: EN99), I need to convert the value of customs taxes into the local currency (RON) using the customs exchange rate.
    The customs taxes in import simulation are calculated into the currency of the PO (USD).
    2. I need to bring onto the CUFR freight condition the value of freight expenditures in the shippment cost document (FRB1), so that they are included into the base value for calculating the customs taxes (again in simulation).
    (If I have the freight condition as a value in the inforecord, then the simulation knows to get the value and includes it in the import pricing schema, otherwise it does not.)
    Looking forward to hearing from you or anyone else who faced the same issues,
    Monica

  • Foreign trade / Customs info

    Hello experts,
    I have a problem with billing split. The scenario is the following:
    I have created a purchasing organization that belongs to a society called UMA. This purchasing organization has a plant (UMC) without any warehouse (at the moment, it will be only used to create third party orders).
    The customization of the plants and materials involved in this problem are:
    Plant UMC: Located (customized) in France (belongs to UMA society)
    Plant POC: Located (customized) in Spain (belongs to POA society)
    Material JT11: Material  type: Third party. Created at POC plant. Source country ES (material master).
    Material INSTALATIONED: Material type: Third party. Created at UMC plant. Source country FR (material master).
    The sales order is created as follows:
    Sales order created at UMA sales organization (that belongs to UMA society). The “ship to party” and “sold to party” are the same and both are French (Customer country: FR).
    The sales order has two items:
    Material JT11, the plant has been determined as POC
    Material INSTALATIONED, the plant has been determined as UMC
    At the moment, all seems correct. The next steps are:
    Confirm sales order. (OK)
    Purchase order of the materials (OK) (each one thought the corresponding purchasing organization, in function of its plants)
    Good receipt (OK)
    Billing (from the sales orders). (PROBLEM).
    The bill is made from the sales order (UMA organization). The billing process splits in two. The split analysis is the following:
    (from  SAP)                                                                               
    Split analy.                                                                               
    Split due to different header data                                                                               
    Fld Name                        $000000001           $000000002                                                                               
    Export indicator                Y                                            
            Number of foreign trade data i  0000086130                                   
    The first position (JT11 material that belongs to Spanish plant, POC) contains foreign trade / Customs information. On the other hand, the second item (INSTALLATIONED material that belongs to French plant, UMC) does not contain any information about foreign trade / Customs.
    The question is: Is it possible to avoid the bill being split in two and still save the information related to foreign trade / Customs (otherwise the Intrastate would not work)?
    I tried to modify the copy control (between sales order and bill), but the splitting is only avoided when the foreign trade / Customs information is lost (changing the header field Determ.export data to null. It was A).
    Thank you very much for your help and  attention.
    Ricard.

    Hi
    The foreign trade settings available under Sales & distribution tree in confirguration is enough.
    Regarding the Foreign law and other details , we will usually get them on the project.
    E.g.
    We have Eurpoean Sales List to be subimitted to govt everymonth
    In India, we submit the Sales Tax report.
    Basic understanding is , Ship to Party and Sold to Party contry are different .
    we need to maintain few settings as Mode of Transport , Country of Origin , Commodity code and some default settings .
    Regards
    KRSNA

  • Foreign Trade / Custom data for local Client

    Hi SD's,
    I've an issue regarding the creation of Billing document, because for a local Client it is asking me for this data.
    We've a 3 scenarios working:
    1- Normal sales inside the country for a certain Order Type - ZA, Delivery Type - ZA and Billing doc Type - ZA. Flow works ok.
    2- Export sales - flow work ok and the user as to fill Foreign Trade / Custom data (using the same documents types as above);
    3- Intermediation - for local client or to export, here is where the system fails when we've local Client it still ask for Foreign Trade / Custom data and it should not. In this scenario we are using Order Type - ZB, Delivery Type - ZB and Billing doc Type - ZB and we've CO-PA for this scenario.
    I think this may be related because before we've this scenario integrating with CO-PA everything worked perfect.
    Does anyone have a clue on this?
    I've read some notes regarding Foreign Trade / Custom data but none of them seam to answer my problem.
    Thanks in advance.
    Regards,
    BO.

    Hi bruno
    It is in copy control  VTLA and in  VTFL also . select your order type and delivery type and click on blue lens on top left. There try to maintain as follows:-
    Order requirements:::::::001
    Combination requirmt::::051
    Header Data:::::::::::::::::001
    Similarly, go to VTFL, select your delivery type and billing type and click on blue lens on top left. There for the field Determine export data, maintain as per your requirement and for Copying requirements, maintain routine 003.
    Regards
    Srinath

  • Foreign trade/customs in Quotation

    Hi,
    How to turn on the option Foreign trade/customs in quotation screen (ME41/ME42)?
    Thank you,
    Meire

    >
    Meire Rodrigues de Almeida wrote:
    > Hi,
    >
    > How to turn on the option Foreign trade/customs in quotation screen (ME41/ME42)?
    >
    > Thank you,
    > Meire
    Seems like you are talking of customs condition. Click on header on top menu bar, then conditions and here you take drop down of condition customs and maintain your value here.

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