Inter plant STO with intermediate G/L Account & profit at Plant level

Hello Experts,
I have a situation at a client in California. The client does Make-to-Order sales. This client has plants in several cities.
The scenario goes like this. The plant 0020 wants to sell materials to external customer. If this 0020 plant does not have enough stock in inventory, a purchase order needs to be placed with another plant 0010 of same company code.
I know this can be mapped with standard STO Process but client's concerns are:
1) At the time of PGI, both stock accounts will update once.
But he wants an intermediate G/L account as it takes 1 month to recieve goods.
2)  Inter plant profit has to be captured.
Example: 0020sells materials @ 120$, procures from 0010@ 100$. Actual cost of that in 0010 is 80$.
Meaning total profit for company is 40$, 20$ each to plant 0010 & plant 0020
Would someone please be so kind as to helpme with a Best  process flow for this scenario
I am open to your suggestions.
Thanks,
Nagesh

Hi Nagesh,
Generally it sounds wrong; I think that businesswise it is not good practice (and in some countries even forbidden) to record a profit in a company just by moving stock around. This way we could all make millions!
Stock price can vary from one plant to another, but then it is recorded as price difference when it moves, not profit.
Regards,
Mario

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    <b><REWARDS OFFER REMOVED BY MODERATOR></b>
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    Delvy doc **********
    Click on picking
    enter the picking qty
    Click on PGI
    in the mean time check in the PO history you will get the details
    Goods receipt MIGO
    Stock overview the stock will be updated....
    Check the below link
    http://help.sap.com/saphelp_47x200/helpdata/en/4d/2ba31643ad11d189410000e829fbbd/frameset.htm
    Stock transfers that include deliveries and billing documents/invoices are only possible between plants belonging to different company codes.
    If you want to carry out a cross-company-code stock transport order with delivery but without a billing document, you must set the Relevant for Billing (data element FKREL) indicator in Customizing of the item type to "blank" (Not relevant for billing).
    The following applications are involved in this type of stock transfer:
    • Purchasing (MM-PUR) in entering the order
    • Shipping (LE-SHP) in making the delivery from the issuing plant
    • Billing (SD-BIL) in creating the billing document for the delivery
    • Inventory Management (MM-IM) at goods receipt in the receiving plant
    Invoice Verification (MM-IV) at invoice receipt in the receiving
    Transfer of goods from one location to another location, it may be between plants within the same company code or in different company code's plants.
    within the company code, but plants,
    receiving plant will raise the STO in Supplying/issuing plant-ME21n,
    Supplying plant will deliver the goods to receiving plants ,
    then we need to pick n post the Goods Issue-VL02n,
    now when we can observe that the STO qty will be added into receiving plant and reduced in Delivering plant,
    To do this, we need do prior customization in SPRO-IMG,-
    material should be created in both plants( receiving & Supplying)
    -maintain the stock only in supplying plant
    -create a dummy customer in supplying plant's sales area(if u have one sales area, create in tat comp code n sales area)
    -assign this customer number to receiving plant's details along with the sales area,
    -Assign the STO doc type(UB) to Supplying plant, along with checking rule
    -Assign the Del type (NL/NLCC) to Supplying n receiving plant.
    *Del type=NL is not relevant for billing, where as NLCC is relevant for billing
    rewards pls
    siva

  • Inter company sto

    hello experts,
    I'm trying to create a inter company STO.but while creating Po it gives an error as
    "Customer XXX does not exist (please change entry in plant xxx)"
    but i have created a customer with sales area and company code of supplying plant.
    and it exists.
    please help me
    ria

    Hi,
    In Shipping data for plants assign the customer number which you created
    Check the following
    1) MM> Purchasing > Purchase Order > Set up STO> Define shipping data for plants > select the Receiving plant >assign customer here & Supplying SA (for billing) to Receiving plant here
    2) MM> Purchasing > Purchase Order > Set up STO> Define shipping data for plants > Select Supplying plant and assign the sales area of receiving plant.
    This will solve your error
    rgds
    gsc

  • Inter company STO wtih two different company codes

    Hello expert,
    I am doing inter company stock transfer between two plants that belongs to two different company code. Can someone tell me if my settings are correct
    Plant-A  (S.org- X, DC-10, D-00) and CC-A
    Plant- B (S.org-Y, DC-10, D00) and CC-B
    Deinfe shipping data for Plant u2013A
    u2022     Plant u2013A
    u2022     Customer u2013B
    u2022     Sales Org-X
    u2022     DC 10
    u2022     D 00
    u2022     Under Control data tab, Vendor = A     
    Define shipping data for plant u2013B
    u2022     Plant u2013B
    u2022     Customer u2013A
    u2022     Sales Org-Y
    u2022     DC 10
    u2022     D 00
    u2022     Under control data tab, Vendor = B
    Customer Master for Plant -A
    u2022     Customer-A
    u2022     CC-B
    u2022     S.org-Y
    u2022     DC -10
    u2022     D-00
    Customer Master for Plant -B
    u2022     Customer-B
    u2022     CC-A
    u2022     S.org-X
    u2022     DC -10
    u2022     D-00
    Vendor Master for Plant u2013A
    u2022     Vendor u2013A
    u2022     CC- B
    u2022     P.org = 1000
    u2022     Additional purch data/Extrac = A
    u2022     Under control tab, Customer = A
    Vendor Master for Plant u2013B
    u2022     Vendor u2013B
    u2022     CC- A
    u2022     P.org = 1000
    u2022     Additional purch data/Extrac = B
    u2022     Under control tab, Customer = B
    When i try to create a STO with document type NB, it says shipping data can't be determinded. Ofcourse , the material is being maintained for both plant with sales data. thank you so much for ur help.

    this is because of of shipping point is not determined, maintain shipping point for the following combination
    1)The shipping conditions from the customer master record (Shipping screen)
    2) The loading group from the material master record (Sales/Plant Data screen)
    3)The delivering plant
    Regards,
    Bala

  • GR for a STO with SD delivery and Batches with split valuation X

    Hello,
    We have a problem with the Goods Receipts for Stock Transfer Orders between plants for materials subject to batch split and split valuation with valuation type X.
    The scenario is very similar to the one explained on this thread: STO:problem with batch valuated material
    When creating the the STO, it automatically sets a valuation type that is not be the appropriate one, we cannot use only one valuation type per position because we can use more than one batch (and valuation type). The outbound delivery has the correct valuation types for each batch and material but when doing the GR at the receiving plant, it only takes into account the valuation type indicated in the STO with no chance to change it.
    I have seen the Note 212532 but we are not working with active ingredients.
    Does anybody know a useful EP to use?
    Thanks in advance for your help.
    Regards,
    Javier.

    Well, we can change the valuation type before Posting the goods issue of the delivery, but in most cases we need more than one batch (each batch has a different valuation type) for each item (material) in the purchase order.
    We can do this at delivery level but the GR only takes into account the valuation type of the purchase order.
    Thanks.

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