Inter company crdit memo

hi, plz guide me about inter company credit memo and third party returns?

Unfortunately, I don't have enough experience with intercompany billing to consult you on these questions. Also I've never worked with a release older than 4.7.
You might want to read [SAP Help|http://help.sap.com/saphelp_470/helpdata/en/dd/5614e7545a11d1a7020000e829fd11/frameset.htm] and request your manager to get a consultant specifically with the intercompany experience for a few days.
When posting on SDN, I'd recommend to ask only specific questions when you run into an issue (after you've done research and tried to resolve it yourself, of course). Large "blanket" posts rarely get any response here (and for a good reason).
I'm guessing that your sales org. error is because one of these prerequisites is missing:
- Permissible combinations of plant and sales organization must be defined
- Sales area data (sales organization, distribution channel, and division) must be assigned to each plant that participates in intercompany sales processing
This is mentioned in SAP Help (see link above).
Good luck!
Update - additional reference materials:
[How to configure Inter Company Billing|http://www.sap-basis-abap.com/sd/configuring-intercompany-billing.htm]
[SD Book on Google (fragment)|http://books.google.com/books?id=GzH8bvbV6RAC&pg=PA277&lpg=PA277&dq=SAPintercompanybilling&source=web&ots=5CB4kVqJR_&sig=C_tGc5EmJg3AMZhhs83700WGU5U&hl=en&sa=X&oi=book_result&resnum=8&ct=result#PPA276,M1]
Edited by: Jelena Perfiljeva on Jan 14, 2009 9:20 AM

Similar Messages

  • Order related inter company credit memo - Order status 'Not Invoiced'

    Hi,
    We have recently created 'Order related inter company credit memo' process for return Stock Transport Orders(STO). For this, we used order related billing (billing relevance = C i.e. Relevant for ord.-related billing - status acc.to target qty) with standard item category 'G2N'. The issue is even after invoicing, sales order item status is 'Not Invoiced' and header status is 'Open', hence these orders are picked up multiple times during background invoice run and multiple invoices are being created.
    How do we control the 'Completion' status in order related inter company billing? VBUP-FKSAA is not changed even after billing document creation and remains as A i.e. Not yet processed. Do i need to check VBUP-FKIVP since this is inter company billing.
    I have also tried with TVAP-FKREL as 'B' i.e. Relevant for order-related billing - status according to order quantity but of no use.
    Please advise.
    Thanks in advance.
    Regards,
    Ganesh
    Edited by: Venkata Ganesh Perumalla on Nov 10, 2010 6:08 PM

    HI,
    Check too the Note 308989 - Consultant note for cross-company transactions
    It says:
    I.1.5 Returns request (IR) - returns delivery - customers credit memo -
    intercompany credit memo (IG) (RETURNS)
    The customer credit memo is created for the returns request and the
    intercompany credit memo is created for the returns delivery.
    Regards,
    Eduardo

  • Inter Company Credit Memo (Internal Credit Memo)

    Hi,
    I have searched the forum using: 'Inter Company Credit' ' Internal Credit Memo' and 'IG'.
    Found some information but still do not have full picture.
    We use an inter company process - similar to cross company selling - where company code A supplies company code B via an inter company PO.  Company code A then bills company code B using the standard inter co billing type (IV), this has output RD04 set up which makes the posting via an idoc into the receiving company code's financials.
    This all works very well.
    Although we are now at the stage where we need to issue internal credits ie company code A credits company code B - for example goods did not arrive.
    Seems that this is a real grey area - searched everywhere - internet, SAP, books etc.  I have not found any comprehensive information ie full process and configuration required.
    I have learnt that all inter-company billing must be in relation to a delivery - is this correct?
    I have 2 scenarios:
      1.  Goods are returned back to the supplying company code, so therefore need to to raise an internal credit memo.
    Can returns order RE be used for this, using company code's B internal customer number as the account number?  RE is set up with the inter-company billing type IG, so this would bring the stock back on hand into company code A.
    The credit would then be processed against the rtns delivery (LR) but how would billing know which billing type to use, in other words does billing know that we are trying to process an inter company transaction?
      2.  Goods are not returned - just wish to process a credit.
    As a delivery document is required, we still need a delivery to be created in this process.
    I have found SAP note 24756 which explains the set up  of new order type, doc flow, item cat etc -  I think this is all required so that the returns delivery used is just a dummy delivery therefore not relevant to warehouse / PGI.  Is this set up still required?
    Does anyone out there have any experience in this area?  I think there is a real lack of knowledge in this area......I'm really struggling!!!!!
    Incidentally we require the credit to be processed via idocs same as normal billing.
    We are on 4.6C.
    Many thanks in advance.
    Regards
    Guy

