Intercompany sale transaction

Hi all
I am working with intercompany sale transaction and i am having an error
My org structure is c.c 1573 sales org 0003 d.c 04 div 00 plant 1002
Another org strcture is 1574 sales org 0009 d.c 09 div 00 plant is 1006
Customer 70000101 in sales area 0003,04,00
Customer 70000102 in sales area 0009,09,00
Material X is maintained for both the plants and stock is kept only in plant 1006 assigned c.c1574
Now i enter an order for material x from Customer 70000101 in sales area 0003,04,00 assigngned to c.c1573
I have done all settings
I am able to create delivery from plant 1006 assigned to c.c1574 and bill this customer f2 bill from my sales org 0003
Pricing procedue is RVAA01
Now comes my problem
I am able to create a inter company billing based on only the customers inv as referance that is billing doc
When i try to create inter company billing  based on delivery it throwing an error as sales org not defined
And also in the intercompany inv created the header is 70000101 and not the sales org 0003 and pricing procedure  also RVAA01 and not ICAA01
What is that i am missing in customizing
Raja

Now comes my problem
I am able to create a inter company billing based on only the customers inv as referance that is billing doc
When i try to create inter company billing based on delivery it throwing an error as sales org not defined
Considering that Standard settings are already present, go to VF01 and select Billing Type IV  and you should be able to create an Intercompany Invoice against delivery.
Alternatively, go to VF05 and check on option Intercompany Billing or IV. This option is probably available after the option of Order Related Billing and Delivery Related Billing. It is possible to create Billing Document in Background from VF04.
And also in the intercompany inv created the header is 70000101 and not the sales org 0003 and pricing procedure also RVAA01 and not ICAA01
Check the OVKK assignment for determination of Pricing Procedure. Ensure to check the Document pricing Procedure in Inter-Company Billing Type IV.
Regards,
Rajesh Banka

Similar Messages

  • How to configure intercompany sales

    hi gurus,
    can you please tell me how to setup an intercompany sales?  i have 2 plants from diff company codes and they would like to have orders from each other. what are the things that i need to setup to be able to do this? and what are the recommended business process for this transactions? im thinking scheduling agreement would fit this setup?
    thanks,
    paul

    hi,
    Inter company sales and business processing
    An Intercompany sale transaction takes place when a sale occurs & the selling sales orgn belongs to a different company code than that of the delivery plant.
    Intercompany business processing describes business transactions, which take place between two companies (company codes) belonging to one organization. The ordering company orders goods from a plant, which is assigned to another company code.
    Ordering company Supplying company
    Company code: 5555 1000
    Sale Organisation: 5555 PBIL
    Distribution channel: 56 PW
    Division: 58 GC
    Plant: 5555 1000
    Customer: 215 Product: Nimulid
    • Ent Stru- Assignment- SD- Assignment- SD- Assign Sales Orgn: Distbn Channel- Plant
    Sales Orgn Distbn Channel Plant
    PBIL PW 1000/ 5555
    5555 56 5555/ 1000
    • SPRO- IMG- SD- Billing- Intercompany Billing:
    o Define Order types for Intercompany billing
    o Assign organizational units by plant
    o Define internal customer no by sales orgn
    • Assign Sales Doc relevant for Intercompany billing
    IVo POR
    IVo OR
    • Assign Organizational Units by plant: assign sales area of ordering company to the delivery plant.
    o 1000 5555 – 56- 58
    Plant Descp Sales Orgn Descp Distbn Descp Division Descp
    1000 5555 56 55
    • Define internal customer no by sales orgn: create the customer of the ordering company in the company code of the delivering plant, but with the sales area of the ordering the company
    Sales Orgn Descp Customer Inter Comp Descp
    PBIL 215
    • Pricing procedure: PI01 (Intercompany pricing)
    • Determination Rule: OVKK
    PBIL PW GC A 1 RVAA01
    PBIL PW GC I 1 ICAA01
    • VK11: PI01
    • Create Order: VA01: POR: 5555-56-58: customer- 215, product- Nimulid, supplying plant: 1000.
    • Delivery
    • Goods issue
    • Invoice for customer
    • Invoice Intercompany billing
    Processing an Intercompany sale
    To create an Intercompany sales transaction proceed with creating the standard sales order. In the sales order, change the delivering plant at the line item level & create a delivery for the new shipping point represented for the delivering plant. Proceed with the delivery functions of selecting the packing & posting the goods issue. Then create an external invoice that will be sent to the customer & create an Intercompany invoice. That will represent the billing doc between the delivering plant & the selling sales orgn.
    An internal Intercompany invoice can be created by entering the delivery no again for processing when using the transaction VF01. One can also select the doc due for Intercompany billing by using the billing due list VF04. When using the billing due list be sure to select the Intercompany-billing doc as the documents to be used, by checking Intercompany billing.
    A Check List for Intercompany sales processing can be the following:
    The enterprise structure must be maintained correctly, i.e., the plants must be assigned to the correct company codes as well as to the correct combination of sales orgn’s & distbn channels.
    The Intercompany customer must be assigned to relevant
    sales orgn’s
    The delivering plant must be assigned to the sales orgn.
    The material to be sold must exist in the original & delivering plant.
    The sales order must be relevant for Intercompany sales & have an assigned billing doc type
    The copy control rules must be defined between the standard invoice, such as F2, & the inter company invoice, such as IV.
    The pricing proc may have a special cond type assigned to it.
    This special cond type may represent the price to
    Intercompany sales orgn or it may represent a special discount offered to the Intercompany sales orgn for the material sold
    The standard system has the following cond types:
    To represent the Intercompany price as quantity-dependent.
    To represent the Intercompany condition as percentage.
    regards
    sadhu kishore

