How to attach a Exchange rate type to SD Billing Doc?

Hi All,
The Sales and Distribution billing document creates the accounting document.
I want to change the current exchange rate type which is appearing in the accounting Doc.....How to attach a new exchange rate type to the Billing Doc?
Thanks in advance!

Hi,
If you want to use a different exchange rate type for SD documents, you can assign the different exchange rate type in Customer Master in Sales Area Data - in Sales Tab. (Use Transaction code XD02)
Thanks
Murali.

Similar Messages

  • To set the "Pricing Exchange rate type" in the billing document

    Hello SAP Experts,
    I have a customer requirement to determine the "pricing exchange rate" as "C Exchange rate determination according
    to Billing date" in Billing documents ONLY for specific Sales Org and customer Country and NOT for ALL sales orgs.. This field is present in the Item level copy control setting.
    This will ensure Exchange rate will be based on "Billing date" and NOT from date copied from Sales order for that specific Sales org.
    Can I write this validation in the Billing document User-exit -RV60AFZC to achieve this functionality? Or there would be some Configuation required?
    If anyone has worked upon this kind of requirement or know the method to achieve this, can you please help me?
    Thanks in advance.
    Umesh Karane.

    In that case, you can try with  USEREXIT_FILL_VBRK_VBRP.  Alternatively, you can also add this logic to your existing routine assigned in Delivery to Billing copy control against the field "Data VBRK/VBRP".  Similarly, for all such copy controls as you mentioned.
    G. Lakshmipathi

  • Exchange rate type for vendor invoice

    Hi,
    How to know which exchange rate type is being considered during postings vendor invoice in foreign currency.
    Company code currency is EUR and I am posting an invoice in USD.
    I checked OB08 and exchange rate with type M does not match with one calculated in FB60.
    I checked document type KR (OBA7) -exchange rate type 'M' is mentioned.
    I checked additional currencies for company code (OB22) - all currencies use exchange rate type 'M'
    So how to check which exchange rate type is being used by system.
    Thanks.

    Hi
    For posting vendor invoice which doc type are you using. If other than KR check that one also in oba7. And for OB08 you have to check for Ex rate M from EUR to USD what is the curr rate.
    Regards
    Mani.S
    Edited by: smanimba1 on Nov 28, 2011 5:49 AM

  • Change exchange rate type

    Hi,
    How can I change exchange rate type for posting principle flow in case of fixed term deposit. System by default takes M type. I want to change it to S type.Define  I have already changed exchange rate type in calculation indicator and Company Code Additional Data but it doesn't work.
    Thanks

    Hi,
    By default the exchange rate type M will only be picked.  The setting you make under calculation indicator is only for securities and loans area.
    For you requirement, pls check the note 450171 and see the appropriate place where you have to do the modification.
    Regards,
    Ravi

  • One Conversion Type and two Exchange Rate Types in one report

    I have Conversion Type called TEST. In this Conversion Type there is Exchange Rate Type D selected (D-daily). I have also Fixed Target Currency selected. And the report works perfectly fine....BUT.......there is also Exchange Rate Type M defined in the system (and it used for the exchange rate used last day of the month).
    The question is: how to put both Exchange Rate Types into one Conversion Type so both types are used in the reports?

    Hi,
    You can go for a variable exchange rate type.
    Creating variable:
    For this you have create a varible which can take diffrent exchange rate types.
    Open query designer create a new dummy query in that search for infoprovider 0RTYPE.
    It will have one dimension(name ->key) with 0RTYPE in it.
    create a variable for 0RTYPE.
    Save and close the query.
    goto RSCUR -> give your translation type -> go to exchange rate tab -> choose Ex. Rate from var option -> give the variable you have created prviously for 0RTPYE.
    Rest all same but just for completion...
    Go to your query in which in u want to do cur conversion.
    Double click on the key fig
    Go to conversions tab-> select the conversion type u created in RSCUR.
    When you run the query you can select the exchange rate type in the variable screen.
    rgds,
    Raghu

  • MIRO exchange rate type

    Dear All,
    I've set the exchange rate type for foreign currency docs as "G" from OBF4.
    Lets say my local currency is USD. I created a PO with foreign currency EUR.  From trx MIRO, when i call this PO, from details tab, i can see that the exchange rate of type "G" is coming.
    On the other hand, for the same PO, before i call PO in MIRO, I enter my local currency first as USD and then i call PO. System converts the amount from exchange rate type "M".
    Is that normal ? If so , can i fix this exchange rate as "G" in a badi or user-exit ?
    Thanks in advance,
    Best regards,

    Hi,
    Its Normal
    In case your  PO in foreign currency and IR local currency( company code) then system will  take exchange rate from exchange rate type M.
    [http://help.sap.com/saphelp_46c/helpdata/en/e5/0782024acd11d182b90000e829fbfe/content.htm]
    Regards
    Kailas Ugale
    Edited by: kailasugale on Feb 11, 2012 11:39 AM

  • How to change exchange rate type for specific pricing condition type

    Hello every one,
    I have a requirement for billing ie VF01.
    currently  all the exchange rate are being calculated with exchange rate type 'M' by default.
    but now client want it should calculate exchange rate with type 'E' for two pricing condition type for all others it should calculate with type 'M'
    Please any body can help me with the exit and code which i can use.
    I have checked exits SDVFX008.
    but how to change exchange rate with type 'E' only for two conditions.
    as changing exchange rate at document header will change exchange rate for all condition type.

