Goods/Service Receipt

Hi All,
We are using SRM 4 , classic scenario, After creation of PO when the user tries to do the Goods/Service Receipt (Tcode : BBPCF02) . I am not able to see the PO's directly, but when i go the extended search in ITS of tcode BBPCF02 i am able to see the PO when i gave the PO number.
I want to see the PO's directly with out going to the extended search with a time frame of last 7 days, do any one have any idea of this issue? or is there any SAP Notes?

Service Type GRPO document doesnot post any accounting entries.
Regards
Satish

Similar Messages

  • MIRO Invoice Receipting Workflow Solution for unreceipted Goods / Services

    Hi
    We wish to improve the flow of Invoice Receipting (MIRO).
    Problem:
    Invoices are receipted centrally at head office
    Goods/Service Receipts are performed on location at site
    Some Invoices are received from the Vendor before site has goods/service receipted the item.
    Current configuration prevents invoice being entered when no goods receipt.
    Ideally, the sites would receipt on time, but as a solution we are considering two options. I would appreciate any thoughts on whether is possible as well as guidance on implementing a solution.
    OPTION A. - With Parking
    1. When Head Office cannot post invoice (due to unreceipted goods/service), user parks the invoice.
    2. This sends a workflow email to the site that invoice has been parked.
    3. Head Office attaches a scanned image of the invoice to the parked document, so the site can review.
    4. Site enters Goods/Service Receipt.
    5. Work flow is triggered back to head office that a goods receipt was performed against a PO that has a parked invoice
    6. Head Office posted parked invoice.
    OPTION B - Without Parking
    1. Configuration is changed so that Invoice Receipt can be performed when no goods/service receipt.
    2. Invoice is posted and blocked for payment.
    3. This sends a workflow email to the site that invoice has been blocked for payment.
    4. Head Office attaches a scanned image of the invoice to the parked document, so the site can review.
    5. Site enters Goods/Service Receipt.
    6. Work flow is triggered back to head office that a goods receipt was performed against a PO that has a blocked invoice.
    7. Head Office unblocks invoice.
    Many thanks
    Adrian

    Hi Adrian,
    Option B is very much feasible by developing the workflow for users.
    OPTION B - Without Parking
    1. Configuration is changed so that Invoice Receipt can be performed when no goods/service receipt.
    2. Invoice is posted and blocked for payment.
    3. This sends a workflow email to the site that invoice has been blocked for payment.
    4. Head Office attaches a scanned image of the invoice to the parked document, so the site can review.
    5. Site enters Goods/Service Receipt.
    6. Work flow is triggered back to head office that a goods receipt was performed against a PO that has a blocked invoice.
    7. Head Office unblocks invoice.
    IF GR based IV is removed, Invoice can be done before GR. Having a GR based IV tick in PO (Mandatory) would ensure IV is raised only after the quantity is delivered.
    I doubt if Scanning of invoice copy is possible in the MM system, but it would be feasible via Document Management in SAP.
    Alternatively, you can have Idoc based creation for Invoice based on GR quantity.

  • Goods issue/receipt print out

    Hi could any body let me know the print settings for goods issue & receipts and Logistics invoice verification.
    i tried with we01 for GRN , wa01 for GI, in nace settings but could not find the result.
    pls let me know the settings.especially for sub contract components issue print settings.
    regards
    Bheemasimha
    9900163939

