Logistics Extractor for NW04S ( SALES, BILLING , PAYMENT etc)

Hi,
  I would like to know whether the same set of logistics extractor( example 2LIS_11_VAHDR, 2LIS_11_VAITM )  that were used in 3.5BW as well as the Old table( like VBAK, VBAP for sale order header and item etc) are still used in BI for NW04S?
Also Can anybody let me know the a> Data source b> Data store/cube etc c> Additional configuration for the logistic cockpit to enable the following in NW04S
1> Sales Doc (header, detail, schedule line, condition)
2> Billing, credit and debit memo
3> Acct Payables payments
Thanks in advance
BPSIP

Hi,
I dont think it has changed in NW04S.
Refer.
LO Cockpit (Use transaction LBWE)
/people/vikash.agrawal/blog/2006/12/18/one-stop-shop-for-all-your-lo-cockpit-needs
https://www.sdn.sap.com/irj/sdn/weblogs?blog=/pub/u/21406 [original link is broken] [original link is broken]
/people/sap.user72/blog/2005/09/05/sap-bw-and-business-content-datasources-in-pursuit-of-the-origins
To understand LO extraction go through these weblogs by Roberto
/people/sap.user72/blog/2004/12/16/logistic-cockpit-delta-mechanism--episode-one-v3-update-the-145serializer146
/people/sap.user72/blog/2004/12/23/logistic-cockpit-delta-mechanism--episode-two-v3-update-when-some-problems-can-occur
/people/sap.user72/blog/2005/01/19/logistic-cockpit-delta-mechanism--episode-three-the-new-update-methods
/people/sap.user72/blog/2005/02/14/logistic-cockpit--when-you-need-more--first-option-enhance-it
/people/sap.user72/blog/2005/04/19/logistic-cockpit-a-new-deal-overshadowed-by-the-old-fashioned-lis
Thanks,
JituK

Similar Messages

  • COPA document is not generating for import sales billing document.

    Hi Gurus,
    At the time of billing i got an error that condition type is not assigned to COPA. I assigned the condition type in KE4I and the entry posted but no COPA document generated.
    Why the COPA document not generated?
    Is there any link between billing type and COPA? if yes, then where we link the same to copa!
    Note:- COPA document is generating for other billing documents.
    What are the criterias for system to determine the generation of COPA documents?
    It is urgent.
    Regards,
    Ramakanta

    Hi ,
    I am really very much appreciate your cooperation for the issue.
    When i try the same through KE4S in test run system is showing the below lines.....
    Number of billing documents read:                        1
    Number of line items to be transferred:                  0
    No. of billing doc. items already transferred:           0
    Number of billing docs with errors:                      0
    Note:- Number of line items to be transfered  0  then there is nothing to transfer to COPA.
    Please suggest.

  • Standard Extractor for Sales Overview report

    Hi Experts,
    Can you all please help me in finding the Standard Extractor for Sales Overview Report, fields like Product Group, Product, Net Sales, Billed Qty, Sales Plan, % Variance Plan etc are present in this report, i tried to search this in transaction RSA5 but wasnt able to find it. Also, if there is no std extractor then can you please provide me the name of the database table so that i can create a generic datasource on it.
    Thanks & Regards,
    Amit Naik

