Goods Issue from consignment

Dear All,
While i was doing <b>Special Consignment Procurement</b> at the time of "Godds Issue" with Movement type 201: i got the error:
<u><b>Version 0 is not defined for fiscal year 2007.</b></u>
imaintained all the data perfectly, plz.............help me in this regard
regards
Aditya

goto spro- controlling general controlling-- maintain controlling  then controlling area 1000 enter
choose fiscal year 2007 flaged version locked save it
if there not maintain year 2007 new entries add its
by
thiru

Similar Messages

  • About goods issue from vendor consignment stock

    Hi, I meet some issue needs your help!
    The outbound delivery needs to post goods issue from vendor consigment stock directly. then how to choose which vendor's
    stock for this delivery base on the actual process?
    thanks
    Best Regards,
    Rory

    Hi
    In R3 it is not possible
    If say material X is 100 units lies in your premises the vendor  consignment stocks (the vendor property lying in your premises ) and out of that 100 units if you are making a sales order and then a goods issue means it is not possible
    To sell that material you need to make it your own stock ( that is transfer from vendor consignment to your own ) as good as buying that stocks and then sell it
    But the same scenario is possible in IS retail
    For this iS retail server is reqd
    In Retail you can play with vendor consignment stocks as much as possible without making our own stocks
    You can search SAP library regarding the settings of the same
    http://help.sap.com/erp2005_ehp_04/helpdata/en/c6/af3c415e5dde2be10000000a1550b0/frameset.htm
    Regards
    Raja

  • Calculate price variance= goods transfer from consignment to own stock

    Hello network,
    i hope you can help me. We activated the business content (purchase data). The project is now on test stage. Now we want to calculate a price variance after the goods transfer from consignment stock to our own stock. Normally we compare the price from the purchase order with the standard price in material master data. The problem is that there is no price in a consignment purchase order!  Have you got an idea how to fix the problem, probably get the price from the info record?? And if that could be possible, how can i do it?? Our IT specialist says, the extractors aren't able to do this.......
    Thanks for your help in advance
    Sincerely
    Michael

    Hello Mr. Claussen,
    long time ago you posted this issue - anyway, have you been able to solve it? I am at a very similar point and I'm thinking about an extension of the data source 0INFO_REC_ATTR with a new z-field "ZPRICE". I would then fill it in the R/3 user exit for extraction of master data and combine the info record with the rest of the data needed like material master or stock.
    Have you found a better way?
    Best regards,
    Volker Schottdorf

  • Goods Issue from ECP with Batch Management

    Hi experts,
    I would like to make a Goods Issue from Execution Services in Easy Cost Planning. But the material has Batch Management active and I am not able to inform the batch.
    I know I can make the same movement from MB1B but I would like to do it from the Easy Cost Planning environment.
    Is it possible?
    Thanks

    mforman wrote:
    We already have the batch and deactivating batch management has no sense.
    > We need to be able to inform the batch when we are making the goods issue from the Execution Services.
    Dear,
    I think you can solve this through your Characteristics in the Costing Model. In the Characteristic Edit Screen, Goto Values tab, Select your material and click on Object Dependecies Button, see if you can use or create a new Dependency for your material for picking or suggesting batch number.
    Hope this helps...
    Thanks,
    Ranganatha. Patnala
    Edited by: Ranganatha Rao.P on Oct 14, 2011 2:59 PM

  • CS service order budget can't control goods issue from stock?

    Hi experts,
    I set budget to a service order(CS), it can control Purchase order from service order, however it can't control the good issue from stock(type "L") !  Is it the setting problem? how to deal with it?
    best regards
    lance

    1st
    If you actually bothered to read my post, you would see that I decided to change for the X220 after I saw it in the flesh and realised how much close it was to the X121s dimensions. If lenovo wishes this not to happen very often, they should bother do something about the fact that there is no Lenovo dealership/agent/representative in Oxford.
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    If Lenovo lists paypal as payment method, they should honour it. Otherwise, do not list it at all.
    3rd.
    If lenovo says that I can cancel the day I ordered with no implication, they should also honour this. Not ignore my e-mails (contrary to the terms & conditions stated) and ship it so I can perhaps keep it. That's not good business practice. That's playing dumb.
    They had 5 days to cancel, they prefered to wait for the item to be produced/stocked so that they can ship it to a small hamlet in Oxfordshire (half the way around the globe) so I can send it back. So yeah, this little laptop will circumvent the Earth.
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    If you do not value your time, it is your problem, not mine.
    I will not be buying a Mac either as I do not like the product, but the difference in service couldn't be more stark.
    All the best,
    Sav.