    hi bheema,
    Configure Automatic Postings
    In this step, you enter the system settings for Inventory Management and Invoice Verification transactions for automatic postings to G/L accounts.
    You can then check your settings using a simulation function.
    Under Further information there is a list of transactions in Materials Management and their definitions.
    What are automatic postings?
    Postings are made to G/L accounts automatically in the case of Invoice Verification and Inventory Management transactions relevant to Financial and Cost Accounting.
    Example:
    Posting lines are created in the following accounts in the case of a goods issue for a cost center:
    Stock account
    Consumption account
    How does the system find the relevant accounts?
    When entering the goods movement, the user does not have to enter a G/L account, since the R/3 System automatically finds the accounts to which postings are to be made using the following data:
    Chart of accounts of the company code
    If the user enters a company code or a plant when entering a transaction, the R/3 System determines the chart of accounts which is valid for the company code.
    You must define the automatic account determination individually for each chart of accounts.
    Valuation grouping code of the valuation area
    If the automatic account determination within a chart of accounts is to run differently for certain company codes or plants (valuation areas), assign different valuation grouping codes to these valuation areas.
    You must define the automatic account determination individually for every valuation grouping code within a chart of accounts. It applies to all valuation areas which are assigned to this valuation grouping code.
    If the user enters a company code or a plant when entering a transaction, the system determines the valuation area and the valuation grouping code.
    Transaction/event key (internal processing key)
    Posting transactions are predefined for those inventory management and invoice verification transactions relevant to accounting. Posting records, which are generalized in the value string, are assigned to each relevant movement type in inventory management and each transaction in invoice verification. These contain keys for the relevant posting transaction (for example, inventory posting and consumption posting) instead of actual G/L account numbers.
    You do not have to define these transaction keys, they are determined automatically from the transaction (invoice verification) or the movement type (inventory management). All you have to do is assign the relevant G/L account to each posting transaction.
    Account grouping (only for offsetting entries, consignment liabilities, and price differences)
    Since the posting transaction "Offsetting entry for inventory posting" is used for different transactions (for example, goods issue, scrapping, physical inventory), which are assigned to different accounts (for example, consumption account, scrapping, expense/income from inventory differences), it is necessary to divide the posting transaction according to a further key: account grouping code.
    An account grouping is assigned to each movement type in inventory management which uses the posting transaction "Offsetting entry for inventory posting".
    Under the posting transaction "Offsetting entry for inventory posting", you must assign G/L accounts for every account grouping, that is, assign G/L accounts.
    If you wish to post price differences to different price difference accounts in the case of goods receipts for purchase orders, goods receipts for orders, or other movements, you can define different account grouping codes for the transaction key.
    Using the account grouping, you can also have different accounts for consignment liabilities and pipeline liabilities.
    Valuation class of material or (in case of split valuation) the valuation type
    The valuation class allows you to define automatic account determination that is dependent on the material. for example: you post a goods receipt of a raw material to a different stock account than if the goods receipt were for trading goods, even though the user enters the same transaction for both materials.
    You can achieve this by assigning different valuation classes to the materials and by assigning different G/L accounts to the posting transaction for every valuation class.
    If you do not want to differentiate according to valuation classes you do not have to maintain a valuation class for a transaction.
    Requirements
    Before you maintain automatic postings, you must obtain the following information:
    1. Valuation level (plant or company code)
    Establish whether the materials are valuated at plant or at company code level
    When valuation is at plant level, the valuation area corresponds to a plant.
    When valuation is at company code level, the valuation area corresponds to a company code.
    Define valuation level
    2. Chart of accounts and valuation grouping code per valuation area
    Find out whether the valuation grouping code is active.
    Activate split valuation
    If it is not active, determine the chart of accounts assigned to each valuation area (via the company code).
    If it is active, determine the chart of accounts and the valuation grouping code assigned to each valuation area.
    Group valuation areas