    Unfortunately, I don't have enough experience with intercompany billing to consult you on these questions. Also I've never worked with a release older than 4.7.
    You might want to read [SAP Help|http://help.sap.com/saphelp_470/helpdata/en/dd/5614e7545a11d1a7020000e829fd11/frameset.htm] and request your manager to get a consultant specifically with the intercompany experience for a few days.
    When posting on SDN, I'd recommend to ask only specific questions when you run into an issue (after you've done research and tried to resolve it yourself, of course). Large "blanket" posts rarely get any response here (and for a good reason).
    I'm guessing that your sales org. error is because one of these prerequisites is missing:
    - Permissible combinations of plant and sales organization must be defined
    - Sales area data (sales organization, distribution channel, and division) must be assigned to each plant that participates in intercompany sales processing
    This is mentioned in SAP Help (see link above).
    Good luck!
    Update - additional reference materials:
    [How to configure Inter Company Billing|http://www.sap-basis-abap.com/sd/configuring-intercompany-billing.htm]
    [SD Book on Google (fragment)|http://books.google.com/books?id=GzH8bvbV6RAC&pg=PA277&lpg=PA277&dq=SAPintercompanybilling&source=web&ots=5CB4kVqJR_&sig=C_tGc5EmJg3AMZhhs83700WGU5U&hl=en&sa=X&oi=book_result&resnum=8&ct=result#PPA276,M1]
    Edited by: Jelena Perfiljeva on Jan 14, 2009 9:20 AM

  • Credit memo for Inter-company billing

    Hi
    We are trying to create a credit memo with reference to an inter company billing document. The business requirement is to create a credit memo  to adjust the invoice value due to wrong value posted in the original inter-company invoice. Hence we do not want to use the sales returns route for this.
    So, we are trying to create a credit memo request (ZCR) in VA01 with reference to the Inter company billing document (ZIV). We have maintained the copy control between ZCR and ZIV.
    However, when creating a credit memo request (ZCR) with respect to the intercompany billing document, we get the below error in the sales order.
    "Item category ZNLC is not defined" and "Check Item copy" with Message No: V1324.
    ZNLC is the item category that we used in the intercompany delivery document.
    We are able to ignore this message in sales order screen and save the credit memo request in VA01 and also create credit memo (ZG2) in VF01.
    Pl provide your inputs on whether we are missing any other configuration.
    Regards,
    John

    Hi
    I have maintained the item level copy control settings as below.
    In the copy control (VTAF) between ZCR (Credit memo request) and ZIV (Inter company billing) at the item level for ZNLC (Inter company item category coming source document), the following setup has been maintained
    Copying requirements : 303
    Copy schedule lines : Blank
    Pos / neg qty : Blank
    Pricing type : D
    Update doc flow : X
    Do not copy batch : blank
    Pl let me know if there are any other settings to be done in config.
    Thanks,
    John

  • Inter company Billing document not created

    Hi,
    I am in a service industry project where invoicing is done through order ,no delivery takes place.I have done configuration related to inter company billing like Assign inter company billing type to Order ,assign plant sales area and internal customer to the ordering Sales Organisation.
    After this we are able to invoice the external customer but when we are trying to create inter company billiing document through the same order a log is created which says"Item already fully invoiced"
    What should i do now?
    Plz suggest.
    Regards,
    Satya

    Luk we are using quantity contract and through that we do DP91 for resource related billing which generate a Billing Request where sales document category is L (debit memo request) and then we billed that billing request to the end customer.But when i again use that billing request for inter company billing system says "item is fully invoiced"
    Now tell me what should i do?
    Regards,
    Satya

  • Inter-company payment terms not populated

    Dear Guru,
    we have inter-company setup, but the payment terms, which defaulted from customer/vendor master, cann't be populated to inter-company posting line.  Could you give some idea how to enable the payment terms default for those inter-company posting line.
    Thanks,
    Kick

    Dear Kick,
    In some transactions (for example, credit memos), however, the system does not default the key from the master record. Despite this, you can use the key from the customer/vendor master record by entering "*" in the field.
    Thanks and Regards
    A.Rama Krishna