  • One SO but I would like Post Goods Issue from different Storage Locations?

    Dear All,
    Pls help me solve this issue below:
    I have one SO, Item xzy, Qty = 300 but I would like to Post Goods Issue from different Storage Locations (Qty = 100 for each locations)
    E.g I have 3 storage locations: A, B, C and need to assign Post Goods Issue authorizations to 3 users U1, U2, U3:
    - U1 can Post Goods Issue from storage location A only (but cannot from B, C)
    - U2 can Post Goods Issue from storage location B only (but cannot from A, C)
    - U3 can Post Goods Issue from storage location C only (but cannot from A, B)
    How can I assign the Authorization for users?
    How can I create Outbound Delivery:
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    b. 1 SO --> 3 outbound delivery --> Post GI
    Thank you very much for your support
    Cao Huy.

    Hi Senthils,
    Pls see my comment below:
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    1. GO to the following Menu path
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    --> Done
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    --> Done
    There are 3 storage locations(A,B,C) in one outbound delivery, and when user 01 tries to Post GI this outbound, it means that the system will Post GI for all line items in this outbound, but user 01 has not authorization for location B, C.
    How can user 01 Post GI from only location A in this outbound???
    And then user 02 will Post GI from only location B in this outbound,
    user 03 will Post GI from only location C in this outbound.
    Thanks
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  • DESADV is not generated during Goods issue from VT02N.

    Hello,
    DESADV is generating during goods issue from VL02N.
    But DESADV is not generated during Goods issue from VT02N.
    Any idea what was missing?
    I maintained the variant of RV56ABST for Delivery message with output type LAVA and Medium 6 (EDI).
    Thanks,
    Venkat

    I got reply from SAP. It is as follows:
    Please goto tcode VL10CUC. For Profile 2000, please check whether
    indicator "No OutputDet." is flagged.
    Please unflag that indicator and then retest.
    Please read note 1410599 for more inforamtion.
    Thanks,
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  • Good issue from delivery not possible due to credit block

    Hi gurus,
    Please help me on this issue.while doing PGI for the delivery i am getting the following error message."Good issue from delivery not possible due to credit block "The simple credit check is assigned for the sales document type.iam doing free of charge delivery.
    What are all the possible ways to get such error
    Regards
    Vis

    but system behavior is not set in transaction OVA8, means combination of risk categories and 03 is not set.
    I think you are checking the wrong risk category, please check once again the Risk category of the payer in FD32, what is it assigned and also check OVA8 with this risk category.
    If you find the above settings are correct as per your observation, try to create a fresh cycle so that you will get the correct results as per your settings in delivery.
    In your case what you are saying is correct, may be the risk category is changed recently this you can check the change log of the payer customer in FD32( if any change takes place).
    If possible try to past the screen shot of both.
    thanks,
    srinu.

  • Standard Idoc for Goods Issue from MIGO and standard BADI to do the MIGO-GI

    Hi Gurus
    What is the standard IDoc for Goods Issue from MIGIO and standard BADI that takes care of Goods Issue from MIGO?
    Thanks

    BADI :
    MB_MIGO_ITEM_BADI
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    Idocs:
    /ISDFPS/GOODSMVT_SAPCREATE01
    /CWM/MBGMCR01

  • Goods issue from vendor consignment stock with freight charge

    Hi Experts,
    I have a typical scenario for GI from consignment stock with freight charge.
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    When the user raise a reservation and goods issue was done from consignment stock  Info record price of material  for the consignment + 8% of the price of material should be charge to the user.
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    So there is no balance between the freight charges account and the freight recovery account.
    Can you suggest who we can mapped this process?
    Regards
    DP

