Gross Profit per line item by DTW
Hi Experts,
Do you know if we are able to specify the GP or cost value on the lines of an invoice imported by DTW? For example, we will import an invoice with 2 lines, the cost of the items on the system is 0 but I want to import a GP of 30 for item 1 and 25 for item 2. Basically the same as entering a manual base price on the GP screen on the invoice (Ctrl+G) . Can this be done using DTW ? If so which are the templates and fields ?
Thanks
regards
Johnson
Edited by: Johnson Paily on Jul 27, 2010 3:13 PM
Hi Rahul,
8.8 or 2007 the latest patch. I can try both. The client right now needs in 2007 and later on maybe 8.8
Will it work ?
Thanks for your update
Cheers
Johnson
Similar Messages
-
Profit center line item report
Hello All,
A sales order is created with reference to a service order, now when I see Profit center line items, the function area available in Service order is differ from the function area displaying with sales document number in profit center line item report. Can anyone please tell me where could be the problem.
Full points will be awarded for the answer.
Thanks & Regards
SriniHi,
what SAP release do you have ?
Normally the derivation of the functional area is made with the following logic:
1) manually entered
2) FI-Substitution (calling point 5 or 6 since ERP2004)
3) cost center
4) cost element
Please see also SAP note 106180 of how to correct wrong functional areas in PCA.
Best regards,
Andreas -
Is it possible to have more than one Tax code per line item in Billing docu
Is it possible to have more than one Tax code per line item in Billing document ?
Hi,
I have a different perspective there.
If an item is applicable for two different taxes which are represented by two different tax condition types and these tax conditions are configured in the tax procedure, FTXP and so on....then these two condition records can have two different tax codes.
We actually have this scenario in EU now, where EU talks about service tax in 2010 apart from the normal VAT. So now we have MWST and ZWST(Say)
Now there are some materials which come with a service associated with it. So a service charge is also levied when the material is sold. So the material price will become applicable for VAT and the service charge becomes applicable for service tax. In this case, the tax classification of the customer will have two entries in sales orders updated in the fields VBAK-TAXK1 and VBAK-TAXK2 based on the sequence number of these condition types.
Now based on different tax classification of the customer, we have 2 different tax codes representing different %of tax.
Hope it helps -
Profit center line items KE5Z - order missing - GLPCA-AUFNR
Hi folks,
could anybody give me an advice how to arrange that the order will be displayed in the KE5Z report?
Field GLPCA-AUFNR
Thanks a lot.
Regards
Edited by: Peter Jankech on Jun 4, 2008 1:41 PMSorry for unclear set question.
I know how to edit a layout.
The problem is, that the field GLPCA-AUFNR is initial, therefore in KE5Z-Profit center line items the field order is empty.
Is there any customizing setting or SAP-Note, which ensures that the field GLPCA-AUFNR is filled?
Thanks -
Hi,
Is it possible to issue a smartform per line item in the outbound delivery process?
Thanks
LindyHi Lindy,
Could you elaborate the issue a bit then I would be in a position to solve your issue.
Cheers,
Saraswathi. -
Retrieving the Change Texts per Line Item (Purchase Order) - Very urgent
Hi,
How do you retrieve the Change Texts per Line Item (Purchase Order).
Table T166T does not list these values per line item.
Please help. This is very urgent & important.
Best Regards,
Johnif you are lookin out for change of item texts ...
then use the function module ... READ_TEXT.
and 2 tables r used ... STXH and TLINE ....
double click on item data ...
goto PO TEXT tab ....
double click on text ...
from menu ...
goto header ... u'll get 4 fields that u need to consider ...
TDID
TDOBJECT
TDHEAD
TDNAME
ALL THESE U'LL FIND IN STXH
ITEM TEXT is stored in TLINE
Edited by: anjali rana on Mar 5, 2008 4:55 AM -
Reposting Profit Center Line Items
Good day everybody,
I would just like to ask if there really is no standard transaction to repost profit center line items (unlike for cost center line item reposting - KB6) Or is there any workaround for this lacking functionality? Thanks!Hi
There is no specific reposting transaction for PCA documents. The alternative is to post a PCA a document via 9KE0.