  • Inter Company Billing process

    Hi,
    We are testing the Inter Company Billing process.
    Please clarify the below my doubts: what are we doing in these below two transactions? and what kind of documents will get created after executing both the transactions?
    1) /N/DSD/DE_ENTRY
    2) /DSD/SL_COCKPIT
    I am FI Consultant, so not able to understand clearly the above transactions.
    Please explain in detail.
    Regards,
    Vidya

    Dear Vidya,
    The transactions which you have mentioned are not related to intercompany billing process. as suggested by our friend above.
    I will try to elaborate the use of the metioned transactions. These both transactions are used in case of direct store delivery componant, and are based on the tour data.
    1) /N/DSD/DE_ENTRY :
    Generally in direct store delivery process, material is loaded on the trucks and check out from warehouse is done, this material is delivered by driver to several customers on his way and he also collects cash payments, cheques form several customers. he can also pick up empties from the customers and then he comes back to the warehouse with empties and payments. where check in is done.and all data is entered regarding empties and payments.
    Now whtever he has delivered and brought back has to be entered in the system, which is nothing but tour data entry which is above transaction.
    2) /DSD/SL_COCKPIT
    Based on the tour data entered the system will carry out the settlement. and for the settlement you need to use above transaction.
    here you will enter the data in check in and check out as tour entry.
    then system will compare  the data and creates different kinds of documents like
    debit memo's to customer , credit memo's in customer incase some returns, empties credit memo, billing documents against received payments, and most importantaly credit or debit memo against driver if empties quanity differs from wht is signed by customer.
    I hope this gives you some insight of these transactions and helps to clear your doubt. But there is more which you can read about it.
    Regards,
    Paresh

  • Inter-Company Sales Scenarios with CRM Service

    Hi,
    We are in a process to implement CRM 7.0 for our B2B service organization.
    Currently, we have ECC 6.0 implemented with single instance worldwide, one controlling area, one global chart of account and one fiscal year for all company codes in SAP and for each company code we have 1:1 mapping to sales organization.
    We have model in Europe where all our inventory is owned by one company code (one legal entity refer to as the  'principal' )and plants abroad functionality activated in SAP .
    In each country we have operating legal entity, company code and sales organization set-up in SAP but the inventory is still owned only by the 'principal'.
    It means that for each sales we have  in those sales organizations, additional inter-company billing is done between the 'principal' to that sales organization.
    This is done for all items sold either if they tangible items and non-tangible items for regular sales orders, contracts, debit memos and credit memos.
    The Intercompany billing should be generated base on the end-customer price less the certain percentages.
    CO-PA model is not active in our SAP system therefore we are going to use single-object controlling scenario for all our service processes.
    I have few questions:
    1. Can the plant associated with the u2018service organizationu2019 in CRM belongs to different company code from the company
        code of the billing unit
    2. Can we have the internal order in single-object controlling scenario for service contracts for revenue recognition to
        be set-up in company code of the billing unit  but the internal order to collect the cost either if it is parts or labour created
        in a different company under the u2018principalu2019 company code where we own the inventory u2013 It means that the I/O for revenue
       and cost will have to be different.
    3. Can we generated intercompany billing in CRM for any billing done to end-customer between the u2018principalu2019  to
        the sales organization either if it is for parts or labour or service contract or debit memo or credit memo .
    Regards,
        Avishay

    Hi
    See SAP Note 338922 - Analysis note for cross-company transactions (delivery).
    I hope this heps you
    Regards
    Eduardo

  • INTER CO /DEBIT MEMO

    in case of inter company billing is it possible to create both debit/credit memo....?if not why...