    Hi Sathya,
    I have received an initial Requirement from the Client (Please refer the list below), It gives us the Report Name & the fields involved in it, i need to tell them the feasibility, can you help me on this? Are there any std reports available for the same?
    Report                          Possible fields
    On Time Delivery-     Month to date on time in full, Year to date on time in full
    Pick Performance-     Days from Pick List Receipt to Despatch
    Delivery Performance-     Days from Order receipt to despatch
    Costs-                          Total Cost per unit despatched,Labour Cost per unit despatched,Monthly spend vs budget by cost centre
    Stocks-                          Openshaw Stock Volume vs budget,Openshaw Stock Value vs budget,Stock Movement by product / range month on month,Stock Turn
    Returns-                          Volume and Value by major type
    Orders in Pick-     Volume and Value
    SMU-                          Outstanding Special Make Up Work
    PI -                          Percentage bins 100% accurate
    Space-                          Count of empty bin locations     
    Progress to Budget for month-     Budget, Forecast and latest estimate.,Invoiced to date, in pick, outstanding,Shortfall to find.
    Profit and EBITDA-     By Brand / Customer / Account
    Monthly pack     -                     Equivalent
    Outstanding PO's-     Volume and Value, by brand / category,Expected receipts this week,View of inbound scheduler (Empirica)
    Vendor Management-     Value of PO's with major vendors,Vendor on time delivery,Vendor Rejections / QC problems
    In Bound Carriage-     Cost of Carriage for month vs budget,Airfreights agreed,PO's Inbound
    Out of Stock Report-     Items where there is zero or projected to be zero stocks,Back Order volume value
    Progress-                          Number of designs in development,Number of designs late against Critical Path
    Thanks & Regards,
    Amit Naik
    Edited by: Amit Naik on Sep 20, 2010 9:28 AM
    Edited by: Amit Naik on Sep 20, 2010 9:35 AM
    Edited by: Amit Naik on Sep 20, 2010 9:38 AM
    Edited by: Amit Naik on Sep 20, 2010 9:43 AM

  • Two different billing document types for 1 sales document type.

    Hi Gurus,
    I have a requirement , wherein our client is having counter  sale.
    He is using one sales doc type , and while creating a order , he is manually adding payment terms.
    Requirement is , if the payment terms are cash, billing doc type created later on should be one , else during credit sales , billing document type should be different.
    As per my understanding this is not possible.
    Want to know if anyone has some different thought on this.
    Thanks in advance
    Nilesh.

    Dear Nilesh,
    There two options you can look in to
    One option is
    1.You can define different sales document types for cash and credit.
    2. You can define two different billing documents.
    3.Do the copy control settings for each combination
    Cash sales order >Delivery>Cash invoice
    Credit sales order >Delivery>Credit invoice
    Second option is
    1. You can maintain single sales document for both the processes.
    2.Define two different billing types then do the copy control settings for both billing types.
    But in this option user need to select the billing type manually based on the process while creating billing document.
    I hope this will help you,
    Regards,
    Murali.

  • I have a new Samsung phone and I live in CT. Last month they charged me $38 on my bill for the sales tax for the new phone which was $600. I'm paying for the phone itself over 20 installments of $30 each.  Now again I'm getting that same $38 charge. I can

    I have a new Samsung phone and I live in CT. Last month they charged me $38 on my bill for the sales tax for the new phone which was $600. I'm paying for the phone itself over 20 installments of $30 each.  Now again I'm getting that same $38 charge. I can't  believe that the monthly CT tax is higher than the payment for the phone itself. Does this make sense. Last time I spoke with them on the phone it was for 1 1/4 hours for something simple. I don't want to call unless I need to. The salesman told me nothing about any of this. Thank you for any help you can offer.

    The bill from last month states:
    CT state sales tax**     $38.10
    ** In some states sales tax or surcharges are calculated on the full cost of the full retail price or VZW cost of the device you purchased and not on the discounted price you pay. The sales tax or surcharges charged on your device was based on $599.99 and appears on this first bill.
    The current bill says the same.
    Actually, now I'm realizing that last month's bill stated I was making the first payment toward the phone. Now this month also says it's the first payment toward the phone when it's really the second.

  • Account determination procedure for cash billing & payment cards

    HI experts
    i want to know know what are the configuration steps of account determination procedure for cash billing & payment cards

    Hi Surya,
    Have you assigned Billing type For Ex: F2 or F1 to respective Sales Order Type in Sales Document Type controls VOV8.
    Assign these F2 against Delivery Related billing and F1 is for Order Related billing.
    Assign KOFI0000 to respective Billing Types F2 and F1.
    And check, hope issue may resolve.
    Revert if u have any query.
    Regards
    Durga sana.