  • How will i configure intercompany sales order

    pls tell me how will i configure for intercompany sales order

    Hi,
    Intercompany Sales & Business Processing
    An Intercompany sale transaction takes place when a sale occurs & the selling sales orgn belongs to a different company code than that of the delivery plant.
    Intercompany business processing describes business transactions, which take place between two companies (company codes) belonging to one organization. The ordering company orders goods from a plant, which is assigned to another company code.
    Ordering company Supplying company
    Company code: 5555 1000
    Sale Organisation: 5555 PBIL
    Distribution channel: 56 PW
    Division: 58 GC
    Plant: 5555 1000
    Customer: 215 Product: Nimulid
    • Ent Stru- Assignment- SD- Assignment- SD- Assign Sales Orgn: Distbn Channel- Plant
    Sales Orgn Distbn Channel Plant
    PBIL PW 1000/ 5555
    5555 56 5555/ 1000
    • SPRO- IMG- SD- Billing- Intercompany Billing:
    o Define Order types for Intercompany billing
    o Assign organizational units by plant
    o Define internal customer no by sales orgn
    • Assign Sales Doc relevant for Intercompany billing
    IVo POR
    IVo OR
    • Assign Organizational Units by plant: assign sales area of ordering company to the delivery plant.
    o 1000 5555 – 56- 58
    Plant Descp Sales Orgn Descp Distbn Descp Division Descp
    1000 5555 56 55
    • Define internal customer no by sales orgn: create the customer of the ordering company in the company code of the delivering plant, but with the sales area of the ordering the company
    Sales Orgn Descp Customer Inter Comp Descp
    PBIL 215
    • Pricing procedure: PI01 (Intercompany pricing)
    • Determination Rule: OVKK
    PBIL PW GC A 1 RVAA01
    PBIL PW GC I 1 ICAA01
    • VK11: PI01
    • Create Order: VA01: POR: 5555-56-58: customer- 215, product- Nimulid, supplying plant: 1000.
    • Delivery
    • Goods issue
    • Invoice for customer
    • Invoice Intercompany billing
    Processing an Intercompany sale:
    To create an Intercompany sales transaction proceed with creating the standard sales order. In the sales order, change the delivering plant at the line item level & create a delivery for the new shipping point represented for the delivering plant. Proceed with the delivery functions of selecting the packing & posting the goods issue. Then create an external invoice that will be sent to the customer & create an Intercompany invoice. That will represent the billing doc between the delivering plant & the selling sales orgn.
    An internal Intercompany invoice can be created by entering the delivery no again for processing when using the transaction VF01. One can also select the doc due for Intercompany billing by using the billing due list VF04. When using the billing due list be sure to select the Intercompany-billing doc as the documents to be used, by checking Intercompany billing.
    A Check List for Intercompany sales processing can be the following:
    The enterprise structure must be maintained correctly, i.e., the plants must be assigned to the correct company codes as well as to the correct combination of sales orgn’s & distbn channels.
    The Intercompany customer must be assigned to relevant sales orgn’s
    The delivering plant must be assigned to the sales orgn.
    The material to be sold must exist in the original & delivering plant.
    The sales order must be relevant for Intercompany sales & have an assigned billing doc type
    The copy control rules must be defined between the standard invoice, such as F2, & the inter company invoice, such as IV.
    The pricing proc may have a special cond type assigned to it. This special cond type may represent the price to Intercompany sales orgn or it may represent a special discount offered to the Intercompany sales orgn for the material sold
    The standard system has the following cond types:
    To represent the Intercompany price as quantity-dependent.
    To represent the Intercompany condition as percentage.
    regards,
    sadhu kishore