    Hi DP,
    As SAP doesn't Support Delivery cost settlement with the consignment process to seprate G/L ( Similar to accruals ), you need to go for Z development which while posting MRKO will be executed with refernce to PO & Issue Document Posting the freight Value to Appropriate fright G/L .
    Regards
    Manish
    Edited by: Manish Kumar on Nov 3, 2010 12:06 PM

  • Goods issue for consignment material

    Hi ,
    One of the materials used in bom is consignment material.
    When process order is made for it the movement type copied is 261. But i reqiore mov type '261 K'.
    How can it be defaulted as one material will be 'consignment ' material all the time.
    Regards
    ShankarR

    Hi,
    For this you need to activate the Stock determination Group (OSPX)
    In this Speify that the 1st Priority would be Special Stock K (Consignment).
    Assign this Stock determination Group to the Material Master of the Component.
    At the time of Goods issue, System determines the Stock from K Stock.
    In general we specify that the 1st Prio would be F stock and then the K stock..
    Infuture, if ypu want to own the stock then no need of additional customization for this..
    Try this..
    Best Regards,
    Siva

  • About Movement type used in Goods Issue from Subcontracting Stock directly

    HI SAP MM Expert,
    We have transfer material to subcontractor through transfer posting using Mvt. 541 and raised subtracting challan also. Material is not returned by Subcontractor and  now we want to debit Subcontractor A/c . For w we want to mkae Goods Issue (Direct consumption)  from Subcontracting Stock and raised debit note subcontractor through FI. In this case what movement type & Transaction code  should be used to consume stock from subcontractor account and t.code for raising debit note to subcontractor in SAP R/3 system.
    Pls. suggest the process.
    Regards
    VKM

    For subsequent adjustment to subcontracting stock use transaction MB04
    If the vendor informs you that a greater or smaller quantity of the components was actually consumed than planned in the purchase order, you must post a subsequent adjustment to correct the goods issue posting. The value of the goods receipt is recalculated to include the
    subsequent adjustment quantity. (SAP transaction MB04)
    Subsequent Adjustment to Subcontracting PO (Move 121/544)
    Negative adjustment (Vendor Consumed Less but you Consumed
    more in SAP and subsequently you did minus adjustment to component consumption
    in SAP)
    Debit
      - Raw Material Inventory (S)
    Credit
    - Vendor Subcontracting Charges (H)
    Subsequent Adjustment to Subcontracting PO (Move 121/543)
    Positive adjustment (Vendor consumed more but you consumed
    less in SAP and subsequently you added further component consumption in SAP)
    Credit
    - Raw Material Inventory (H)
    Debit
    - Vendor Subcontracting Charges (S)
    Thanks
    DD

  • How to do Goods Issue from Sales Order Stock?

    Dear All,
    we are doing a trading Scenario & based on customer requirement we procure the goods from our vendor & we receive it to Sales Order(special) Stock. Now what are the settings to be done in the Sales/Shipping so that when we do a delivery for our customer the Stock is Issued from our Un-res Sales Order Stock & not from un-res stock ?
    Hope its clear.
    Regards,

    Hi Sam,
    Thanks a lot for the reply.
    Sorry for not explaining the scenario in the begining.
    See I have to configure a trading Scenario with some changes from the std.
    As in trading Process there are 3 entities.
    1. Customer - X
    2. Company - Y (Who performs trading)
    3. Vendor - Z
    Following is the breif requirment.
    Company Y generated an inquiry in system for an item with respect to customers RFQ. Now since Y doesnt manufacture the product(item) it creates a PR in background with respect to inquiry.
    Based on this PR, Y procures & receives the good into Un-restricted Sales Order Stock (with ref Inquiry doc no:).
    Now based on price Quoted by Z, Y will create a Quotation with ref to inquiry & finally a SO for Customer - X with ref to the Quotation.
    Now at the time of delivery (creatd with ref SO) system is not able to issue the goods from the sales order stock since the stock is stored with ref to inquiry no: & delivery is with ref to SO.
    So I am planning to simulate a cycle by creating a delivery & PGI with ref to Inquiry.
    If you can suggest a way out, it will be highly appreciable.
    Hope its clear.
    Regards,

  • Question about the requirement for goods issue from a delivery (VOFM)