    You must define a separate account determination process for chart of accounts and each valuation grouping code.
    3. Valuation class per material type
    If you wish to differentiate the account determination process for specific transactions according to valuation classes, find out which valuation classes are possible for each material type.
    Define valuation classes
    4. Account grouping for offsetting entries to stock accounts
    Under
    Define account grouping for movement types , determine for which movement types an account grouping is defined for the transaction/event keys GGB (offsetting entry to stock posting), KON (consignment liabilities) and PRD (price differences).
    Default settings
    G/L account assignments for the charts of accounts INT and the valuation grouping code 0001 are SAP standard.
    Activities
    1. Create account keys for each chart of accounts and each valuation grouping code for the individual posting transactions. To do so, proceed as follows:
    a) Call up the activity
    Configure Automatic Postings .
    The R/3 system first checks whether the valuation areas are correctly maintained. If, for example, a plant is not assigned to a company code, a dialog box and an error message appear.
    From this box, choose Continue (next entry) to continue the check.
    Choose Cancel to end the check.
    The configuration menu Automatic postings appears.
    b) Choose Goto -> Account assignment.
    A list of posting transactions in Materials Management appears. For further details of the individual transactions, see Further information.
    The Account determination indicator shows whether automatic account determination is defined for a transaction.
    c) Choose a posting transaction.
    A box appears for the first posting transaction. Here you can enter a chart of accounts.
    You can enter the following data for each transaction:
    Rules for account number assignments
    With Goto -> Rules you can enter the factors on which the account number assignments depend:
    - debit/credit indicator
    - general grouping (= account grouping)
    - valuation grouping
    - valuation class
    Posting keys for the posting lines
    Normally you do not have to change the posting keys. If you wish to use new posting keys, you have to define them in the Customizing system of Financial Accounting.
    Account number assignments
    You must assign G/L accounts for each transaction/event key (except KBS). You can assign these accounts manually or copy them from another chart of accounts via Edit -> Copy .
    If you want to differentiate posting transactions (e.g. inventory postings) according to valuation classes, you must make an account assignment for each valuation class.
    Using the posting transaction "Offsetting entry for inventory posting", you have to make an account assignment for each account grouping
    If the transaction PRD (price differences) is also dependent on the account grouping, you must create three account assignments:
    - an account assignment without account grouping
    - an account assignment with account grouping PRF
    - an account assignment with account grouping PRA
    If the transaction KON (consignment and pipeline liabilities) is also dependent on the account grouping, you must create two account assignments:
    - an account assignment without account grouping (consignment)
    - an account assignment with account grouping (pipeline)
    d) Save your settings.
    2. Then check your settings with the simulation function.
    With the simulation function, you can simulate the following:
    Inventory Management transactions
    Invoice Verification transactions
    When you enter a material or valuation class, the R/3 system determines the G/L accounts which are assigned to the corresponding posting transactions. Depending on the configuration, the SAP system checks whether the G/L account exists
    In the simulation you can compare the field selection of the movement type with that of the individual accounts and make any corrections.
    If you want to print the simulation, choose Simulation -> Report.
    To carry out the simulation, proceed as follows:
    a) Choose Settings to check the simulation defaults for
    - the application area (Invoice Verification or Inventory Management)
    - the input mode (material or valuation class)
    - account assignment
    Instructions
    b) Choose Goto -> Simulation.
    The screen for entering simulation data appears.
    c) Depending on the valuation level, enter a plant or a company code on the screen.
    d) When you simulate Inventory Management transactions, goods movements are simulated. The R/3 system suggests the first movement type for simulation. If several movements are possible with this movement type, you can select a line.
    When you simulate Invoice Verification transactions, a list appears on the screen of the possible transaction types. Select a line.
    e) Then choose Goto -> Account assignments.
    A list appears of the posting lines which can be created by the selected transaction. For each posting line, the G/L account for the debit posting as well as the G/L account for the credit posting are displayed.
    f) From this screen, choose Goto -> Movement+ to get a list of the posting lines for the next movement type or transaction type.
    If you work with valuation classes, choose Goto -> Valuation class+ to receive the simulation for the next valuation class. This function is not possible when simulating with material numbers.