  • Inter company sales transaction

    Hi Experts,
    I have completed doing intercompany sales transaction....besides there are few question croping up which I wud like to post here...
    1)How inter company billing doc type IV  is able to determine ordering company as a payer at the time when I tried to create IV document(intercompany billing doc)..?
    2)How sales area is determined?....bcoz am creating IV with reference to del doc which has end customers sale area...but I can see ordering company's sale area in IV doc...how it is?
    3)might be this question sud  hav taken the priority first  but still...how billing type IV is determined automatically after creting F2 doc?.......
    Thanks in advance

    Hi
    3)might be this question sud hav taken the priority first but still...how billing type
    IV is determined automatically after creting F2 doc?.......
    In the configuration of sales doc type in VOV8 in the billing tab we maintain intercompany billing type as IV
    Config is maintained here
    In Inter company sales transaction in the end customers sales order we change the delivering plant which belongs to different company code
    Customer ABCD orders sales org 1000 belonging to company code 1000
    But plant 2000 belonging to company code 2000 delivers the material
    So in the sales order of 1000 sales org when the delivering plant is falling as 2000 system senses it is Inter company sales and proposes billing type accordingly
    1)How inter company billing doc type IV is able to determine ordering company as a
    payer at the time when I tried to create IV document(intercompany billing doc)..?
    Billing type IV is used per default for the internal invoice. This is proposed
    based on the document type of the order.
    In principle, the payer of the internal invoice corresponds to the ordering
    company code, which appears like a customer to the supplying company
    code.
    For this reason, you create a customer master record in the supplying
    company code. You enter the relevant data for billing in this customer
    master record. Finally, you assign the related customer number of the
    sales organization of the ordering company code in Customizing (field
    Customer IV).
    The company code in the internal invoice results from the company code
    affiliation of the supplying plant. It thus corresponds to the supplying
    company code.
    In Customizing, you assign the sales area necessary to create the internal
    invoice to the supplying plant
    I am not able to get clearly your qn 2. exactly your query
    Try to read GLYNN C WILLIAMS materials in  Inter company sales transaction
    That is very clear
    Regards
    Raja
    Note For 1 of your thread  which was closed today i asked you how did you fix the issue
    Pls reply to that There is so much to learn from your reply

  • Credit Memo Request for intercompany sales process

    Hi Experts
    I try to find SAP notes regardsing the credit memo request for intercompany related issue but I can
    not find any nates. The customer return the goods with 2 different
    scenario :-
    -Return with credit
    -Return with replacement.
    Can anybody explain how this 2 scenario perform in the SAP
    intercompany sales process. Appreciate for your help. Thanks in advance.
    Regards,
    Jennie Tan

    Already answered
    Enter IG (internal credit memo) as the billing type for intercompany
    billing for order type RE.
    Cust-Sales/distrib-Transactions-Billing-Intercompany billing-Order types
    Intercompany billing always refers to a delivery
    Processing flow will be:
    1. Create returns request invoice receipt (with or w/out reference)
    2. Create returns delivery and goods receipt
    3. Create credit memo invoice receipt for customer for 1.
    4. Create internal credit memo for 2.
    Therefore you must make the following entries in the document flow
    for billing documents:
      Target BillType        DlvType              ItemCat
    a)    IG                  LR
    b)    IG                  LR                    REN
    Parameters for entries:
    For a) Copying requirement:  14  Dlv.-rel.header IV
          Copy item no.: x  (Check and decide yourself)
    For b)Copying requirement: 15 Dlv.rel. item IV
          Data VBRK/VBRP      : 1  Inv.split (sample)
          Billing quantity    : B
          Qty/itm val.pos/neg : +
          Pricing type        : G
    Also, refer following SAP Notes
    13160 - Returns with intercompany billing
    24756 - Credit memo requests with inter-company billing
    652007 - Reporting internal credit memos on arrival side
    11980 - Intercompany billing with order-related billing document
    164074 - Problems for internal invoices on returns
    Thanks & Regards
    JP

