Maintain the settlement rule of the sender error
Dear Friends,
Using T.code Ko88, The following data has been entered.
Order :100010R.
Settlement period - 11
processing type - automatic
Selected the Test run.
When executed, the following error is displayed " Maintain the settlement rule of the sender" Message No: Message no. KD205
Settlement rule was selected and the settlement rule was displayed.
In the distribution rules, in the category FXA and GL are defined and in Settlement, it is Full and from and to date is 10,2010.
Please suggest how to solve the error?
Regards
Sridhar
Hi
Maintain only the FROM DATE... Remove the TO DATE as 10.2010 (Extend the TO DATE)
OR
Create a new settlement rule which is valid in the Period of Execution of settlement
Br, Ajay M
Similar Messages
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Problem in maintaining the settlement rule in the maintenance order
Dear Friends,
I have a problem ,When I am trying to maintain the settlement rule in the maintenance order ,I am getting information like below
Decentralized system -> note settlement rule is not distributed
Message no. /ISDFPS/PM124
Diagnosis
You navigated to the settlement rule.
System Response
The system informs you that a settlement rule can be created but that it will not be distributed to the target system. Settlement is carried out in the target system, where the order is usually settled to the WBS element of the operation.
Can anyone throw some light on how this is happeing and remedy?
Appreciating your early responseHello
Please check
TC --> KSR2_ORC
Please maintain the Strategy Sequences for Automatic Generation of Settlement Rule.
You define a strategy sequence for automatic generation of settlement rules for internal orders.
Regards,
Rakesh
Edited by: RAKESH ASHOK MANE on Sep 3, 2010 12:37 PM -
KO8G-sudden surge of error mess(Maintain the settlement rule of the sender)
hi!
we encountered a lot of error message(Maintain the settlement rule), more than 4k, after we run KO8G, this is the first time happened to us. when we checked the PM orders from the error message, most of it came from previous periods even previous years, which are already closed. we can understand if there are posting for the said order for the period, but there is none. why those closed orders with no postings, still read by the settlement? were having a diffuclty of checking it one by one, we only expect less than 100. we hope you can help us.
thanks in advance
vinceDear,
As found...
Maintain only the FROM DATE... Remove the TO DATE as 10.2010 (Extend the TO DATE)
OR
Create a new settlement rule which is valid in the Period of Execution of settlement
Regards,
Syed Hussain. -
Doubt about the settlement rule of the Production ORder
The only default distribution rule allowed for a PP order is PP1 or PP2. We would need to change that to allow settlement to multiple receivers as a default. If that is the case, we may want to look into a user exit to update the settlement rule during production order creation instead so that the G/L account is correct from the beginning.
Currently when we create the production order, the settlement rule will default the below, I am not sure if a user exit is able to maintain the Source as 200 (Materials)?
If yes, we can then add the second rule for Source 100 (Labor and Mfg) via the user exit as well.
In this case, SAP will not prompt us error of settlement with 200%, as they are from difference Sources.
now anybody can explain me about the User EXit we have to correct thisany help on this.. please its very urgent
thanks in advance -
Maintain settlement rule of the sender
Dear All,
Hi, I am Settling the all orders in co88 t.code, i run test run mode for all orders.At the time of running i am getting the below error:
Maintain the settlement rule of the sender
Message no. KD205
Diagnosis
Either the settlement rule for the sender does not exist, or it is incomplete.
The settlement rule must contain settlement parameters and at least one valid distribution rule. A distribution rule is valid for a settlement run if
The settlement period is in the validity interval for the rule, and - if a settlement type was specified during settlement -
The settlement type corresponds to the rule for the specified settlement type.
Settlement type FUL -> The system selects all rules with the FUL and PER settlement types.
Settlement type PER -> The system selects all rules with the PER settlement type.
The settlement share is set for the rule (percentage, equivalence number).
Procedure
The settlement rule belongs to the sender master data, where you can maintain it.
Internal order
Proceed
CO Production order
Proceed
Project
Proceed
Cost object
Proceed
Network
Proceed
QM Order
Proceed
PM Order
Proceed
Production order
Proceed
Process order
Proceed
Sales order
Any body please help, where i can check the settings, I checked my settlement profile and allocation structure also.it's working properly, but i am getting the error at the time of order settlement in co88.
Thanks & Regards
ReddyHi
Each Order Type is assigned to the Settlement profile and in settlement profile the Settlemet receiver is maintained.
Genereal Critaria
Sales Order Settled to Production order.
Production Order Settled to Material
Internal order settled to Cost center or GL
Please refer following T code.
OKO7 Creat settlement profile
Check for Periof End Activity in Costing.
Product Cost by Sales Order
Product Cost by Order
Internal Orders
Period-End Closing > Settlement > Create Settlement Profile -
Cannot Maintain settlement rule for the activity
Dear All,
I tried to maintain settlement rule in activity under WBS. But it shows message :
You cannot maintain the settlement rule for the activity
Message no. CN006
Diagnosis
The network has header account assignment. You can only maintain settlement rules for the network header.
