Goods issue in REM process

hi sir,
I am new to SAP, so plz guide me.
in Paper industry this is the actual
Business Process:
In  papers industry  they have different varieties of paper production in which they are characterized by the GSM (thickness), sizes  and  grades. These characteristics are not given by customer, they are pre-defined and are fixed i.e based on the available variety of paper that is produced in paper  mill the customer makes the order for sheets or reels(FG). The different customer makes the order for different grades and GSM of paper. In 7th day of  every month they compile the orders in order to get the net quantity of paper quality type  to be produced and based on that the production is done. Remaining materials like pulp, power, steam, water treatment production are continuously takes place without any reference to the FG(paper) to be produced. There is fixed production lines.
Eg:
A,B, C are the grades of paper.  If for A-10MT,5MT,15MT are the orders and for B-4MT,2MT similarly for C-15MT,20MT are the orders. Then totally for A-20MT, B-6MT and for C-35MT planned to produce in a month.
Note: If the customer needs the new variety or changes in the paper variety that is already available then R & D is made on that variety and a new name is given to it.
Hence, this is Make To Stock  with Repetitive manufacturing process.  Is this process is right??
As per SAP best practices in repetitive process scenario, there will wont be conversion of planned order to production/process order, based on planned order the production takes place and then we will do the Operative backflushing.
Here, the client requirement is on what basis the goods issue has to be done for production?? as there will be no production/process orders.

Hi,
REM process has been developed by SAP for less complicated scenarios. I mean where product varieties are less and process is less complex.
That is the reason there is no concept of order. Cost is getting captured on the product cost collector lever rather individual order level(In discrete).
Goods issue is on planned order which is of PE type (Once order is LA type you can assign the material to planning table. Then it will be PE)
GI happen through back flush.
Please refer the above links for better idea.
Regards,
Krishnendu.

Similar Messages

  • Goods issue in REM

    Dear Gurus,
    While backflushing in REM for GI, the quantity of components are issued as defined in BOM. But the actual consumption may differ.
    So how to post actual consumtion of components in REM. Is there any separate TCode for goods issue in REM other than MFBF.
    Helpful answer will be rewarded for sure.
    Thanks and Regards,
    Jejesh

    Dear Jejesh,
    In REM as you said if the actual consumption is not equal to the BOM quantity,then you can modify using the button for Post with
    correction and manually change the quantity as per to consumption.But generally authorization is limited for this.
    But generally instead of this carryout the assembly backflush for posting the actual GI,activities,GR and for the extra consumption of
    compoenets,use component backflush and post GI.
    Later on for tracking purpose this procedure will be easy.
    So you will be getting 2 different documents one for your actual posting and one for component backflush.
    Regards
    Mangalraj.S

  • How to execute 261 goods issue for REM order items other than with MFBF?

    Our users are looking for an easy way to post a 261 goods issue for a single component of a repetitive manufacturing order without using the MFBF transaction where they have to deselect all other components of the order.
    The ideal situation would be to use a transaction similar to MB1C or MB11 to simply enter the planned REM order, component material id, and its respective quantitiy and then post. 
    Any information you can provide will be helpful.

    Strat,
    Thank you for your response but LT01 does not seem to provide the functionality that I am looking for.
    To clarify, our users would like to complete a 261 movement for a single component within a particular repetitive manufacturing, without going into the MFBF transaction and having to deselect all of the unnecessary components just to single out one. 
    So ideally we would like to use the MB1C transaction for a 261 movement. Enter in a REM order, the material id, and the quantity to be issued and simply post a single material.  Currently when we attempt to do this with MB1C we receive the error M7162 that our order, which is a product cost collector, cannot be processed with this transaction.
    Hope this helps clear it up and thanks again for your response.
    - Nick