  • Intercompany sales and stock transfer enhancement at billing level

    Dear Gurus ,
    Business requirement is to process intercompany sales and stock transfer for both divisions PB & RB, but in standard SAP we can assign only one division in the configuration. So need development to determine division on the basis of material division and not from configuration.
    What is the ehancement we  can use for the same ? To determine division from the material  master at the time of intercompany invoice .
    Note : We are not using common division concept .....here.
    Looking for your inputs ....
    Thanks and regards
    Venkat

    HI Garima ,
    Plz check the following steps
    CONFIGURATION SETTINGS
    Assign Delivery Plant of the supplying company code to Sales Org + Distribution channel of the Ordering company code in the Enterprise Structure.
    DEFINE ORDER TYPES FOR INTERCOMPNY BILLING:
    Menu path: IMG/ SD/Billing/Intercompany Billing/Define Order Types for Intercompany billing
    Assign Organizational units by Plant:
    Menu Path: IMG/ SD/Billing/Intercompany Billing/Assign Organizational units by Plant.
    Define Internal Customer Number By Sales Organization:
    Menu Path: IMG/ SD / Billing/ Intercompany Billing/ Define Internal Customer Number By Sales Organization:
    Creating / Showing Ordering Sales Organization as Internal Customer for Supplying Company code:
    Transaction Code: XD01
    The ordering sales organization is represented as Internal customer of Supplying company code.
    We need to create customer master in Account Group - Sold to Party and maintain minimum required financial & Sales Area data.
    This internal customer number has to be assigned to the ordering sales organization. Hence, the system automatically picks up this Internal customer number whenever there is Intercompany billing.
    In the  above mention configuration steps you are missing  the second step in your confirguration 1.e the reason  your  getting that error
    Best regards
    Venkat

  • ACCOUNT DETERMINATION "INTERCOMPANY SALES &3RD PARTY SALES" -kishore,AK ,

    HI ,
       Rajesh , Kishore , AK ,
          well 2day  i had   client interview ,  he was very much stressing on " ACCOUNT DETERMINATION  " process  in intercompany sales , both in ordering comapny  and delvering plant .
           At the same time  account determination  for 3rd party sales . well got some docs had  brief capsule study , still stuck up . 
       can u pl throw  come clarity .
    Regards,
    jerry

    Dear Jerry
    Inter-Company Scenario in SAP is quite different than its literal meaning.
    Inter-Company means, customer gives order to company code A (PlantA), but Plant A is not having stock, so it passes on to Plant B(CoCd B).So in Sales order of A you enter Plant B.
    So now goods are delivered by Plant B to Customer and commercial invoice for customer is from CoCd A.
    Cocd B just gives inter company invoice.
    Now Comming to account determination , it totally depends on pricing procedure as account keys are there. There is not much difference from standard scenario, but you can have seperate G/L Accounts
    If you are talking about <b>sales between different company codes</b>, then this can be handled having different sales document and thus different pricing procedure, you can ask customer , what is there requirement. and can say that it is like normal sales cycle only
    <b>Third-Party Processing</b>
    1) two standard process provided by SAP in the frames of the third-party processing:
    a) pure third-party process: X creates the sales order, automatically purchase requision and later a purchase order will be created at the vendor. Then the vendor sends the goods directly to your customer and send the invoice to X. The company X creates the invoice to the customer Y.
    b) individual purchase order: the same process, but the vendor sends the goods not to the customer directly, but first to X, and then the company X delivers the goods to the customer Y. The invoice is coming from Z to X (transaction MIRO), and then X creates invoice to Y.
    you can refer the accounting document to get Idea of account determination
    Regards
    Jitesh

  • Intercompany sales and sales process exc Duty for Netherlands and Belgium

    Can anyone explain me the sales and intercompany sales process where materials are excise Duty relevant for Netherlands and Belgium ? That means sales is done via the Netherlands for Netherlands and Belgium ? How are the different tax rates configured for the different countries ?