    You need to assign KOMK-KURST = 'E', for those two condition types. If it had been item number specific, you could have used USEREXIT_PRICING_PREPARE_TKOMK(RV60AFZZ).
    Do one thing, put a breakpoint on FM 'PRICING' and then do selective runtime analysis.
    Check whether any user exit/BADI/ explicit enhancement are available when condition types are processed in a loop. If nothing is available, try implicit enhancement.
    Link to refer for selective runtime analysis - Runtime Analysis for VOFM
    Also try with VOFM requirements ( not sure whether changing KOMK-KURST is permissable in requirement as normally  we only set sy-subrc values to suppress/allow condition types ). Don't forget to assign requirements against condition types in pricing procedure.

  • HOw to see currency pairs in Exchange rate type

    Hi,
    Can anyone tell me how to see currency pairs in an exchange rate type?
    Thanks

    Hi,
    I am not sure this is a right solution.  But I have some inputs on your requirements:
    1. For traveller cheques you may create a new payment method and do the required configuration for automatic payment program.  Don't generate any payment medium while running APP.
    2. For currency notes (cash payment) I am not sure how it works.  But probably it is possible by creating an account (account ID) for a particular house bank and use that (house bank & account id) for making payment. 
    Per my knowledge we have never used payment method cash (currency notes) in APP.  But logically it would work by create a new payment method and doing the required config for APP.
    Please update if you found a better way to do this.
    thanks & regards,
    Kumar

  • How to require to specify an exchange rate type on F110 ?

    Dear all,
    When we use Tcode: F110, by default the exchange rate type M is taken.
    But in our case, we would like to use the exchange rate type B.
    Is it possible to give a default value for this field ==> B ?
    Or how could I force the user to specify a value for this field ?
    Thank you for your help
    Best regards

    Hi,
    That is possible in Define Valuation Methods
    spro/ Financial Accounting (New) / General Ledger Accounting (New) / Periodic Processing / Valuate / Define Valuation Methods
    there it self u can maitain Exchange rate type for Debit balance  B.
                                          Exchange rate type for Credit balance  B
    If u have any doubt let me know.
    Regards,
    Nauma.

  • How to determine exchange rate type in shipment costs document?

    I would like to determine exchange rate type in shipment costs document, but I don't want to do it manually.
    Can anyone please give me a hint on how to do it?
    Thanks & Regards
    BJ

    System will determine the exchange rate type based on value maintained in exchange rate table.Tcode OB08.
    It will post the difference if any in the GL mentioned in transaction event key KDM in tcode OBYC.
    Reward if helpful

  • How can we know where the exchange rate type is used?

    Hello experts,
    I have a question regarding exchange rate type.
    There is a custom exhange rate type ZXXX in our system, however, we don't know where this exchange rate type ZXXX is used. Is there any method that we can find where this exchange rate type is used?
    Many thanks.
    Christina.
    Edited by: Christina wang on Nov 28, 2008 4:28 AM

    Exchange Rate Type is created in SPRO:-SAP Net Weaver>General Settings>currency>Check Exchange Rate type.
    It is used for maintainace of Exchange Rate in OB08 for direct & indirect quote..
    Regards,
    Alok

  • Different Exchange rate type is picked while creating PO

    Hi All,
    We are maintaining daily exchange rates under exchange rate type "M" for currency GBP to INR. We have also maintained exchange rate type "ZCIG" but we are not maintaining daily exchange rates under this exchange rate type.
    Still system is promting us to maintain the exchange rate under exchange rate type ZCIG instead of "M" while creating Purchase order. Becoz of this error i could not save the PO.
    Please guide me on this issue.
    Thanks
    Sonal

    Hello,
    Could you please let me know how you have solved this problem.
    I want a particular exchange rates for a particular vendor posting.
    Thanks,
    Srini

  • Mass update exchange rate type (not rate) in open sales orders

    Hi all,
    Our requirement is to update the exchange rate type at sales order header (VBAK-KURST) for all open sales orders with a new type created. (Z001). This field does not appear in MASS transaction for sales orders despite being present in the structure MASSSDHEAD.
    This field cannot be located even in VA02 transaction (I am not sure if standard SAP masks or shows this field at header; I also can't find any transaction variants assigned).
    Can anyone suggest how this field can be updated for sales orders either individually or in mass mode.
    Regards,
    KC
    SAP SD