  • HU error when Reversing the goods issue in STO process

    Hello Gurus,
    I will explain the whole process we follow for STO:
    1. Create sales order ->Based on PR in sales order schedule lines, PO will be created -> outbound delivery -> Pack in HU -> PGI -> based on output type Idoc will be triggered -> this outbound IDOC will create the Inbound IDOC and Inbound delivery -> Here HU will copied from Outbound delivery (Means both in inbound delivery and outbound delivery HU is same)-> then do the Good receipt in Inbound delivery.
    Now when user doing the goods receipt he is getting error MSSA-SATRA exceeded by 1PCE  The reason is someone deleted the item from the sales order.  Hence when user trying to post the GR it is checking for the open sales order item in MSSA table.  Since it has been deleted from the sales order he cant able post GR.
    Now user does not wants to receive this item, hence we wants to reverse the process.
    So we followed the below process:
    1. Unassigned the HU in Inbound delivery and then deleted the Inbound delivery.
    2. Then used VL09 transaction to reverse the goods issue.  But system giving error saying that HU is already assigned to object.
    I cant able to reverse the Goods issue since the HU is same in Inbound delivery and outbound delivery.
    Kindly suggest the reversal process for the above case.  Many thanks for your help in advance.
    Awating for your valuable replies.
    Br,

    Insted of deleting the handling units you should have un assign the handling units from inbound delivery.You have deleted the handling units and the same handling units will not be available in outbound delivery Pack icon.
    Do one thing are you able to enter line item in sales order ?.If yes then create inbound delivery manually and create new handling units for the qty and do GR.
    Currently where is the stock is it transit ?.If yes then above option may work.
    If nothing is possible only an option to write a SAP oss note they will correct your outbound delivery and inbound delivery.

  • Regarding goods issue (reversal) against process order

    Dear friends,
    Recently i have noticed one strange thing in SAP.I have created one process order and against it i have done the confirmation.Now when i go to Transaction code mb1a and select movement type 262 (Goods Issue to process order-reversal) and give the storage location and in next screen i gave order number,material code and its qty.These material code is not maintained in the bom of order header material.And even in process order in material tab we haven't maintained this material.Also while doing the confirmation in goods movement we haven't maintained this material.Then also system allows me to do so.Which means material which i haven't issued against the process order, system is allowing me to do its reversal i.e (262).because of which system is creating the stock for that material, which is not correct.
    Can we control this behaviour of system.
    Thanking you guys in advance.

    Hi Jitendra,
    This is fact and there is no standard Control available for the same.Only thing you can do is put control over Movement type 262 or try it by implementing User Exit.
    I am not sure but you can use Enhancement CCOWB001 - Customer exit for modifying menu entries.
    Include is LXCOWBF01.
    Regards,
    Dhaval

  • How to allocate cost variances during goods issue in sales process?

    Hi all,
    In China GAAP, cost variances ( variance between standard cost and actual cost) should be capitalized to balance sheet at month-end.
    Q1: Could I settle the cost variance to a B/S account instead of P/L account? What's SAP or your recommendation?
    Q2: if we settle the cost variances to a B/S account, How could we allocate the production cost when post goods issue for sales order? i.e
    Dr: COGS
    Cr: cost of finished goods
    Cr: production cost (B/S account, cost variances by proration of sold)
    Please advice.Thanks in advance
    Regards,
    Alex LIU
    Message was edited by:
            Shuping Liu

    Hi,
    All variances between Standard & Actual cost should be settled to a P/L A/c as these are similar to Purchase Price variances on Raw Material purchases.
    If you are valuing your Finished Goods @ Standard cost, then the difference between the Standard & the Actual cost should be debited or credited to a Price or Cost difference P/L A/c either at the time of doing the GR of the Production or at the time of posting the Goods Issue for Sales Order.
    The balance in the Cost difference accounts needs to be finally posted to profitability segments in COPA.
    Regards,
    Assign points if useful.

  • Goods Issue on Process Order with BAPI_GOODSMVT_CREATE

    Hi together,
    I want to post a goods issue on an process order (some of them are networks) but I have some problem with filling the structures.
    Could you please help me?
    Book material
        ls_bapi_head-pstng_date = ls_booking-budat.
        ls_bapi_head-doc_date   = sy-datum.
        ls_bapi_head-pr_uname   = sy-uname.
        ls_bapi_item-material   = ls_booking-idnrk.
        ls_bapi_item-plant      = p_werks.
        ls_bapi_item-stge_loc   = ls_booking-lgort.
        ls_bapi_item-entry_qnt  = ls_booking-dmeng.
        ls_bapi_item-entry_uom  = ls_booking-meins.
        ls_bapi_item-orderid    = ls_booking-aufnr.
        ls_bapi_item-mvt_ind    = gc_mvt_ind.
        IF ls_bapi_item-entry_qnt > 0.
          ls_bapi_item-move_type = '261'.
        ELSE.
          ls_bapi_item-move_type = '262'.
        ENDIF.
        APPEND ls_bapi_item TO lt_bapi_item.
        CLEAR: lt_bapi_ret, ls_bapi_item.
        CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
          EXPORTING
            goodsmvt_header  = ls_bapi_head
            goodsmvt_code    = '03'
            testrun          = p_test
          IMPORTING
            materialdocument = ls_mat_bel
          TABLES
            goodsmvt_item    = lt_bapi_item
            return           = lt_bapi_ret.