E.g. Requirement : repost $100 from PC 100000 to 200000
Post a PCA document
PC Account In Pct currency
100000 310101 - 100
200000 310101 100
Hope this is clear
Rgds
Nadini -
Hi
I have configured output type at the line item level for Sales orders. When I have save a sales document, the ORDERS05 Idoc type is triggered. It contains segments for all the line items.
Can we have the Idoc generated with only line item, for which the output type is created, even if the Sales Order has n number of Items?Hi,
What I want is to get the net value that is displayed in the conditions tab of VA01/VA02
before saving the sales orders. Is there a way to do that or an FM that computes for the
net value per line item.Thank you! -
Order Address per Line Item in OLA
Hi, hoping someone can help with an OA/OLA query.
One of our Buyers would like to use a different ordering address for one of the line items in an OLA. Is there any way to set up an Ordering
Address per line item in the OLA? Or does she need to create a new OLA?I'd suggest writing your own might be easier. Oracle buckets the exposure as per the list below whereas you are probably only interested in seeing a total order exposure (by line item for bottles/shells) and total AR exposure summary.
Also the standard report will look at the unit sell * the ordered quantity in calculating transaction amounts on open orders which is your problem. If I've understood your requirement correctly, you only want to consider the shells and bottles in the credit check because you enforce prepayment for liquids so presumably your AR o/s balances are only for money owing on shells and bottles.
In that case, your only real issue is at the order entry stage (again because Oracle will be considering the total transaction value if you're using the standard automated credit check) which is why I suggested the manual workaround there.
1 Header uninvoiced orders
2 Header uninvoiced orders tax
3 Line uninvoiced orders
4 Line uninvoiced orders tax
5 Line uninvoiced freight
6 Header uninvoiced freight
7 Header and line freight
8 Invoices
9 Payments at risk
10 Order holds
11 Line holds
13 Order tax holds
14 Line tax holds
15 Order freight holds
16 Line freight holds
17 Header and line freight holds
18 External exposure
21 G_BR_INVOICES
22 G_BR_PAYMENTS_AT_RISK
23 G_HEAD_RETURN_UNINV_ORDERS
24 G_LINE_RETURN_UNINV_ORDERS
25 G_ORDER_RETURN_HOLDS
30 G_ORDER_RETURN_HOLDS
31 G_LINE_RETURN_HOLDS -
Is Credit Check Per Line Item in Sales Order Possible?
Dear All,
Hope you all are doing well !!!
Infact i am currently implementing OPM and SCM modules for a CSD (carbonated soft drinks) industry. They have a specific requirement on Credit Management. Please look at the Requirement Below.
Credit Management Per Line on SO
Client Charges Distributors for both Liquids (Finished Product) + [Return Glass Bottles and Shells) for the First Time.
Subsequently while returning RGB(Return Glass Bottles)'s and Shell's are being given Credit memos.
CBL gives credit only on Bottles & shells but not on Liquids.
For Liquids CBL takes the Prepayment & Its Compulsory.
So the Credit limit needs to be check on the bottles and shells only.
Oracle E-Business Suite Credit Management does not work per line item for a
Particular Sales Order. It works on total Sales Order. as this is not a standard Process in Oracle how we can achieve this without customization.
Please suggest me through any workaround we can achieve this and its a show stopper for us and business critical for my client.Please help me on this regard.
Thanks & Regards,
AdityaI'd suggest writing your own might be easier. Oracle buckets the exposure as per the list below whereas you are probably only interested in seeing a total order exposure (by line item for bottles/shells) and total AR exposure summary.
Also the standard report will look at the unit sell * the ordered quantity in calculating transaction amounts on open orders which is your problem. If I've understood your requirement correctly, you only want to consider the shells and bottles in the credit check because you enforce prepayment for liquids so presumably your AR o/s balances are only for money owing on shells and bottles.