    hi
    1. A transaction that reduces Amounts Receivable from a customer is a credit memo. For eg. The customer could return damaged goods.  A debit memo is a transaction that reduces Amounts Payable  to a vendor because, you send damaged goods back to your vendor.
    2. Credit memo request is a sales document used in complaints processing to request a credit memo for a customer. If the price calculated for the customer is too high, for example, because the wrong scale prices were used or a discount was forgotten, you can create a credit memo request. The credit memo request is blocked for further processing so that it can be checked. If the request is approved, you can remove the block. The system uses the credit memo request to create a credit memo.
    You can use credit memos in Sales and Distribution (SD) for assigning credit memo requests to the open invoices and in Financial Accounting (FI) for assigning  credit memos and payments to the open invoices and carry out clearing with them.  If you use both Financial Accounting (FI) and Sales and Distribution (SD),  there is a 1:1 relationship between the credit memo request and the credit memo item posted in Financial Accounting (FI). As soon as you bill the credit memo request together with other sales orders, or distribute the items of one credit memo request to several billing documents, the assignment is no longer valid and the system will not process it.
    For  credit memos, credit memo requests, and payments, you have the following assignment options:
    - Assignment to a single invoice
    - Assignment of a partial amount to an invoice
    - Assignment to several invoices
    When you post  credit memos, the payment programme processes them automatically. If the credit memo is specifically related to a particular open invoice item, the payment program automatically attempts to offset the credit memo against the open item. If it is not possible to completely offset the credit memo against an invoice, you can post a debit memo to the vendor, who is to reimburse the amount.  Then you can apply a multilevel dunning program. 
    3.  Debit memo request is a sales document used in complaints processing to request a debit memo for a customer. If the prices calculated for the customer were too low, for example, calculated with the wrong scaled prices, you can create a debit memo request. The debit memo request can be blocked so that it can be checked. When it has been approved, you can remove the block. It is  like a standard order. The system uses the debit memo request to create a debit memo.
    4.  As mentioned above, creating a credit or debit memo request enables you to create credit or debit memos based on a complaint. For this first create a sales document with the order type for a credit or debit memo  request. You can create the debit  or credit memo requests in the following ways: 
    – Without reference to an order
    – With reference to an existing order
    Here you enter which order the complaint refers to.
    – With reference to an invoice
    Here you enter which invoice the complaint refers to.
    In all cases, you specify the value or quantity that should be in the credit or debit memo
    5. You can block the credit or debit memo  request from being billed in Customizing. Go to Sales -> Sales Documents -> Sales document header -> Define sales document type and select the billing block field in the billing section.  This request can later be reviewed along with similar ones, - if necessary, by another department. The request for a credit or debit memo  can then be approved or rejected. 
    nagesh

  • Inter-company sales credit note cost

    Dear SD Consultants,
    I have scenario of Cross Company sales, in itner-company invoice we have different pricing procedure in which we charge 2nd company with VPRS cost, now there is one doc. for return sales we have to give credit note for this return that is internal credit memo, but issue is that at the time of intercompany invoice system take VPRS Cost of that time now when we create internal credit memo cost is change and I wnat to post internal credit memo with similar amount of inter-company invoice.
    please advice in this regard. for e.g. intercompany invoice create with 100AED and at the time of internal credit memo of same material is 120, system create IG with 120, I want to create with 100 AED.
    Thanx in Advance.
    Danish Alam
    Edited by: Danish  Alam on May 13, 2009 10:19 AM

    Dear Danish
    For creation of credit memo u must have given the reference of invoice or order .
    Check for your copy control settings from invoice reference to credit memo request in VTAF.
    Go to Item details select your item category and Keep pricing type as D .
    I hope this will solve your problem.
    Regards
    Mandar

  • Inter-company billing values flow to COPA

    Dear All,
    We are in inter-company sales scenario
    Issue -
    Sales persons have created two billing document with type F2 and IV
    Condition type PR00 and PI01 ( inter-comapny price ) assigned to COPA value field VVS04.
    Billing document F2 ( orderning plant ) - From sales order to accounting the net sales value has been updated as 0.17
    But COPA document is updated as 1.17 ( Net value 0.17+ cost 1 )
    But we require the value as 0.17
    In the above scenario FI & COPA are not getting reconcile
    Please throw some light on this
    Regards
    Madhu

    Hi
    It seems you have mapped both revenue and COGS to same value field..
    In COPA, all values are updated as absolute values i.e. without +/- sign except for billing reversals and credit memos...
    You should map both to separate value fields and show revenue- cost in reports
    Ajay M

  • Free goods in STO & Inter company PO

    Hi Friends
    I have one scenario where I get article as free with other Articles, the same free article may get from with out free from some other vendor also. but this free article should be distributed to store with STO and Inter company PO.
    problem in PO
    I have entered free goods item in a new line item in inter company PO and tick free goods indicator & also created outbound delivery but when I am creating Invoice in VF01 I am only getting one article but not free article...
    problem in STO
    when I am entering article then free Item indicator is disappearing from line item & I need to do outbound delivery in VL10F
    please suggest
    Thanks & Regards
    Sudha.

    can any one help me on this
    regd
    sudha

  • Questions on Inter-company and Cross-company sales ordering process..