    Here send a example:
      DATA: RTR LIKE BAPIRET2.
      DATA: G_HEADER    LIKE BAPI2017_GM_HEAD_01,
            G_CODE      LIKE BAPI2017_GM_CODE,
            TESTRUN     LIKE BAPI2017_GM_GEN-TESTRUN,
            G_HEADRET   LIKE BAPI2017_GM_HEAD_RET,
            MATDOCUMENT TYPE BAPI2017_GM_HEAD_RET-MAT_DOC,
            MATYEAR     TYPE BAPI2017_GM_HEAD_RET-DOC_YEAR,
            G_ITEM      TYPE STANDARD TABLE OF BAPI2017_GM_ITEM_CREATE WITH HEADER LINE,
            RETURN      TYPE STANDARD TABLE OF BAPIRET2 WITH HEADER LINE.
    TOMO DATOS DE LA TABLA Z
      SELECT * FROM ZCOTT_ACT_VOLUM
               INTO CORRESPONDING FIELDS OF TABLE TI_VOLUMEN.
      CLEAR: RETURN. REFRESH: RETURN.
      CLEAR: WA_MJES.
      WA_MJES-ICONID = '@DH@'.
      WA_MJES-TYPE   = 'S'.
      WA_MJES-MSGTXT = 'Errores del Proceso Nro 2'.
      APPEND WA_MJES TO TI_MJES.
      LOOP AT TI_VOLUMEN INTO WA_VOL.
        CLEAR: G_HEADER, G_CODE, TESTRUN, G_HEADRET, MATDOCUMENT,
               MATYEAR, G_ITEM.
        REFRESH: G_ITEM.
        G_HEADER-PSTNG_DATE      = WA_VOL-BUDAT. " Fecha de contabilización en el documento
        G_HEADER-DOC_DATE      = WA_VOL-BLDAT. " Fecha de documento en documento
        G_HEADER-REF_DOC_NO      = 'REF NRO:'. " Número de documento de referencia
        G_HEADER-PR_UNAME      = SY-UNAME. " Nombre de usuario
        G_HEADER-HEADER_TXT      = WA_VOL-BKTXT. " Texto de cabecera de documento
        G_CODE  = '04'. " Traspaso
      Emisor
        G_ITEM-MATERIAL   = WA_VOL-DE_MATNR. " Nro de Material
        G_ITEM-PLANT      = WA_VOL-DE_WERKS. " Centro
        G_ITEM-STGE_LOC   = WA_VOL-DE_LGORT. " Almacen
        G_ITEM-MOVE_TYPE  = WA_VOL-BWART.    " Clase de Mov.
      G_ITEM-COSTCENTER = WA_VOL-KOSTL.    " Centro de Costo.
        G_ITEM-ENTRY_QNT      = WA_VOL-MENGE.    " Cantidad en unidad de medida de entrada
        G_ITEM-ENTRY_UOM      = WA_VOL-UNIT.     " Unidad de medida de entrada
        G_ITEM-ENTRY_UOM_ISO = WA_VOL-UNIT.  " Código ISO p.unidad de medida
        G_ITEM-BATCH         = WA_VOL-DE_LGORT. " Lote
      Receptor
        G_ITEM-MOVE_MAT   = WA_VOL-A_MATNR. " Nro de Material.
        G_ITEM-MOVE_PLANT = WA_VOL-A_WERKS. " Centro
        G_ITEM-MOVE_STLOC = WA_VOL-A_LGORT. " Almacen
        G_ITEM-MOVE_BATCH = WA_VOL-A_LGORT. " Lote
        APPEND G_ITEM.
        CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
          EXPORTING
            GOODSMVT_HEADER  = G_HEADER
            GOODSMVT_CODE    = G_CODE
            TESTRUN          = ' ' "TESTRUN
          IMPORTING
            GOODSMVT_HEADRET = G_HEADRET
            MATERIALDOCUMENT = MATDOCUMENT
            MATDOCUMENTYEAR  = MATYEAR
          TABLES
            GOODSMVT_ITEM    = G_ITEM
            RETURN           = RETURN.
        CLEAR: RTR.
        CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'
          EXPORTING
            WAIT   = 'X'
          IMPORTING
            RETURN = RTR.
        LOOP AT RETURN.
          CLEAR: WA_MJES.
          WA_MJES-TYPE   = RETURN-TYPE.
          CASE WA_MJES-TYPE.
            WHEN 'S'.
              WA_MJES-ICONID = '@08@'.
            WHEN 'W'.
              WA_MJES-ICONID = '@09@'.
            WHEN 'E'.
              WA_MJES-ICONID = '@0A@'.
          ENDCASE.
          WA_MJES-MSGTXT = RETURN-MESSAGE.
          APPEND WA_MJES TO TI_MJES.
        ENDLOOP.
      ENDLOOP.