System Response
Processing stopped.
Procedure
Maintain the settlement rule for the network header.
Please help.
Cheers,
NiesHi,
I already tried the config OPUV (network type Parameters) but it shows the activity account assignment already ticket.
If i go to network header and go to settlement rule the warning message shows :
Network has activity account assignment
Message no. CN057
Diagnosis
Costs can only be written to activities for the network whose key you have entered.
System Response
Processing stopped.
Procedure
1. Check whether you have entered the correct key for the network. Change it if necessary.
2. Maintain the key for the network to which you want the costs to be written.
In addition, if i tick the activity under the network header : it shows
You cannot maintain the settlement rule for the activity
Message no. CN006
Diagnosis
The network has header account assignment. You can only maintain settlement rules for the network header.
System Response
Processing stopped.
Procedure
Maintain the settlement rule for the network header.
Cheers,
Nies
Edited by: Nies on Nov 6, 2009 3:26 AM -
How do I see the changes made in the settlement rule?
Dear Experts,
I would like to see the changes that was done in the settlement rule. I have perform the following:
In the 'maintain settlement rule' screen in project builder (CJ20N) - Goto > Change Document > All Rules.
The system gives message that 'no change documents found - message no KD128'.
Q: Is there any difference between settlement rule and distribution rule?
Q: Is there anywhere else that I need to do to get the change document in settlement rule or distribution rule?
FYI - I have change the project profiles to include(tick) change document in the Basic Data and Status Management. I believe this is not relevant to change in settlement rule.
I appreciate your help. Thanks.
RegardsHi,
Abt your first question,
You need a settlement rule to carry out settlement. You define the settlement rule in the sender object. The settlement rule contains the distribution rules and the settlement parameters for a sender object.
You can maintain the settlement rule for WBS elements or networks/activities in an overview screen. You use distribution rules to stipulate which proportions of the costs are to be settled to which receiver. Costs can be distributed on the basis of:
1. Percentages
2. Equivalence numbers
3. Fixed amounts
To check changes done , you can also check t code CN60.
Regards
Tushar -
Changing the receiver cat in the settlement rule of Product cost collector
Hi,
I have created a Product cost collector using the Transaction - KKF6N. and observed that the settlement rule got created automatically with the CAT - MAT. I need help for below queries.
1. Is it possible to change the settlement rule for the Product cost collector?
2. If yes, Could you please let me know the procedure to do this?
3. If no, what is the alternate as I want to change the CAT from MAT to ORD.
Your help is very much appreciable and Thanks in advance for the help.Hi,
Check in order type, Which settlement profile is maintained. Then Goto settlement profile maintain receive type which you want to settle.
Regards,
Sreekanth -
Validation for the settlement rule of a wbs element
Hi Experts,
I have a requirement that in which i have to validate the settlement rule of the wbs done through t-code cj01/cj02/cj07,cj20n.
If the settlement receiver object is an G/L account (settlement category g/l ) then i have to check that if it is an o&m project type
wbs element settling on some already mentioned G/L e.g 0001081340,0001081341, then it should through some error like settlement rule not valid etc.
I have tried cjb1/cjb2 through badi WBS_SETTLEMENT_RULE by creating some strategy but it did not have any option for G/L
settlement reciever. Also client will not agree to this as they want to create settlement rule manually.
I have also tried the exit 'EXIT_SAPLCOI1_027 ' but its not getting triggerred during settlement rules assign mentand also i think it will not solve my purpose.
Please help me as i am struck in this for long time now.
Warm Regards,
HariomHi Prabhu ,
thanks for the quick update.
I have tried many badi's and exits but they are not triggering at the saving time of the wbs.
badi :
PROJECTDEF_UPDATE
WBS_FIELDS_FOR_ASSET
WBS_USER_FIELDS_F4
WORKBREAKDOWN_UPDATE
WBS_SETTLEMENT_RULE
exits :
EXIT_SAPLCJWB_004
EXIT_SAPLCJWB_005
EXIT_SAPLCJWB_001
These above exits i have tried either they are not implemented or they are not triggered during saving of a wbs element.
please suggest any exit or badi's which you may have used.
Thanks and regards,
Hariom -
Hi Experts,
In the settlement rule for the Process orders, the system creating the rules with the category 'OIT' (Order Item) but i want it to be changed to 'MAT' (Material) how and where do i change the same. i know that it cant be changed in Settlement rule for the Order.
thanks
Regards
SureshHi rasuresh,
When I read down the the comments all the way down and back to your question, one question arise in my mind, why do you want to change the settlement rule to be MAT?
You said the your order is a Process Order, meaning that in one process order it can generate more than one out put. Please check the material master of your product via MM03 on MRP2. Check, is the co-product indicator activated? If yes, then click on tab Joint Production icon. There, in the joint production indicator showing what items will be produced during processing of the products.
By indicator Joint product, by default the receiver Item category will be set to OIT in the settlement rule. What you see in the distrubution rule receiver are the proportion of cost based on setting of joint production in the MRP view 2.