    Hi,
    I understood the delivery plant and the sales org. is not in the same company code might be the process, but i want to know some details especially in SAP system how it is realized and processed, hope could kindly help me on below questions!! thanks!!
    1)what is the difference between inter-company sales and Cross-company sales??
    2)What is the general document flow and config. when in below 2 cases:
    Suppose the 2 company code under same sap client system, then what kinds of company code,plant config within the system for inter-compan and cross-company, and finally what kind of document flow will it be in the system.
    Suppose the 2 company code is under diff sap system, then what kind of doc flow in each sap system for inter-company and cross-company sales process???
    Thank you very much!!!!

    Hi,
    Basically there are totally Three types of scenarios
    1. Intra Compnay Stock Transport Order
    In this type of scenario, the stock is transfered between Two Plants which are under the same Compnay Code. The document type used here is UB. Here in this scenario the owner ship on the stock is not changed thats way there will not be any Invoice. The process as follows
    a. Create Purchase Order with document type UB - ME21N
    b. Create Replenishment Delivery with Document type NL - VL10B
    c. Picking and PGI - VL02N
    Now stock will be shown in Transit, you can check this using T.Code MB5T.
    d. Do MIGO to receive the stock into ordering plant.
    2. Inter Compnay Stock Transport Order
    This is called as Cross Compnay STO. Here the stock is sent from one plant to another plant which are in two different Compnay codes. That means the Ownership on the stock is changed in this scenario, that way there will be Intercompnay Invoice IV is reaised. Here the stock is just moved to one plant to another plant but not to any customer.
    The Process is as follows
    a. Create a PO using type NB - ME21N
    b. Create a Cross Compnay Replenishment delivery using type NLCC - VL10B
    c. Picking and PGI in VL02N
    d. Inter Compnay Invoice IV is raised by Supplying Compnay code to the Ordering Compnay Code - VF01
        for this a customer created in Supplying Compnay who represents the Ordering Compnay and the invoice is raised against to that customer.
    e. MIGO to receive the stock in Ordering Plant
    f. MIRO to do invoice verification and do Vendor account update. This also can be done by EDI triggering, to update the Vendor Account. That means with this step, ordering compnay will update into its vendor account that he has to give certain amount to the compnay who supplied the stock.
    3. Inter Compnay Customer Sales
    This is similer to the 2 process, but here instead of sending to Plant we will send the stock directly to Customer of other compnay code.
    The process is as follows
    a. Customer raises  normal sales order in another compnay code of type OR - VA01
    b. But if the plant of that compnay does not have stock, then in the order the plant is changed to other compnay code plant.
    c. Delivery is created in supplying Compnay against this Order - VL01
    d. Picking and PGI is done - VL02N
    e. But the stock is sent direclty to customer from supplying plant.
    f. Ordering compnay will raise normal invoice F2 to the customer
    g. Supplying Compnay will raise Intercompnay invoice IV to the Ordering Compnay.
    But for all these process there are some configurations can be done, like
    the material should be extended to both the plants
    a customer is created in supplying plant who represents the ordering plant so that IV can be generated to that customer.
    Supplying Plants should be linked to ordering Sales Org and Distribution channel. etc.
    Hope this is clear.
    Thanks
    Praveen

  • Inter Company Invoice is not created

    Dear Friends,
    When i am creating the Inter Company invoice through  it is showing the log as
    80011326 00000 Sales Org is not defined
    Commercial invoice is created for the same delivery. when we see the document flow still delivery status is being Processing.
    IN VF04 i entered Sold to party name  and put the tick mark for Intercompany billing.
    here it invoice due list showing the delivery number with out sales organization.
    Please let me know what configuration i missed. do the needfull ASAP.
    Thanks
    Raju.

    Dear Janardhan,
    Please check these configuration settings in the IMG
    SPRO>IMG>Sales and Distribution>Billing>Intercompany billing
    -->Assign Organizational Units By Plant
    -->Define Internal Customer Number By Sales Organization
    I hope it will help you,
    Regards,
    Murali.

  • Error while creating Inter-company billing document

    Hi All,
    Help me to solve below error while creating inter-company billing document with ref to delivery document.
    " 1190984113 000000 Company code is not defined"
    Thanks for your help.

    Hi
    Please check wheather Customer has been extended to both company codes.Also check wheather 1190984113 is a G/L account.If it is a G/L account please check wheather it has been maintained in the company code or not.If it is not maintianed then kindly maintain the G/L account and then create the Intercompany billing document
    Regards
    Srinath

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