    Choose Goto -> Check screen layout to compare the movement type with the G/L accounts determined by the system and make any necessary corrections.
    Note
    The simulation function does NOT obviate the need for a trial posting!
    Further Notes
    The following list shows the individual transactions with examples of how they are used:
    AG1 - No documentation currently available.
    AG2 - No documentation currently available.
    AG3 - No documentation currently available.
    Expense/revenue from consumption of consignment material (AKO)
    This transaction is used in Inventory Management in the case of withdrawals from consignment stock or when consignment stock is transferred to own stock if the material is subject to standard price control and the consignment price differs from the standard price.
    Expenditure/income from transfer posting (AUM)
    This transaction is used for transfer postings from one material to another if the complete value of the issuing material cannot be posted to the value of the receiving material. This applies both to materials with standard price control and to materials with moving average price control. Price differences can arise for materials with moving average price if stock levels are negative and the stock value becomes unrealistic as a result of the posting. Transaction AUM can be used irrespective of whether the transfer posting involves a transfer between plants. The expenditure/income is added to the receiving material.
    Provisions for subsequent (end-of-period rebate) settlement (BO1)
    If you use the "subsequent settlement" function with regard to conditions (e.g. for period-end volume-based rebates), provisions for accrued income are set up when goods receipts are recorded against purchase orders if this is defined for the condition type.
    Income from subsequent settlement (BO2)
    The rebate income generated in the course of "subsequent settlement" (end-of-period rebate settlement) is posted via this transaction.
    Income from subsequent settlement after actual settlement (BO3)
    If a goods receipt occurs after settlement accounting has been effected for a rebate arrangement, no further provisions for accrued rebate income can be managed by the "subsequent settlement" facility. No postings should be made to the account normally used for such provisions. As an alternative, you can use this transaction to post provisions for accrued rebate income to a separate account in cases such as the one described.
    Supplementary entry for stock (BSD)
    This account is posted when closing entries are made for a cumulation run. This account is a supplementary account to the stock account; that is, the stock account is added to it to determine the stock value that was calculated via the cumulation. In the process, the various valuation areas (for example, commercial, tax), that are used in the balance sheet are taxed separately.
    Change in stock (BSV)
    Changes in stocks are posted in Inventory Management at the time goods receipts are recorded or subsequent adjustments made with regard to subcontract orders.
    If the account assigned here is defined as a cost element, you must specify a preliminary account assignment for the account in the table of automatic account assignment specification (Customizing for Controlling) in order to be able to post goods receipts against subcontract orders. In the standard system, cost center SC-1 is defined for this purpose.
    Stock posting (BSX)
    This transaction is used for all postings to stock accounts. Such postings are effected, for example:
    In inventory management in the case of goods receipts to own stock and goods issues from own stock
    In invoice verification, if price differences occur in connection with incoming invoices for materials valuated at moving average price and there is adequate stock coverage
    In order settlement, if the order is assigned to a material with moving average price and the actual costs at the time of settlement vary from the actual costs at the time of goods receipt
    Because this transaction is dependent on the valuation class, it is possible to manage materials with different valuation classes in separate stock accounts.
    @1A@Caution
    Take care to ensure that:
    A stock account is not used for any transaction other than BSX
    Postings are not made to the account manually
    The account is not changed in the productive system before all stock has been booked out of it
    Otherwise differences would arise between the total stock value of the material master records and the balance on the stock account.
    Revaluation of "other" consumptions (COC)
    This transaction/event key is only relevant to Brazil. It is used if a revaluation report is used for company codes in Brazil.
    The revaluation report uses the actual prices determined by the material ledger/actual costing to:
    Revaluate costs on the basis of actual prices
    Post the price differences arising from "other" consumptions (e.g. consumption to cost center) to a collective account
    This transaction/event key is needed to post the price differences. The account specified here is posted with the price differences for "other" consumptions.
    No documentation currently available.
    Small differences, Materials Management (DIF)
    This transaction is used in Invoice Verification if you define a tolerance for minor differences and the balance of an invoice does not exceed the tolerance.