  • Automatic Goods Issue in Outbound delivery scenario with resp to Shipment

    Hi,
    Could you please explain me, how  Automatic Goods Issue happens in Outbound delivery scenario process and in shipment process.
    Is there any transaction for this?
    Can we use VL23 for Automatic Goods Issue in Shipment process? or is it only for Outbound delivery scenario?
    How  we schedule a background job by using VL23- transaction, how we create variants on what selection criteria?
    Could you please explain me in detail?
    Thanks A lot.

    Hi Anil,
    VL23 is to schedule Out bound Goods issue.Check once T.code VL06O.
    Thanks,
    Sree.Manam

  • Automatic Goods Issue in Outbound delivery scenario with Shipment

    Hi,
    Could you please explain me how to Automatic Goods Issue happens in Outbound delivery scenario and in shipment process.
    Is there any transaction for this?
    Can we use VL23 for Automatic Goods Issue in Shipment process? or is it only for Outbound delivery scenario?
    How schedule a background job by using VL23- transaction, how we create variants on what selection criteria?
    Could you please explain me in detail?
    Thanks A lot.

    Hi Anil,
    VL23 is to schedule Out bound Goods issue.Check once T.code VL06O.
    Thanks,
    Sree.Manam

  • How to reverse goods issue for delivery note by using IDoc

    Hi all,
    I would like to reverse goods issue and picking request for delivery note by using inbound IDoc.
    I used message type SHPCON and IDoc type DEVLRY03 for posting goods issue in inbound processing and it's work but I couldn't find solution for posting reverse goods issue.
    Pls let me know which IDoc type or any ways for posting goods issue reversal and cancelling picking request.
    Thanks for your time.
    Su R.

    Hello,
              For this requirements we can actually follow two Approaches that I can think of. Here they are.
    Approach 1
             Little Complex Approach. What we can do is to make use of the Same Function Module (Posting Program) IDOC_INPUT_DELVRY to do the Delivery Updates (Except reversing the Goods Issue). During this,  we can make use of one of the Customer Functions available in the Enhancement V55K0001 and satisfy our Requirement.
    Approach 2
            We can actually code a Custom Posting Program (Function Module) in which the first part will take care of updating the Delivery & if the PGI is done, then we can make use of the Function Module BAPI_GOODSMVT_CANCEL to reverse the PGI.
            I think the later Approach is much easier rather than going for the Standard Function Module (Posting Program), Exits and find a place where we have to find another Enhancement Spot / Enhancement where we can call the above FM to Cancel the Goods Movement.
    Hope these inputs were helpful.
    Thanks and Regards,
    Venkat Phani Prasad Konduri

  • Goods Issue reversal with 262

    Dear Friends,
    Is there any exit to have the same batch number while reversing GI for partial quantity with 262 movement in MB1A which was used in case of 261 movement for Goods Issue against the process order.
    Kindly share your valuable viewpoints for the issue.
    Thanks in advance.
    Regards,
    Tejas

    Hi,
    Thanks for your prompt reply.But is it feasible to bring same batch no in 262 which was used in 261? See that constraint is already there when multiple batches are issued. But I just wanted to know whether it is possible atleast in case of single batch issued which we can fetch from material document of 261.I have tried but I am unable to find any exit which can work for this purpose.
    If any exit is there then I can further think about multiple batch issue case because at this stage, without knowing exit also I cant go ahead for the same.
    Further material document reversal will not work since user's requirement is for partial reversal  because they are not fully reversing the full GI qty. They are always reversing partial qty mainly.
    Hope you understand my problem.
    Regards,
    Tejas
    Edited by: Tejas  Pujara on Oct 7, 2009 12:55 PM