  • Billing document for multiple sales orders

    Hi All,
    I am in to ECC 6.0. How can i get single billing document for multiple sales orders?
    Can anyone tell me those configuration settings?
    Thanks
    Patel J

    Dear Jaganath,
    For Single Invoice, for multiple Sales Order, following details must be same:
    1. Sales Document Type for all Sales Order must be same
    2. Payer
    3. Incoterms
    4.Payment Term
    5. Account Assignment Grp - Customer
    6. Billing Date
    7. Exchange Rate
    8. Foreign Trade Data
    Now, in Copy-Control Settings between Sales Order and Billing (T. Code: VTFA - Order to bill copying control), Select your combination for Sales Order-->Invoice;
    and Double Click: Item (from Left-Hand side, Dialog Structure) and Double Click on to your Item Category.
    Here, in Filed: VBRK/VBRP, maintain Routine: 003 - Single Invoice.
    Important: Also, if Sales Orders have different Divisions,
    T. Code: VOV8 - Sales Document Type Maintenance
    untick the Box: Item Division.
    T. Code: VOR2 - Common Division
    Assign those Divisions to Common Divisions.
    Best Regards,
    Amit

  • Two billing for one sales order for same customer

    Dear All ,
    I have a requirement of posting a two billings for one sales order.
    One is for Sales and another is for commission...
    Entry could be
    Sales Entry - Db Customer
                        Cr  Sales
    Commission entry could be
    Db - Cusomter
    Cr- Sales commission income account (P/L)
    We are having third party sales scenario , In this case billing is MIRO dependent.
    Once the miro is done then only billing is possible ...
    Could you please advise on that ..
    Regards,
    Sukh

    Dear Ratish,
    Thanks for yr reply.
    I already did that but it is not serving business purpose.
    Comm payment  - comes diff time than sales payment.
    so ,I will post one entry customer will get hit with total amount Sales + commission
    like below
    Let say 10, 000 is the sales value and 500 is the commission
    So , This entry will get posted
    Customer Db- 10,500
    Sales Cr- 10,000
    Comm Income Cr- 500
    But, As I said sales amt will be paid before so We need to clear it partially and some time customer pays also diff amount due to some defect.
    So, We wont be knowing for which case we have or havnet received the payment against commission.
    As , Customer account is got hit with total amount( Sales+ Comm..value).
    Pls advise how to solve this.
    Regards,
    Sukh

  • TAX Calculation as per child items for fininsh goods in sale bill.

    hi team,
    here i am implementing SAP business one in construction company :
    SCENARIO:
    TEMPLATE BOM= FG=ABC+D
    steps:
    1.sales order for FG item in which child items we are manually at row level for print layout issues.
    2.Delivery challan document we are making by copy to functionality and then again selecting FG item so that
    child items come again under FG at row level this we are doing so that we can decrease teh stock of chil items whihc ever is required.
    3.A/R invoice we are creating in system only with FG item by deleting child item at row level due to print layout problems.
    in sales invoice we are entering unit price of FG.
    ISSUE ONLY ON VAT:
    here in this company during creation of sales invoice WE HAVE to calculate the tax amount through system but the problem is that we have different taxt rates for different child items whihc is explained as below:
    1.A(Material-aluminum)-vat@4%
    2.B(material- hardware)- vat 12.5%
    3.c(Material- Glass)- vat@4%
    4.D(labour)-  VAT not applicable only service tax 10.3% is applicable
    so now my question is as follows:
    1.how to calcualte the vat tax amount on invoice if child items are not present on invoice or
    how to calculate the sale price( exclusive of  tax) of the child item from the sale price of the FG(COMPANY is not able to bifurcate the sale price of finish goods at child items)
    example:
    after adding delivery we can come to know the COGS of the child items suppose
    A=50
    B=30
    C=20
    D=60
    total=160
    FG SALE PRICE =200 (exclusive of tax)SO Total margin is 40Rs(equivalent to 25%)
    then A= 5012.5(MARGIN)=62.5 WITH VAT 4%= 62.52.5=65
    B=307.5(MARGIN)=37.5 WITH VAT 12.5%= 37.54.69=42.19
    C= 205(MARGIN)=25 WITH VAT 4%= 251=26
    D=60+15(MARGIN)=75 with  NIL VAT
    FG= 62.537.525+75=200
    vat on above= 2.54.691= 8.19Rs.

    Hi Amit,
    Ur example is practicle example by PLD or query and QPLD this is not possible to solve.
    I will suggest u , through help of crystal report and developer u can get desire output for print out of sales bill
    with reference of its base documents.
    Regards,
    Mahesh.