    Purchase account(EIN), purchase offsetting account (EKG), freight purchase account (FRE)
    These transactions are used only if
    Purchase Account Management is active in the company code.
    Note
    Due to special legal requirements, this function was developed specially for certain countries (Belgium, Spain, Portugal, France, Italy, and Finland).
    Before you use this function, check whether you need to use it in your country.
    Freight clearing (FR1), provision for freight charges (FR2), customs duty clearing (FR3), provision for customs duty (FR4)
    These transactions are used to post delivery costs (incidental procurement costs) in the case of goods receipts against purchase orders and incoming invoices. Which transaction is used for which delivery costs depends on the condition types defined in the purchase order.
    You can also enter your own transactions for delivery costs in condition types.
    External service (FRL)
    The transaction is used for goods and invoice receipts in connection with subcontract orders.
    If the account assigned here is defined as a cost element, you must specify a preliminary account assignment for the account in the table of automatic account assignment specification (Customizing for Controlling) in order to be able to post goods receipts against subcontract orders. In the standard system, cost center SC-1 is defined for this purpose.
    External service, delivery costs (FRN)
    This transaction is used for delivery costs (incidental costs of procurement) in connection with subcontract orders.
    If the account assigned here is defined as a cost element, you must specify a preliminary account assignment for the account in the table of automatic account assignment specification (Customizing for Controlling) in order to be able to post goods receipts against subcontract orders. In the standard system, cost center SC-1 is defined for this purpose.
    Offsetting entry for stock posting (GBB)
    Offsetting entries for stock postings are used in Inventory Management. They are dependent on the account grouping to which each movement type is assigned. The following account groupings are defined in the standard system:
    AUA: for order settlement
    AUF: for goods receipts for orders (without account assignment)
    and for order settlement if AUA is not maintained
    AUI: Subsequent adjustment of actual price from cost center directly
    to material (with account assignment)
    BSA: for initial entry of stock balances
    INV: for expenditure/income from inventory differences
    VAX: for goods issues for sales orders without
    account assignment object (the account is not a cost element)
    VAY: for goods issues for sales orders with
    account assignment object (account is a cost element)
    VBO: for consumption from stock of material provided to vendor
    VBR: for internal goods issues (for example, for cost center)
    VKA: for sales order account assignment
    (for example, for individual purchase order)
    VKP: for project account assignment (for example, for individual PO)
    VNG: for scrapping/destruction
    VQP: for sample withdrawals without account assignment
    VQY: for sample withdrawals with account assignment
    ZOB: for goods receipts without purchase orders (mvt type 501)
    ZOF: for goods receipts without production orders
    (mvt types 521 and 531)
    You can also define your own account groupings. If you intend to post goods issues for cost centers (mvt type 201) and goods issues for orders (mvt type 261) to separate consumption accounts, you can assign the account grouping ZZZ to movement type 201 and account grouping YYY to movement type 261.
    @1A@Caution
    If you use goods receipts without a purchase order in your system (movement type 501), you have to check to which accounts the account groupings are assigned ZOB
    If you expect invoices for the goods receipts, and these invoices can only be posted in Accounting, you can enter a clearing account (similar to a GR/IR clearing account though without open item management), which is cleared in Accounting when you post the vendor invoice.
    Note that the goods movement is valuated with the valuation price of the material if no external amount has been entered.
    As no account assignment has been entered in the standard system, the assigned account is not defined as a cost element. If you assign a cost element, you have to enter an account assignment via the field selection or maintain an automatic account assignment for the cost element.
    Purchase order with account assignment (KBS)
    You cannot assign this transaction/event key to an account. It means that the account assignment is adopted from the purchase order and is used for the purpose of determining the posting keys for the goods receipt.
    Exchange rate differences in the case of open items (KDM)
    Exchange rate differences in the case of open items arise when an invoice relating to a purchase order is posted with a different exchange rate to that of the goods receipt and the material cannot be debited or credited due to standard price control or stock undercoverage/shortage.
    Differences due to exchange rate rounding, Materials Management (KDR)
    An exchange rate rounding difference can arise in the case of an invoice made out in a foreign currency. If a difference arises when the posting lines are translated into local currency (as a result of rounding), the system automatically generates a posting line for this rounding difference.