  • Goods issue in third party process

    Hi All,
    I have done third party process. But I am not clear for goods issue to the customer.
    We will place goods at customer premises at the time of goods receipt with purchase order reference. In this flow will place goods to customer place directly. Why should I go once again goods issue to customer and which document reference can I do.
    Thanks
    Nagi

    Hi
    In Third party scinerio their is no need to issue  stock to customer or vendor,
    In system when we do GR stock is consumed that momvent, after GR quantity is not update.
    Regards
    Chandrajit Patil

  • Regarding Goods Reversal and Goods Issue process for Production orders

    Hi,
    I have a issue regarding <b>Goods Reversal</b> and <b>Goods Issue</b> process for <b>Production orders</b>.
    Actually I am having a Z - Function Module in that i am passing <b>production order number other details</b> to
    make the <b>Goods Reversal</b> happen.
    The code for the above is as below:
                       i_mvtit-material      = wa_mdfa-matnr.
                        i_mvtit-plant         = i_resb-werks.
                        i_mvtit-spec_stock    = 'Q'.          "New
                        i_mvtit-stge_loc      = 'ZWIP'.
                        i_mvtit-stge_type     = i_resb-lgtyp. "New
                        i_mvtit-batch         = i_resb-charg. "New
                        i_mvtit-orderid       = i_resb-aufnr.
                        i_mvtit-spec_stock    = i_resb-sobkz.
                        i_mvtit-entry_qnt     = i_resb-enmng.
                        i_mvtit-entry_uom     = i_resb-erfme.
                        i_mvtit-entry_uom_iso = i_resb-meins. "New
                        i_mvtit-wbs_elem      = v_frwbs.
                        i_mvtit-move_type     = '262'.
                        i_mvtit-xstob         = 'X'.
                        i_mvtit-gr_rcpt       = i_resb-aufnr. "New
                        i_mvtit-reserv_no     = i_resb-rsnum.
                        i_mvtit-res_item      = i_resb-rspos.
                        APPEND i_mvtit.
    * HEADER ELEMENTS
                        k_gmvt_code-gm_code    = '03'.
                        k_gmvt_head-pstng_date = sy-datum.
                        k_gmvt_head-doc_date   = sy-datum.
    * CREATE GOODS MOVEMENTS
                        CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
                          EXPORTING
                            goodsmvt_header = k_gmvt_head
                            goodsmvt_code   = k_gmvt_code
                          TABLES
                            goodsmvt_item   = i_mvtit
                            return          = i_return.
    The Above code does the <b>Goods Reversal</b> but then i will update one Z Table with fields like
    Production Order Number[AUFNR], Number of Reservation[RSNUM], Item Number of Reservation [RSPOS], Material Number [MATNR], Requirement Quantity [BDMNG], WBS element[PSPNR] etc. If Above BAPI runs sucessfully.
    That is happening correctly.
    But Then actual issue is i have do <b>Goods Issue</b> for those Z-Table records.
    There i will give Production order Number's & Storage Location in Selection-Criteria.
    Then i need to do <b>Goods Issue</b> for that order.
    The code i had written as follows.
    * POPULATE VALUES FOR BAPI CALL
            i_mvtit-material      = i_zpsi7603_01-matnr.
            i_mvtit-plant         = i_resb-werks.
            i_mvtit-spec_stock    = 'Q'.                "New
            i_mvtit-stge_loc      = p_sloc.
            i_mvtit-stge_type     = i_resb-lgtyp.       "New
            i_mvtit-batch         = i_resb-charg.
            i_mvtit-orderid       = i_resb-aufnr.
            i_mvtit-spec_stock    = i_resb-sobkz.
            i_mvtit-entry_qnt     = i_resb-enmng.
            i_mvtit-entry_uom     = i_resb-erfme.
            i_mvtit-entry_uom_iso = i_resb-meins.       "New
            i_mvtit-wbs_elem      = v_frwbs.
            i_mvtit-move_type     = c_261.
            i_mvtit-mvt_ind       = 'F'.                "New
            i_mvtit-xstob         = c_x.
            i_mvtit-gr_rcpt       = i_resb-aufnr.       "New
            i_mvtit-reserv_no     = i_resb-rsnum.
            i_mvtit-res_item      = i_resb-rspos.
            APPEND i_mvtit.
    * HEADER ELEMENTS
            k_gmvt_code-gm_code    = c_03.
            k_gmvt_head-pstng_date = sy-datum.
            k_gmvt_head-doc_date   = sy-datum.
    * CREATE GOODS MOVEMENTS
            CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
              EXPORTING
                goodsmvt_header = k_gmvt_head
                goodsmvt_code   = k_gmvt_code
              TABLES
                goodsmvt_item   = i_mvtit
                return          = i_return.
            CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'
              EXPORTING
                wait = c_x.
            READ TABLE i_return INDEX 1.
            IF i_return-type EQ c_s.
              DELETE FROM zpsi7603_01 WHERE aufnr = i_resb-aufnr AND
                                            rsnum = i_resb-rsnum AND
                                            rspos = i_resb-rspos.
            ENDIF.
    If i run above code for <b>Goods Issue</b> it is giving error can anybody tell me what changes i need to do to make it work.
    The <b>Error Message</b> i am getting is as below:
    <b>Qty and / or "delivery completed" ind. or final issue ind. are missing</b>
    <b>Error Number for the above is : 264.</b>
    Can anybody solve my issue.
    Any help will be appreciated.
    Thanks in advance.
    Thanks & Regards,
    Rayeez.

