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

Similar Messages

  • How the freight cost are transferred from condition type of shipment cost document to service entry sheet and collected in service PO item

    Dear Experts:
    could you please share with me the knowledge for below topic:
    How the freight cost are transferred from condition type of shipment cost document to service entry sheet and collected in service PO item, because these three objects use three different pricing procedures, and different condition type.
    how did the condition type of service entry sheet know to copy the value of whcih condition type in the pricing procedure of shipment cost document?
    Is this SAP standard function OR there need an enhancement to do that?
    I didn’t find related condition value copy setting in background, could you please share related setting with me? Thank you very much for your kind help!
    Best regards,
    Andy

    Hi, Gopi,
    Glad to see your feedback, but i still have question on your feedback:
    which condition type in the pricing procedure of service entry sheet should know to capture the net value of shipment cost doc? becasue there are so many condition types,
    And i have checked the corresponding condition type (PRSX) of service entry sheet pricing procedure in my SAP system, this is a self-defined condition type, but NO any calculation routine maintained for the condition type (PRSX), how did the condition type (PRSX) know to copy the total cost of shipment cost document?
    Below is the example and another question:
    what the relationship between the pricing procedures at service PO item level and service line item level?
    1. The freight cost in shipment cost document—including used condition type and pricing procedure
    The pricing procedure of shipment cost document
    2. The freight cost in service entry sheet—including used condition type and pricing procedure
    The pricing procedure of service entry sheet--the pricing procedure at service line item level
    3. The freight cost in service PO item—including used condition type and pricing procedure:

  • 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.

  • Determining Exchange Rate type

    Hi
    For a export customer we have made a copy of exchange rate type M and named it as E
    In Ob08 the direct and indirect rate for E has been maintained and in customer master and accounting document configuration too E has been maintained
    During generation of accounting document the rate determined by the system is not of E but of M
    The validity of E is greater than that of M but still system  is determining  rate as per entry maintained for M
    Can anyone please suggest what should be done
    Thanks and Regards
    Sunil Srinivasan

    Hi
    I have prepared the routine as per the note
    But where should this note be applied in SAP .Is this at aSD-FI interface point
    Thanks and Regards
    Sunil

  • Exchange rate type for planning cost

    Hy all,
    our release is 4.7 .
    Is it possible to change now the exchange rate type from M to P for costing and fix a budget figure valid for the whole year to evaluate standard cost?
    Thanks in advance
    Vir

    Dear Vir,
    http://help.sap.com/saphelp_nw04/helpdata/en/a8/352537b1d21763e10000009b38f889/frameset.htm
    You can define the exchange rate for a currency pair using either direct or indirect quotation.
    Indirect exchange rates are always given with the local currency or reference currency as the to-currency.
    Hope this will help.
    Regards,
    Naveen.

  • How to get Exchange rate from SO to specific Document type in PO

    Dear Experts,
    I have an Intercompany scenario in which I need to have Exchange rate used in Sales Order into a specific document type in a PO. Is it possible to achieve this?
    Thanks
    Manish

    Hi ;
    To my knowladge , you have two options.
    1- Fix exchange rate in PO
    2- You can get exchange rate in Miro based on invoiced date.
    Another ways will be development ...
    Regards.
    M.Ozgur Unal

  • 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

  • Translation date for exchange rate type 'M'

    Hello friends,
    How do I change the translation date for an exchange rate type, for a particular company code?
    My client wants the translation date for the exchange rate type 'M' to be document date instead of posting date. It is required as per Romanian Law of land.
    Regards,
    Mike

    Mike,
    I assumed your question is for an additional local currency for a company code (this can be changed in OB22).  For the first local currency, the translation date type in OB22 is always set to 3 (Translation Date) and cannot be changed (hence, greyed out).  Following that, in accounting entry transactions (for example FB01), you will see a field (Translation Date) where you can specify a date for which you want the system to fetch exch. rate from the exch. rate table.  In your situation, you will have to enter 'document date' there.
    PS: The reply above by Ravi applies only to tax items' translation, not for all items.  He is basically talking about the indicator that you see in OBY6.