    KDV - No documentation currently available.
    Consignment liabilities (KON)
    Consignment liabilities arise in the case of withdrawals from consignment stock or from a pipeline or when consignment stock is transferred to own stock.
    Depending on the settings for the posting rules for the transaction/event key KON, it is possible to work with or without account modification. If you work with account modification, the following modifications are available in the standard system:
    None for consignment liabilities
    PIP for pipeline liabilities
    Offsetting entry for price differences in cost object hierarchies (KTR)
    The contra entry for price difference postings (transaction PRK) arising through settlement via material account determination is carried out with transaction KTR.
    LKW - No documentation currently available.
    Price differences (PRD)
    Price differences arise for materials valuated at standard price in the case of all movements and invoices with a value that differs from the standard price. Examples: goods receipts against purchase orders (if the PO price differs from the standard pricedardpreis), goods issues in respect of which an external amount is entered, invoices (if the invoice price differs from the PO price and the standard price).
    Price differences can also arise in the case of materials with moving average price if there is not enough stock to cover the invoiced quantity. In the case of goods movements in the negative range, the moving average price is not changed. Instead, any price differences arising are posted to a price difference account.
    Depending on the settings for the posting rules for transaction/event key PRD, it is possible to work with or without account modification. If you use account modification, the following modifications are available in the standard system:
    None for goods and invoice receipts against purchase orders
    PRF for goods receipts against production orders and
    order settlement
    PRA for goods issues and other movements
    PRU for transfer postings (price differences in the case
    of external amounts)
    PRK - No documentation currently available.
    PRP - No documentation currently available.
    PRQ - No documentation currently available.
    PRV - No documentation currently available.
    PRY - No documentation currently available.
    RAP - No documentation currently available.
    RKA - No documentation currently available.
    Provision for delivery costs (RUE)
    Provisions are created for accrued delivery costs if a condition type for provisions is entered in the purchase order. They must be cleared manually at the time of invoice verification.
    Taxes in case of transfer posting GI/GR (TXO)
    This transaction/event key is only relevant to Brazil (nota fiscal).
    Revenue/expense from revaluation (UMB)
    This transaction/event key is used both in Inventory Management and in Invoice Verification if the standard price of a material has been changed and a movement or an invoice is posted to the previous period (at the previous price).
    Expenditure/income from revaluation (UMD)
    This account is the offsetting account for the BSD account. It is posted during the closing entries for the cumulation run of the material ledger and has to be defined for the same valuation areas.
    Unplanned delivery costs (UPF)
    Unplanned delivery costs are delivery costs (incidental procurement costs) that were not planned in a purchase order (e.g. freight, customs duty). In the SAP posting transaction in Logistics Invoice Verification, instead of distributing these unplanned delivery costs among all invoice items as hitherto, you have the option of posting them to a special account. A separate tax code can be used for this account.
    Input tax, Purchasing (VST)
    Transaction/event key for tax account determination within the "subsequent settlement" facility for debit-side settlement types. The key is needed in the settlement schema for tax conditions.
    Goods issue, revaluation (inflation) (WGI)
    This transaction/event key is used if already-posted goods issues have to be revaluated following the determination of a new market price within the framework of inflation handling.
    Goods receipt, revaluation (inflation) (WGR)
    This transaction/event key is used if already-effected transfer postings have to be revaluated following the determination of a new market price within the framework of inflation handling. This transaction is used for the receiving plant, whereas transaction WGI (goods receipt, revaluation (inflation)) is used for the plant at which the goods are issued.
    GR/IR clearing (WRX)
    Postings to the GR/IR clearing account occur in the case of goods and invoice receipts against purchase orders. For more on the GR/IR clearing account, refer to the SAP Library (documentation MM Material Valuation).
    Caution
    You must set the Balances in local currency only indicator for the GR/IR clearing account to enable the open items to be cleared. For more on this topic, see the field documentation.
    see the below link also
    http://209.85.175.104/search?q=cache:7FJheuTAxiQJ:help.sap.com/bp_afsv1500/CP_AFS_DE/documentation/AFS_Solution_Scope_EN_DE.docprintsettingsforgoodsissue%26receiptsandLogisticsinvoice+verification.&hl=en&ct=clnk&cd=2
    thanks
    saGAR
    REWARD ME IF USEFULL