    You are correct in indicating that Exchange rate type field  is not seen in Header data of sales order. I checked screen layouts for various screens for sales order data and this field is not suppressed. The only reason could be that this field is not used in sales order screens
    If you are interested, you could also check in the following way
    1.  Go to SE11, enter database table as VBAK
    2. Once inside data dictionary table, click where used list button, select programs and screens and execute
    3. click continue (don't select background)
    4. now you would have list of programs and screens, this table is used
    5.  now start another session and go to transaction SE51
    6. indicate program name as SAPMV45A and screen numbers as listed in step 4. you can check all screen numbers to see whether Exchange rate type field is listed in sales order layout.
    7. Of particular interest would be screen number 4311 as this contains  Financial accounting data & 4303 Billing data
    8. you can check screen layout for screen 4311 & 4303. you would see Exchange rate type field is not indicated.
    9. in case you could find this field in any screen, you could ask your ABAP consultant to add this field in the layout screen.
    Hope this answers your question

  • Where we assign Exchange rate type at company code level,

    Dear All,
    Where we assign Exchange rate type at company code level, In 0BA7 we assign by Document type wise and OB22 will assign by controlling area wise , but we are not maintain Controlling area, exactly where we assign , and how it will pick at the time of PO creation ,
    Thanks in advance
    Vijay

    Hi,
    In OB22 we assign Exchange rate type against company code and not against controlling area .
    Regards,
    Shayam

  • Exchange Rate Type default different from M for a company code

    Dear SAP guru,
    Would you shed some light on this?
    How would we be able to default/assign a different exchange rate type from M at a company code level?
    I have a company code - finance company - that every foreign currenty transaction needs to be translated using different exchange rate type (i.e. daily hedge rate) than other operating companies.
    The OB22 screen makes it appear as M rate is specificied as 1st currency in company code, but grayed out and not able to change.
    Please help me with your expertise on this.
    Kind regards
    taro

    Hi,
    ExRateType is hardcoded in
    Main Program     SAPL0F03
    Source code of   L0F03I01
    *------- Daten zur ersten Hauswährung -
      rfcu4-curtp = '10'.
      rfcu4-bwer1 = '0'.                                        "AT 23039
      rfcu4-kurst = 'M'.               <<<<<
      rfcu4-cursr = '1'.
      rfcu4-curdt = '3'.
    The reason why the assignment of exchange rate type M to the first company code currency is a historical reason. A lot of coding within the SAP system is directly developed under the prerequisite that the exchange rate type for the first company code currency is M.
    As you described you want to setup several company codes in one client that all have the same first company code currency but should use different exchange rates. To solve that issue there are 2 ways available:
    The first way is that you use the functionality to assign an exchange rate type to a document type. That would mean a lot of work because in that case you would have to define all document types seperatly for
    every company code.
    The second possible solution is that you use different names for the fist company code currency.
    That means for example that you name the first company code currency in company code 0001 USD and in company code 0002 US1. So you can use different exchange rates for the same currency.because in that examle USD and US1 are only different names for the same currency. Using this approach you can have different exchange rates for different companies with the same company code currency by setting only different names even though the exchange rate type M is fix asigend to the first company code currency.
    Best Regards,
    Gladys xing

Maybe you are looking for

  • How can I play .caf files on Windows desktop computer

    I have a voice/sound recording program called Recorder Pro on my iPhone5.   It generates .caf files, which can be transferred to my desktop computer while the phone is connected, using iTunes/Apps (where the bottom left panel upon scrolling down has

  • I get the "firefox has stopped working" message after closing browser

    Hello. My problem is that when I close the FireFox browser I get the "FireFox has stopped working" message. It's pretty annoying. I've read some other posts here that described a similar problem and have tried some of the suggestions in them includin

  • API to update oracle base table in oracle apps

    Hi, What is the API used to update a base table in oracle contracts? Please suggest.

  • Use of  parameter IDOC_OPENED_FLAG in  FM IDOC_STATUS_WRITE_TO_DATABASE

    Hello Friends, I am using the FM IDOC_STATUS_WRITE_TO_DATABASE to set the IDOC status . I just wanted to know wat is the significance of the paramter IDOC_OPENED_FLAG. If  I set it and process I am getting an error "IDOC NOT OPENED". If I dont set it

  • FB60 Layout change

    Folks, I have a requirement that asks me to change the order of the  columns that appear at the bottom portion of FB60. 1. Need to suppress(hide) some of the columns. 2. Change the order in which they appear. If possible, please do give a detailed wa