    Dear all
    ※Please note that this is related to the credit limit check.
    I am trying to set up the SAP system, so that if the maintenance contract (rental document) is billed at least once,
    the system would allow the user to bill the customer regardless of the credit usage (ex. 150%).
    So I created the following routine for the credit check (in VOFM).
    IF XVBAK-AUART = 'ZMZZ'.    --> Please note that ZMZZ is the document type of our rental document
       LOOP AT XFPLT.
           IF XVBUK-FKSAK = 'B' or XVBUK-FKSAK = 'C'.
    We will not do any credit limit check for this item line.
                MOVE CHARX TO BYPASS-SECURITY.
                MOVE CHARX TO BYPASS-STATIC_LIMIT.
                MOVE CHARX TO BYPASS-DYNAMIC_LIMIT.
                MOVE CHARX TO BYPASS-DOCUMENTVALUE.
                MOVE CHARX TO BYPASS-CRITICAL_FIELDS.
                MOVE CHARX TO BYPASS-REVIEWDATE.
                MOVE CHARX TO BYPASS-OPEN_ITEMS.
                MOVE CHARX TO BYPASS-OLDEST_OP.
                MOVE CHARX TO BYPASS-DUNNING_LEVEL.
                MOVE CHARX TO BYPASS-USER1.
                MOVE CHARX TO BYPASS-USER2.
                MOVE CHARX TO BYPASS-USER3.
                EXIT.
          ENDIF. 
               EXIT.
       ENDLOOP.
    ENDIF.
    Now, with the routine above, it became possible to bill customers regardless of the credit usage.
    However, when we try to ship (posting goods issue) the item for that maintenance contract, when the credit usage exceeds 100%, the system rejects it with the error message below.
    <Error message>
    Static credit check: credit limit exceeded
    Now, I want to set up the system, so that if the posting goods is for the item which satisfies the following condition,
    the system would not reject the posting due to the error above.
    <condition>
    1. The item is for the maintenance contract which was billed at least once --> this means that this is not a new contract
    ※Please note that for new maintenance contracts (which is not billed even once),  the system should not allow to post goods 
       issue if the credit usage exceeds 100 %.
    I looked into VOFM, and found out that we are using the following routines for posting goods issue.
    <system routine>
    13
    <user routine>
    113
    But I didn't know where the error (Static credit check: credit limit exceeded) came from.
    Could you tell me how to find (or where to modify) a location where I can make the modification in order to
    satisfy our requirement?
    Thank you very much in advance

    Dear all
    I was able to solve the problem by setting up the credit check routine for delivery notes, and assign it for "No credit check" field
    in the automatic credit control (OVA8).
    So, thank you for your help, everyone
    Takashi

  • Various Goods issues from stores

    Hi SAP gurus,
    WE have implemented PS, MM , FICO, SD, Modules only
    Now to issue goods from Stores what are the Criteria to be followed
    based on what reference the goods issue should take place
    the PS are creating Reservations and goods issue can be done to reservations
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    Can goods be issued on Planned orders or Purchase requisitions also.
    iam confused can any one throw light on Inventory management. and Goods issue.
    any precautions while doing initial entry of goods to SAP should only be done BY MT 561?
    Thanks and Regards
    Sathish Kumar

    <b>Can goods be issued on Planned orders or Purchase requisitions also.</b>
    no u cant issue the goods Can goods on Planned orders or Purchase requisitions also.
    u can issue it on Production order
    <b>iam confused can any one throw light on Inventory management. and Goods issue.</b>
    Goods Issue is a small part of inventory managenment
    in Inv Mgt u have GR GI transfer posting Physical inventory etc
    <b>any precautions while doing initial entry of goods to SAP should only be done BY MT 561?</b>
    Its very imp part of implem is stock upload
    u have to take care that the right price have to be upload in accounting view of those materials having S price indiacteo generally semifinased and finished material
    As value of material with MAP ie V can be taken care at 561 but Material with S indactoer price in acounting view is very important. so before uploading stock check the prices of material with S
    and u can put value in MB1A 561 for matrials with V indicator (u will have to activate amount field for 561 movement in OMJJ and make Ext. GA amount in LC field as opt entry
    hope this helps
    Reward if useful

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