  • PO not displayed in Confirm Goods / service Centrally

    We are on SRM 5.0 Extended classic scenario. Backend is ECC 6.0.
    A Purchase order has been created in SRM and transferred to ECC does not appear in "Confirm goods / services centrally" transaction.
    We noticed that in the Vendor master (Manage business partner) for that Vendor - ERS and  Invoice Receipt Expected  indicator were NOT set and PO was already created. These two options have been enabled now. Could this be a cause ?
    Any inputs or solutiion would be helpful.
    Thanks
    RB

    Hi manoj
    you can deactivate the Extended search by modifying the template in SE80.
    However  for confirmation every time one has to enter the PO number and then do a confirmation.
    This is the same functionality as we have in R3 MM in MIGO transaction.
    so whether it is simple search or exteneded search the Po number is an input for performing the Confirmation.
    regards,
    Nimish Sheth

  • No account assignment details were adopted - Confirm Goods / Services

    Hey Group,
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    If helpful will be provided full points.  Thanks.
    SKumar

    Hi Kumar,
    This is because if you click on Extended Search screen in Confirm Goods/Services screen, Account assignment Category was picked (Something like CC,OR or AS) but in the next field the value of Account assignment Category was not put in.
    If you are pickingup Account assignment category please put a value of it, else do not select it.
    Please award points if your issue is resolved with this.
    Thanks,
    Venkat

  • Manual data enter into SAP Service Receipt

    Hi,
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    2.What are the steps to do?
    I'm new to SRM. Any help will be highly appreciated...
    Thanks!
    Uma.

    Hi,
    I am not sure to understand what you mean with "sap service receipt"...
    If it is "Confirm good receipt or service" in SRM, transaction are :
    BBPCF02 to receive your own purchase order
    BBPCF03 to receive all purchase order (central recipient)
    Kind regards,
    Yann

  • Performance issues while accessing the Confirm/Goods Services' transaction

    Hello
    We are using SRM 4.0 , through Enterprise Portal 7.0.
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    The system simply clocks and would never show the screen.
    This problem occurs for some users all the time, and some users for some time.
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    We would like to know why only some users are suffering more pronouncedly, and why is this transaction generally slower than all others.
    Any directions for finding the Probable cause will be highly rewarded.
    Thanks
    Kedar

    Hi Kedar,
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    Note 610805 - Performance problems in goods receipt
    Note 885409 - BBPCF02: The search for confirmation and roles is slow
    Note 1258830 - BBPCF02: Display/Process confirmation response time is slow
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  • Product ID is not getting updated in SC Goods /Service field

    Hi Gurus,
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    Could you please suggest us why system is behaving like this.
    Thanks
    Sada

    Hi Gurus,
    Any Idea on this.
    Also few of the Product ID's are getting updated from the search help to Goods /Service field of the SC and some are not getting updated. while debug the SC , we are geeting the error message as BBP_SC006, Its relavant to catlog. But we are not transfering the Product from catlog to SC item.
    The error mesage as: Good/Service & does not exist.
    Thanks & regards
    Sada

  • Can you change a group of PO's for the same Service Receipt Approver?

    When a Manager leaves/moves teams, we run a report via SQ01 to find out which PO's are still open, and manually go into each and change the Service Receipt Approver tot he new Manager's ID. This is to ensure workflow works correctly for approving the receipts. This is quite a manual process, is there a way that you can do a 'find' and 'replace' type thing?

    To update my query further, I know you can use "MASS" transaction but not for a user defined field. Does anyone know of something similar for a user defined field, or how to add these to the MASS trasnaction facility? Would prefer not to have to write a program to do it.
    Thanks
    Points awarded for help received.

  • Custom fields on confirm goods/services centrally

    Hi Gurus,
    I am working in classic scenario of SRM 5.0.
    I have a requirement for which I need to add 2 custom fields on extended search screen of confirm goods/services centrally; I have tried implementing the note 672960 which did not helped me.
    Can anybody please suggest me if you have any info.
    Thanks,
    Arun.