In that case, your only real issue is at the order entry stage (again because Oracle will be considering the total transaction value if you're using the standard automated credit check) which is why I suggested the manual workaround there.
1 Header uninvoiced orders
2 Header uninvoiced orders tax
3 Line uninvoiced orders
4 Line uninvoiced orders tax
5 Line uninvoiced freight
6 Header uninvoiced freight
7 Header and line freight
8 Invoices
9 Payments at risk
10 Order holds
11 Line holds
13 Order tax holds
14 Line tax holds
15 Order freight holds
16 Line freight holds
17 Header and line freight holds
18 External exposure
21 G_BR_INVOICES
22 G_BR_PAYMENTS_AT_RISK
23 G_HEAD_RETURN_UNINV_ORDERS
24 G_LINE_RETURN_UNINV_ORDERS
25 G_ORDER_RETURN_HOLDS
30 G_ORDER_RETURN_HOLDS
31 G_LINE_RETURN_HOLDS -
Credit Check Per Line Item in Sales Order is Possible?
Dear All,
Hope you all are doing well !!!
Infact i am currently implementing OPM and SCM modules for a CSD (carbonated soft drinks) industry. They have a specific requirement on Credit Management. Please look at the Requirement Below.
Credit Management Per Line on SO
Client Charges Distributors for both Liquids (Finished Product) + [Return Glass Bottles and Shells) for the First Time.
Subsequently while returning RGB(Return Glass Bottles)'s and Shell's are being given Credit memos.
CBL gives credit only on Bottles & shells but not on Liquids.
For Liquids CBL takes the Prepayment & Its Compulsory.
So the Credit limit needs to be check on the bottles and shells only.
Oracle E-Business Suite Credit Management does not work per line item for a
Particular Sales Order. It works on total Sales Order. as this is not a standard Process in Oracle how we can achieve this without customization.
Please suggest me through any workaround we can achieve this and its a show stopper for us and business critical for my client.Please help me on this regard.
Thanks & Regards,
AdityaI'd suggest writing your own might be easier. Oracle buckets the exposure as per the list below whereas you are probably only interested in seeing a total order exposure (by line item for bottles/shells) and total AR exposure summary.
Also the standard report will look at the unit sell * the ordered quantity in calculating transaction amounts on open orders which is your problem. If I've understood your requirement correctly, you only want to consider the shells and bottles in the credit check because you enforce prepayment for liquids so presumably your AR o/s balances are only for money owing on shells and bottles.
In that case, your only real issue is at the order entry stage (again because Oracle will be considering the total transaction value if you're using the standard automated credit check) which is why I suggested the manual workaround there.
1 Header uninvoiced orders
2 Header uninvoiced orders tax
3 Line uninvoiced orders
4 Line uninvoiced orders tax
5 Line uninvoiced freight
6 Header uninvoiced freight
7 Header and line freight
8 Invoices
9 Payments at risk
10 Order holds
11 Line holds
13 Order tax holds
14 Line tax holds
15 Order freight holds
16 Line freight holds
17 Header and line freight holds
18 External exposure
21 G_BR_INVOICES
22 G_BR_PAYMENTS_AT_RISK
23 G_HEAD_RETURN_UNINV_ORDERS
24 G_LINE_RETURN_UNINV_ORDERS
25 G_ORDER_RETURN_HOLDS
30 G_ORDER_RETURN_HOLDS
31 G_LINE_RETURN_HOLDS -
[CRM-ODI] Call External WS at Once not per Line Item
Hi all,
My objectives:
I create provider order in SAP CRM with more than 1 line item (ex: 2 line items), then
I want to send the order to external system (provisioning) at once asynchronously,
External system update provisioning status to SAP CRM per line item.
My custom class adapted from class: CL_CRM_ISX_MD_CCONTR_ACTIVATE, but ODI execute the method per line item.
I need to send the order at once to external system.
Please advice how to do?
Thank youmyself !!
-
3 way match between PO/GR/IR per line item
Hi..