    HI Garima ,
    Plz check the following steps
    CONFIGURATION SETTINGS
    Assign Delivery Plant of the supplying company code to Sales Org + Distribution channel of the Ordering company code in the Enterprise Structure.
    DEFINE ORDER TYPES FOR INTERCOMPNY BILLING:
    Menu path: IMG/ SD/Billing/Intercompany Billing/Define Order Types for Intercompany billing
    Assign Organizational units by Plant:
    Menu Path: IMG/ SD/Billing/Intercompany Billing/Assign Organizational units by Plant.
    Define Internal Customer Number By Sales Organization:
    Menu Path: IMG/ SD / Billing/ Intercompany Billing/ Define Internal Customer Number By Sales Organization:
    Creating / Showing Ordering Sales Organization as Internal Customer for Supplying Company code:
    Transaction Code: XD01
    The ordering sales organization is represented as Internal customer of Supplying company code.
    We need to create customer master in Account Group - Sold to Party and maintain minimum required financial & Sales Area data.
    This internal customer number has to be assigned to the ordering sales organization. Hence, the system automatically picks up this Internal customer number whenever there is Intercompany billing.
    In the  above mention configuration steps you are missing  the second step in your confirguration 1.e the reason  your  getting that error
    Best regards
    Venkat

  • Intercompany sales/billing - trading partner functionality

    Hi Guys,
    I understand the theory of trading partner.
    But if anyone can give me an example (accounting entries) of trading partner in intercompany sales/billing..that would be very helpful.
    Thanks and Regards,
    MS

    Hi Roman,
    As you said, trading partner functionality in SAP is an excellent tool for inter-company transactions and elimination of intercompany payables and receivables for consolidation purposes.
    1. The pieces of configuration / master data maintenance you need are:
    a. SPRO -> SAP Reference IMG (F5) -> Enterprise Structure -> Definition -> Financial Accounting -> Define Company (OX15)
    b. SPRO -> SAP Reference IMG (F5) -> Enterprise Structure -> Assignment -> Financial Accounting -> Assign company code to company (OX16)
    c. SPRO -> SAP Reference IMG (F5) -> Financial Accounting -> Financial Accounting Global Settings -> Document -> Document Header -> Define Document Types (OBA7) - Here, for document types you want to use for inter-company postings, you may want to check the checkboxes 'Inter-company postgs' and/or 'Enter trading partner'.  Read the SAP Help Documentation on these fields (press F1 when on the field).
    d. Create your sister concerns as customers and vendors (preferably under an account group different from your external customers/vendors) and specify the Company you have created in (a) above in the Trading Partner field of Control data tab.
    e. Enter Trading Partner in relevant G/L accounts (FS00) in Type/Description tab -> 'Consolidation data in chart of accounts' section.
    f. Consider substitution rules (OBBH) for substituting Trading Partner in required transactions.
    2. Things to consider for implementing the Trading Partner functionality for entities already performing day to day transactions on SAP.
    I am not pretty sure about this, but I guess it is better to go for the change after you end a fiscal year and from the beginning of the next.
    3. I think it is better to enable this functionality for everyone on SAP at once.
    Good luck!
    Srikanth

  • Intercompany Sales settings

    Hi,
    Can anyone please tell me in brief the necessary and mandatory settings required in case of Intercompany Sales Scenario?
    I checked few threads but couldn't get a satisfactory answer.