    Hi Arun,
    From what i understood from your query, you want to add fields on the "CONFIRM GOODS/SERVICES CENTRALLY" transaction search screen.
    The fields are 'shopping cart number' and 'shopping cart creator'.
    Please go through the following OSS Note:
    Note 672960 - User-defined fields 2
    I think the structure you should use are:
    INCL_EEW_PD_SEARCH_HDR_CSF_CNF
    If you have defined document-specific fields on header and/or item level, you also have to define them in structures INCL_EEW_PD_HEADER_CSF (for the fields of the header) and INCL_EEW_PD_ITEM_CSF IF THEY HAVE NOT BEEN DEFINED THERE YET. Consequently, these structures contain the combination of header or item fields of all document-specific fields
    You can also use user-defined fields as search criteria. To do this, you have to set fields XINPUT and XDISPLAY to 'X' in table ET_FIELDS for the fields you want to use in BADI BBP_CUF_BADI_2 in method MODIFY_SCREEN. The fields defined this way are displayed if you choose the 'Extended search' link.
    Hope this helps,
    Thanks,
    Pradeep

  • Custom ITS transaction for Confirm goods/services in SRM

    Hi Experts
    i need to create a custom transaction same as standard one  for confirm goods/servics in SRM portal.
    In sap GUI, the transaction is BBPCF03
    Can you please suggest any good sources where i can learn to Custome Tcodes for my requirement
    Thanks in advance

    Hi,
    We can learn it from SAP standard cording. Go to SE80, Internet Service, BBPCF01.
    Regards,
    Masa

  • Disable 'Find' (good /service) function in 'items in shopping cart' SRM 5.5

    Hi SRM experts,
    after clicking on Shopping Cart (- Full functionality) you have the choice of searching in catalogs or you can scroll down to 'Items in Shopping cart' and enter the product-id directly in 'Good / Service'.
    How can I disable this 'Find' option? So not the whole line, but only the 'find' option with the binoculars.
    Hope you can help me out with this one.

    Hi Kubus,
    I think you are talking about the 'Order as Direct Materail' button..
    Use BBP_DP_PROD_CHK_BADI.
    Method PRODUCT_CHECK
    Clear the parameter EV_DP_POSSIBLE.
    Have a look at the following link:
    Hide order as direct material button
    Thanks,
    Pradeep

  • Changing the feild names in the Standard template for "Confirm Goods/Servic

    Hi ,
    We need to change some spelling mistake in "Confirm Goods/Services " so for that i think we need Html template but i searched in SE80 but for BBPCF02 I am not able to get the template can any one
    sugest me how to carry the changes to the fields in the Confirm Goods/Services .
    Thanks
    Channappa Sajjanar

    Hi Sanjeev,
    Thanks for  your Quick reply,but my requirement is like below
    In the SRM portal we have "Confirm Goods / Services" there are some spelling mistakes which we need to change like Calculate(calcullae) so for that i view the source i find the below template
    Template: bbpcf02/99/saplbbp_cf_2200.html .
    but when i gone to SE80 and entered the Internet service "BBPCF02" but it will not display folder 99 and any of the html templates
    Thanks in advance
    Channappa Sajjanar

  • Change location and plant for Internal Goods/services

    Hi all,
    I want to change the plant and location information of product/material for SC item selected from Internal goods/services.
    I am changing the plant and location -  ( partner function 75 ) in  doc change badi but its getting reset to originial value .
    Even if i see item check the value is getting replaced with original value.
    My question is can I change Plant/location for item selected from Internal goods/services. I could succesfully change the value when I selected item from catalog.
    Please suggest.
    Thanks.

    yes I have assignned the plant i mean BE_plant in the specified badi.
    But still its getting overwritten. So im guessing is that possible for internal goods/services.

  • Confirm Goods / Service display delivery date on item level

    Hello all,
    in transaction Confirm Goods / Service user can see creation date of the purchase order. Is it possible to somehow display required delivery date on item level. Field "Required on" which is visible in Basic data of the item.
    Would like to have as minimum modification as possible, maybe through customizing (of course if possible) :o))
    TIA
    Gordan

    Hello all,
    in transaction Confirm Goods / Service user can see creation date of the purchase order. Is it possible to somehow display required delivery date on item level. Field "Required on" which is visible in Basic data of the item.
    Would like to have as minimum modification as possible, maybe through customizing (of course if possible) :o))
    TIA
    Gordan

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