  • User-Exit to modify exchange rate type for Accouting document

    Hi,
    My requirement is as follows.
    I am creating an incoming invoices which in turn creates an accounting document.
    The document currency for the accouting document is different from the Company code currency. In such a case, the "Exchange rate type" provided in the customization of the "Accouting doc type" is picked up and the exchange rate is determined for the conversion.
    I need some user-exit/badi/bte where I can override default  "Exchange rate type" for my accouting document.
    Regards,
    Abhishek

    Provide the exchange rate in the BAPI to create the incoming invoice document.

  • Group Currency  Exchange rate type.

    Hi
    We wanted to post a foreign currency document, with a specific Exchange rate, that is specified in the Document type.
    Doument Currency is getting converted into Local Currency (Company code currency) based on the exchange rate type specifed in the Document type used for posting.
    But, the Group Currency is getting converted from Document currency based on the Exchange rate type : "M" but based on the Exchange rate type specified in the Document type.
    Is there any way, apart from specifying Exchange rate type in Parallel Currencies.
    We wanted the conversion of Both Local (Company code) & Group currencies be converted based on the Exchange rate type specified in the document type, for some specific postings.
    Following is our Scenario :
    Co.Code Cur - EUR
    Doc.Cur          GBP
    Grp Cur           USD
    Document type : XY -- Exchange rate type "1111" specified in the document type.
    Now when a document is posted with Document type "XY"  in Document Cur : GBP.
    Both Local & Grp currency to be converted based on the Exchange rate type " 1111".
    Thanks
    Kalyan

    Hello Kaylan,
    I will try to explain the system behavior, regarding to the exchange
    rate question, "M" is standard exchange rate type used in R/3 so it's
    not possible to change this default setting. However you can assign the
    exchange rate type to each FI document type at transaction OBA7. The
    exchange rate type assigned here applies to both online/batch postings.
    Therefore you can assign a different exchange rate type to the document
    types, but not per company code. The exchange rate that you customize at
    document type level is validfor the first local currency. However, for
    parallel currencies, the system will always use the exchange rate type
    defined in transaction OB22. Please, check your customizing there to
    check your changes.
    If you want to use exchange rate type B, for example, instead of M, in
    customizing you have to give Alt Ex.Type as B against M. So that it will
    take B rate whenever M is applicable. If you want this B rate to be
    applicable for specific document types then you can do the same at
    document type definition itself. Otherwise you can do the same at
    payment program level/ Revaluation. These are the only places where
    exchange type comes into picture.
    See also the following attached OSS notes notes for details:
         335608 Trnsln of 2nd and 3rd lcl crcy fm 1st lcl/trns crcy
         526623 Different treatment of local and parallel currency in ML
         547946 FAQ Interface: Currency translation, rounding, field status
         518114 FAQ: Goods movements in foreign currency
    regards
    Ray

  • Exchange rate type determination

    Hi,
    Just wanted to know how a exchange rate TYPE is determined by SAP in sales order or any FI document?
    Currently for us, the exchange rate type used by SAP is EURX and I am wondering how this type is determined (not type M), if:
    1. Nothing is defined in customer master
    2. Nothing is defined in Additional Local currencies (OB22)
    The company is Poland and company code currency is EUR. Is it to do anything with Euro currency.
    Please help me?
    Thanks in Advance

    Hi,
    The system by default uses Exchange Rate Type M for any currency translation in the system.  You can use a different exchange rate type in your system, instead of Type M, by defining the alternative exchange rate type in transaction code OBBS.
    Please assign points.
    Thanks,
    Madhav Nanduri

  • 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

  • Exchange Rate type determination in PO

    Dear all,
    During purchase order creation for a foreign vendor, system looks into the exchange rate tables to determine the exchange
    rate between the local currency and order currency (foreign currency).
    During the rate processing system always takes the rate mainatined with exchange rate type "M".
    We have a requirment where we want the system to look into the specfic exchange rate type for a company code.
    For Eg, PO's created for the hungary company code, should look into the exchange rate maintained with exchange rate type HU01 which is mainatined in exchange rate tables and not from exchange rate type "M".
    I searched all config elements on the MM side but could not find any. I also understand that we could set this using the invoice document type, but we need to have the po determined the right exchange rate type.
    We are implementing SRM and the shopping cart or the PO created goes through the same logic , it finds the rate maintained in exchange rate type "M"only.
    Kindly advise if we could set this config somehwere or could control through data.
    Regard
    Harish

    Hi,
    it is the sap std behaviour while creating the PO, picking of the exchange rate from the specified tables and from specified type.Seems you can not change.
    Regards,

  • 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 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.

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