    Hi christino,
    INTER COMPANY BILLING
    Definition:
    A company arranges direct delivery of the goods to the customer from the stocks of another company belonging to the same corporate group.
    To put in simple terms,
    Company code A orders goods through its sales organization A from Plant B belonging to Company code B.
    It is imperative that both Plants A & B should have the material. In other words, the material is created for both the Plants A & B + their respective storage locations.
    Sales Organizations and Plants are uniquely assigned to Company codes. It is not possible to assign either a plant or a sales organization to more than one company code.
    Sales organizations and plants assigned to each other need not belong to the same company code.
    In other terms,
    a plant belonging to Company code A & assigned to Sales Organization A can also be assigned to Sales Organization B of Company Code B.
    This enables cross company sales.
    PARTIES INVOLVED
    1) End Customer 2) Ordering Company code 3) Supplying Company Code.
    CONFIGURATION SETTINGS
    Assign Delivery Plant of the supplying company code to Sales Org + Distribution channel of the Ordering company code in the Enterprise Structure.
    DEFINE ORDER TYPES FOR INTERCOMPNY BILLING:
    Menu path: IMG/ SD/Billing/Intercompany Billing/Define Order Types for Intercompany billing
    Assign Organizational units by Plant:
    Menu Path: IMG/ SD/Billing/Intercompany Billing/Assign Organizational units by Plant.
    Define Internal Customer Number By Sales Organization:
    Menu Path: IMG/ SD / Billing/ Intercompany Billing/ Define Internal Customer Number By Sales Organization:
    Creating / Showing Ordering Sales Organization as Internal Customer for Supplying Company code:
    Transaction Code: XD01
    The ordering sales organization is represented as Internal customer of Supplying company code.
    We need to create customer master in Account Group - Sold to Party and maintain minimum required financial & Sales Area data.
    This internal customer number has to be assigned to the ordering sales organization. Hence, the system automatically picks up this Internal customer number whenever there is Intercompany billing.
    PRICING:
    We need to maintain two pricing procedures RVAA01 & ICAA01. Pricing procedure RVAA01 represents condition type PR00 & any other discounts or surcharges that are meant for end customer.
    We assign Pricing procedure RVAA01 to combination of Sales area (Of Ordering company code) + Customer Pricing Procedure + Document Pricing Procedure of Sales document type.
    This pricing Procedure (RVAA01) is determined both at Sales Order level & Billing processing for the end customer. We maintain PR00 condition type to represent the ordering company code's price to the end customer.
    Condition records for PR00 are maintained using organizational elements of Ordering company code, end customer & the Material.
    Eg: Sales Org. of Ordering company code + End customer + Material.
    We also need to maintain PI01 condition type to represent costs to Ordering company code (in other words revenue to supplying company code). It is statistical condition type & meant for information purpose only.
    Condition records for PI01 are created with the following key combination:
    Ordering sales Org + Supplying Plant + Material
    Pricing Procedure ICAA01is determined at Intercompany billing processing level.
    Pricing Procedure ICAA01 - Pricing Procedure for Inter company billing is assigned to the combination of:Sales Area (of supplying company code) + Document pricing Procedure of Billing document type IV + Customer Pricing Procedure of the Internal customer.
    Pricing Procedure ICAA01 has condition type IV01 that represents revenues for Supplying company code in the intercompany billing.
    PR00 condition type also appears in Intercompany billing document. It is for information purposes only and does not have bearing on the value of the document.
    PI01 represented under pricing procedure RVAA01 is reference condition type for IV01 and the same is defined in the condition type IV01. Due to this these two condition types represent same value.
    The condition type IV01 in intercompany billing document represents revenue to the Supplying Company. But its corresponding condition type PI01 in the billing document to the end customer is shown as a statistical item meant for information purposes.
    Condition Type VPRS in the intercompany-billing document indicates cost to the supplying company code.
    The use of two different condition types in Intercompany billing is necessary to ensure that data is transmitted correctly to the financial statement (Component CO-PA).
    Regds,
    Rupali

  • Intercompany sale - how can i assign , more than 1 sales org of diff compan

    Hi,
    I have
    comp1 - Sales org 1 - plant 1
    comp2 - Sales org 2 - plant 2
    comp3 - Sales org 3 - plant 3.
    Now i want to do Intercompany sale of Sales org2 with plant 1 & Intercompany sale of sales org3 with plant 1.
    For that how can i assign , more than 1 sales org of diff company codes to Plant1 ??
    Does SAP allow to do intercompany sale for more than 1 diff sales orgs ??
    Thanks for immediate response.
    Nitin

    Hi nitin,
    as per your scenario,
    Company code 1 orders goods through its sales organization 1 from Plant 2 belonging to Company code 2.
    It is imperative that both Plants 1 & 2 should have the material. In other words, the material is created for both the Plants 1 & 2 + their respective storage locations.
    Sales Organizations and Plants are uniquely assigned to Company codes. It is not possible to assign either a plant or a sales organization to more than one company code.
    Sales organizations and plants assigned to each other need not belong to the same company code.
    In other terms,
    a plant belonging to Company code 1 & assigned to Sales Organization 1 can also be assigned to Sales Organization 2 of Company Code 2.
    CONFIGURATION SETTINGS
    Assign Delivery Plant of the supplying company code to Sales Org + Distribution channel of the Ordering company code in the Enterprise Structure.
    DEFINE ORDER TYPES FOR INTERCOMPNY BILLING:
    Menu path: IMG/ SD/Billing/Intercompany Billing/Define Order Types for Intercompany billing
    Assign Organizational units by Plant:
    Menu Path: IMG/ SD/Billing/Intercompany Billing/Assign Organizational units by Plant.
    Define Internal Customer Number By Sales Organization:
    Menu Path: IMG/ SD / Billing/ Intercompany Billing/ Define Internal Customer Number By Sales Organization:
    Creating / Showing Ordering Sales Organization as Internal Customer for Supplying Company code:
    Transaction Code: XD01
    The ordering sales organization is represented as Internal customer of Supplying company code.
    We need to create customer master in Account Group - Sold to Party and maintain minimum required financial & Sales Area data.
    This internal customer number has to be assigned to the ordering sales organization. Hence, the system automatically picks up this Internal customer number whenever there is Intercompany billing.
    Thanks,
    Raja