I'm having an issue with 3 way match between PO/GR/IR. I want to this on line item level. As standard, SAP will compare line items based on line item numbers when doing the match (at least for quantity match). However, this is not possible since the vendors don't always use the line items in the PO (send to them) to create the invoice. And sometimes they simply leave out the line item number. However, the material number is always on the PO, GR and IR. Is it possible to do the 3 way match per line item using the material number as the unique identifier?
Kind regards
hundvovhi
Three Way Match
Yes, Three Way Match Means PO -> GR -> IV
For this, You need to Put Tick mark against GR Based IR in Purchase Order Item Detail Invoice Tab and Vendor Master Purchasing Tab.
Once This Purchase Order is Saved. You cannot do / System will not allow you IR Until you make Goods Receipt for the Purchase Order.
The same applies to External Services.
http://sap.ittoolbox.com/groups/technical-functional/sap-log-mm/sap-3-way-match-configuration-1639406
http://sap.ittoolbox.com/groups/technical-functional/sap-log-mm/3-way-invoice-match-1381773
regrds
kunal -
Hi All,
In SRM 4.0 we are able to create any no of assets for a particular line item. In SRM 7.0, i am able to create only one asset per line item in the SC as the standard code is making the quantity field get defaulted to one only.
If i change it in debugging, i am able to create any no of assets but i am not able to see all the created assets on the screen only the first asset is getting displayed .... do any one have any idea????Hi Lokesh,
I've tested this in our system with Cost Center assignement, splitting cost center assignment over two cost centers. This didn't work also, probably the exact same behaviour as with your Asset situation.
Good news: This isn't your fault my SRM 7.0 SP05 system is having the same issues you're talking about.
Bad news: SAP Customer Message or maybe an OSS Note is available on this, but i doubt it, i've already seen a lot of notes but havn't seen any covering this.
Found 1 note you could take a look at: Note 1417829 - Multiple account assignment shopping carts end up in error. This note does not cover my extended-classic system situation though, i'll check this one out again when we upgraded SP's: No hurry on this one for me.
Kind regards,
Tim -
Balancing field profit centre line item 001 not filled
Hi Guru's,
am facing payroll posting problem system throwing error as Balancing field in profit centre line item 001 not filled i have checked every thing is correctly maintained and please guide me where i have gone wrong and where exactly i get this line item to check please help me in solving my problem, as it is urgently required
thanks in advance
chaitraBalancing field "Profit Center" in line item 001 not filled
Above error is coming due to splitting .Try to do the following process
First check the line item 001 and get the GL no for which GL you are getting the error.
Ask your FI persons, what is the default Profit Center for that company code.
Goto Tcode FAGL3KEH and enter the company code......enter GL code and Default profit center in the last column.
Before doing this check the Business Area in IT 0027 and IT0001.Make sure that same Business Area in these ITs.
Mohan
Maybe you are looking for
-
IPhoto 08 not recognising Camera
I can connect my Canon camera via USB to my eMac (10.4.11) running iPhoto 06 and all is sweet. When I connect the camera via USB to my MacBook Pro (work computer) nothing happens. Is this an iPhoto 08 problem, a MacBook Pro problem, or OS 10.5.4? Any
-
Can't Edit iCal entry from Invitation
Okay, I run the calendar at work (Outlook 2003) but I also like to keep my own copy on iCal (because I like it better). I have been manually copying meetings so far but I decided to send myself invitations from my work Outlook calendar to my iCal (sh
-
Version 11.1.2.1 vs version 11.1.2
Hello, Any idea what will be the extra features in version 11.1.2.1 as compared to 11.1.2? Where i can find the related document. Thanks
-
Adobe Reader 11 aborts after install
I installed Adobe Reader 11 and it abourt wiht no response when I click on anything. I am reunning windows 8
-
Is the Cocomo Dev Console AIR app going to be something that is kept up to date? It would be nice to see better editing of templates (e.g. edit the template itself rather than a room and overwriting the template) as well as being able to view and edi