  • Billing problem for cash sales document

    Hi all ,
    Greetings
    we are customizing for cash sales. Required Three configuration setting are done for sales document i.e
    1. Shipping condition Immediatly
    2. Lead Time 0
    3. Immediate delivery must be switch on
    and order and delivery is done at the same time while creating the order. But while creating the billing for that order through vf01(billing type BV),  We are getting an error "DOCUMENT DOES NOT CONTAINS ANY ITEM WITH OPEN QUANTITIES".
    For the order, Output Type is RD03
    can any one help on this?
    Regards,
    Pramod

    Hello Pramod,
    In the copy controls from order to billing VTFA - check for the item category BVN - the billing quantity should be marked sa "A".
    Also check in the VOV7 for item category BVN - the illing relevance should be "B".
    Let me know if it works.
    Thanks
    Shobhit

  • How I can get the Billing Type for the sales order and its items

    How I can get the Billing Type for the sales order and its items. I mean from which SAP tables and how?

    Hi,
    You need to use two tables.
    First use VBFA. Enter the sales order number in the field Predecessar and the value M in SubCt field. This will give all the billing document number for the sales order items.
    Then use the billing document numbers in table VBRK, where in you can get the billing document type.
    Regards,

  • HT2731 I need to update my billing/payment information for my appleid account?

    I need to set update my billing/payment information for my appleId account?

    We are just user here and can't do anything with your account
    Try http://www.apple.com/support/itunes/contact/
    Allan

  • Different billing document for Same Sales document

    Hi guru's
    I have scenario like this
    Sales document is ZZOR for all countries but billing document will be different from country to country
    Could you please light on this
    Thanks and Regards
    Srinivas Kapuganti

    Hi,
    Now, as your requirement goes I can suggest you something on this as below:
    Presuming you are doing delivery related billing as of now, then you need to maintain copy control between your delivery type to different billing types. Then while doing VF01 you need to manually select the billing type depending upon your country. Same thing will be applicable for order related billing as well.
    Hrishi

  • Process For Electricity Bill Payment in SAP

    We need to deploy an automated process for electricity bill payments for a customer. What is the best practice that could be followed to automate electricity bill payments where the electricity service provider just auto-debits the customer based on the electricity consumed by the customer. How to manage such process in SAP system using ECC MM, FI and SRM ?

    Hello Kathiravan,
         its really a very strange kind of requirement never though to doing such in SRM . I guess you are moreover concern with CRM kind of thing (not sure)
    Thanks
    Gaurav Gautam

  • How to populate the billing plan tab for the sales order inbound

    Hi Team,
    I am new to IDOCS, I have a requirement like IDOC extension of the sales order inbound.
    Can anyone explain in brief how can i add billing plan tab in  the IDOC extension for the Sales order inbound.
    Thanks, 
    Barathi

    U need to use the table vbfa or fololow thw link
    [http://www.erpgenie.com/sap-functional/sd/read-sales-document-flow-using-a-function-module]

Maybe you are looking for

  • How to view presentation in portrait mode?

    I just bought Keynote for iOS, to present some of my app mockups, but was sadly surprised to learn that I can't rotate a presentation from landscape to portrait mode. My canvas is 640x960. Anyone know if Apple is aware of this, or if there is a worka

  • Configuring BI Publisher with BI Server on SSL

    I am trying to configure BI Publisher 10.1.3.4 with a BI Server that is configured in SSL. The options we have for appending the connection string are: <Property Name>:= <Catalog>|<User>|<Password>|<SSL>|<SSLKeyStoreFileName> |<SSLKeyStorePassword>|<

  • Trouble with hitTestPoint and mouse out.

    I have the following setup: Stage FLVPlayback component Chapter Menu Button - Initial state hidden Invisible Trigger Movieclip - Recieves rollover / rollout events to make chapter menu button appear Carousel - Initial state hidden Everything bar the

  • Upgrading scsm 2012 error

    I am planning to upgrade my scsm 2010 to 2012 both Management and DW server. So i have set up the secondary lab environment and do this. The DW server has been upgraded successfully. When i try to upgrade SCSM Management server, at the finalizing sta

  • Assigning Pay scale to Positions

    Dear Experts; There is a request to assign the pay scale to the position, that can help them know how many levels or grades have vacancies. The case is, they have employees assigned to positions with a specific grade, then they are transferred from u