  • Missing COPA in intercompany sales

    Hi,
    We are unable to get COPA documents posted for our intercompany sales.
    Please find details in the attachment, for your kind reference.
    Once we simulate the billing document in Transaction KE4ST for
    simulated the billing document. Its giving the error message
    as” Document "9827798" is not profit-related and thus could not be
    transferred"
    I request You pls help us by suggestion/notes for resolving this
    error. Your valuable help are highly appreciated.
    Regards
    John

    In order to create this in a billing document you'll need customers for intercompany. You should have your conditions going to a revnue account  and not a balance sheet account for this to post to COPA. You can also use PCA transfer pricing which is specifically for intercompany sales type transactions.
    pls assign points to say thanks.

  • Intercompany sales process among three or more company codes?

    I have the business scenario , inter company  sales  transaction among  three company codes ,
    pls let me know how to configure and get the tracking of reports.
    Thanx and regards,
    Amar

    Hi Amar,
    3 company codes?
    In SAP you have intercompany between 2 company codes with 2 special processes: Intercompany Sales and Intercompany Purchase Order.
    Could you please explain your business scenario?
    Regards,
    Franck

  • Intercompany sales order : OD with error " Enter Purchase Order "

    Hi,
    I am creating a intercompany sales order with movement type : 645. Now when i am performing the Goods Issue. it is giving a error
    MSG          Area        Message type              Message Text
    018            M7           E                                Enter Purchase Order
    I have checked all the configuration regarding the movement type, screen layout. No where purchase order is maintained as mandatory.
    Thanks in Advance
    Regards
    Ashish Philip

    Hi Ashish,
             It may be worthwhile checking OMCQ Tcode to see if there are any custom versions for Application Area M7 with Error Message Category as "E" for Message 018.
    MM -> Inventory Mgmt & Physical Inventory -> Define Attributes for System messages.
    Also check if your user id has the parameter MSV in Su01d transaction.
    Hope it helps
    BR,
    Aram.

  • Authorization for Intercompany Sales

    Hi,
    I have an intercompany situation, company A and company B. UserA can perform sales transaction for company A only. Now with intercompany sales, i want UserA to view sales order for company B but cannot see the pricing condition for company B.
    May I know how to perform authorization for this?
    UserA have authorization for sales org A. How to restrict pricing condition to sales org A only, but still can view sales order for sales org B?
    regards,
    zl

    Hi,
    VA03.
    UserA can VA03 for all Sales Order for Sales Org A. For Sales OrgB, UserA can view using VA03 but the pricing condition tab should not be accessible.
    How to do this?
    Thank you.
    regards,
    zl

Maybe you are looking for

  • Can I save my files from a failing hard drive?

    Sorry if this is kind of long. I booted up the system off the Mac OS X disc after getting startup errors. I ran the Disk Utility and it could not verify or repair the hard disk. S.M.A.R.T. status reads "failing" in red. My best guess it that the hard

  • Problem with PDF export in CC

    When exporting to pdf in Photoshop CC in CMYK, Acrobat opens it with a blank page and the message that it's out of memory. Exporting the same file as RGB opens fine. Any ideas? Exporting as CMYK has worked fine in all the previous versions of Photosh

  • Changing IIS log file rollover period

    Hi, I have a question that I hope that someone could help me with. I have an Azure Cloud service running a web role. I want to change the IIS access log file rollover from hourly to daily. The way I approach this is to create a Startup task in this w

  • Find user that enter to program

    Hi, i wont to find user number that enter to program, how i can do that? regards

  • Final Cut Pro X to Logic Pro X....on another computer

    Maybe someone here can help me. I have found many pieces of what I need to export an XML from Final Cut X & import it to Logic Pro X.....except....how in the world do I do this process if I need to get the XML AND associated files to my audio editor