    Hi,
    Thanks boss.
    It is working now correctly.
    The issue is the  i_mvtit-XSTOB should be equal space in case of Goods issue while incase of Reversal it should be equal to X.
    Thanks for ur efforts.
    I had awarded you points.
    Thanks a lot.
    Thanks & Regards,
    Rayeez.

  • Vendor consigment process combined goods issue to cusotmer

    Hi, All,
    I have some questions on the consignment process.
    One Scenario: For the MM consgiment without delivery to customer. I listed some steps with my questions below:
    1. Create Consigment info record. Is it necessary?
    2. Create consignment purchase order Item category K. Is there any special setting?
    3. Goods receipt against PO. What's the movement type here? What's the movement type 201 K and 231 K used for? If 101, is it goods receipt to own stock?
    4. No invoice verification done, but settlement is done through MRKO transaction. Is it paid consigment fees to vendor by this t-code? What's the accounting happened?
    Two Scenario: For the MM consgiment with delivery to customer. I listed some steps with my questions below:
    1. Create Consigment info record. Is it necessary?
    2. Create consignment purchase order Item category K. Is there any special setting?
    3. Goods receipt against PO. Placed in own inventory with a stock category of K. What's the movement type here? what means stock category K?
    4. Create normal sales order.
    5. Must remove the K from the inventory before a batch can be selected on the delivery-
    a. MB1B- 301 transaction is used to removed the K and to reference the delivery number
    b. Depending on if location is inventory managed an LU04 may be necessary to complete the movement off of K .
    Why movement type 301 is here?
    5. Create delivery and PGI (The quantity is different when you do goods receipt for this material)
    6. Invoice to customer
    7. Payment for that Purchase Order thrgouth MRKO. The issue is only paid to vendor based on the quantity which sent to customer, not on goods receipt. How it can be achieved?
    Three Scenario: Is there any process create MM consgiment with delivery directly to customer? What's the process, movement type and what's the difference?
    Thank you very much in advance

    Hi,
    1. Create Consigment info record. Is it necessary?
               Yes, for consignment process, inofrecord is must, price will be picked only from inforecord, you can't enter price in PO.
    2. Create consignment purchase order Item category K. Is there any special setting?
               Item category K is standard for consignment PO.
    3. Goods receipt against PO. What's the movement type here? What's the movement type 201 K and 231 K used for? If 101, is it goods receipt to own stock?
    Movement type is 101, 201k & 231k is for goods issue.
    Its not good's receipt ot own stock, its goods receipt to unrestricted stock with stock indicator as K, later you can take to your own stock through 411k.
    4. No invoice verification done, but settlement is done through MRKO transaction. Is it paid consigment fees to vendor by this t-code? What's the accounting happened?
      For example If you manage material A of vendor X as consignment stock at a price of $ 10 /piece.
    When 100 pieces are withdrawn for consumption, the system makes the following
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    Edited by: prabu krishnasamy on Apr 25, 2009 12:14 PM

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