I don't think, this is as a problem. It is as what should be as a process order.
It would be different if your order is Production Order or order type PP01, then the receiver will be MAT
Hope this help you.
Best regards,
Irhasni -
In which table may I find the settled values from the WO's settlement
Hello Expert,
Can anyone be so kind an let me know In which table may I find the value of settled costs from Work Order broken donwn into Settlement Receivers?
I have found the table COBRB where I'm able to see the settlement rules for the WO but where the values from settlement are stored?
Thank you in advance for valubale answers.
Regards:
Lukasz KurlitHello Kolla,
I was too quick with my last answer, still I have the problem with this relation between COBRB and COEP, let me clarify it again.
In WO I have manually modified the settlement rule that way that I settled costs split into two Cost Centers.
Both lines regarding settlement rules are visible in table COBRB.
Then I have found in COEP table that there are stored exact values regarding settlement for both Cost Centers, one value for one Cost Center but without any key shows which one refers to which Cost Center (I recognized it after values which were settled in different time and after modification of settlement rule)
What I need now is to find the relationship between COBRB and COEP that way that I will be able to know clearly (for reporting purpose) which line from COEP refers to which Cost Center recorded in COBRB.
Link via OBJNR gives me only both lines in COEP without knowledge which one is from which Cost Center, there is no such field which will indicate which Cost center is hidden behind the value.
I will be very appreciated for any hints how to find it.
Regards:
Lukasz Kurlit -
Error: Maintain settlement rule of the sender for a higher level WBS
Hi,
I dont want to maintain the settlement rule for a higher level WBS. How can i configure this in such a way that i dont get the following error:" Maintain settlement rule of the sender" while doing CJ88. Maintaing a separate Settlement profile for a higher level WBS is an option but we are looking if something else could be done The problem is that there are no actuals booked against, say, level 2 WBS but when i execute CJ88, i get the aforesaid error. How can i ensure that only the lowest level WBS ask for the settlement rule and not the levels above it. I have already removed the Investment profile from the higher level WBS but still getting the same error.
Regards,
DPilHi,
It is a type Capex WBS and Biling element is not checked. In fact i get a warning while doing the settlement: WBS is neither a billing element nor an account assignment element.
Diagnosis
WBS element is not indicated as either an account assignment element or as a billing element in the master record.
System Response
The WBS element cannot be assigned to an account.
Procedure
Correct your entries or add the missing indicator to the master record for the WBS element.
But this is just a warning. On pressing enter i get the error :Maintain settlement rule of the sender " -
Error while maintaining the Update Rules for the Infostructure
Hi,
I have added 2 new characteristics for the existing infostructure S9xx and executed the same. While maintaining the Update Rules for the same, system is giving the error message 1. "Field 'PARVW' unknown" and 2. Error generating program RMCX0011.
Please guide me in resolving the issue.
Thanks & Regards,
Kumar.Hi,
This is with reference to my earlier question that an error is occuring while maintaining the update rules for the existing Infostructure.
Solution provider for this will be rewarded with good points.
Regards,
Kumar. -
GR/IR expenses not affected with the settlement rule run process in the GL
<i><b>Please neglect by previous post with the same title</b></i>
There is a problem I face while running the settlement rule process related to internal orders on the GR/IR expenses.
According to the internal order settlement rule every expense associated to an Internal order no. whether its an account payable or manual journal accounts it should be settled (distributed) on the cost centers specified in each internal order after the monthly settlement run process is done through T.Code "KO8G", and this actually happens on the entries that are booked manually through T.Code "FB50", but the GR/IR entries is the biggest problem, it didn't reflect the settlement rule distributions in the GL it just gives me the original transaction once its was automatically created through T.Code "MIGO" they are only allocated to a one profit center with no cost center and without being distributed to a multiple cost centers according to the distribution strategy.
After a long search I found that the cost center distribution occurred only on a secondary none GL account named A&P Settlement (720010), all GR/IR expenses was settled correctly only on this account not through the ordinary GL accounts (e.g. Gifts, printed materials) and of course the correct distribution didn't appear in the GL,
So is there a transaction or any way to allocate the GR/IR expenses to there correct cost centers with the correct cost element in the GL?
Is there anything to do with the GR/IR calculation that depends on quantity base not value base?
<i><b>The Process as follows:</b></i>
(<b>1) Creating Internal order with a settlement rule (E.g. Cost center 1 (50%) Cost center 2 (50%)</b>
<b>2) Creating a purchase order associated to an internal order</b>
<b>3) The Goods received and creating the GR transaction T.Code "MIGO"</b>
Acc/DR Expenses accounts
Acc/CR GI/IR Account 400301
Profit enter ###### (eg. 111177)
Cost Center <blank>
Internal order no. ####### (e.g. 9810512)
<b>
4) Closing the GR/IR accounts when receiving the invoice T.Code "MIRO"</b>
<b>When we receive vendor invoice:</b>
Acc/Dr GI/IR Account 400301
Acc/Cr Vendor Account
Profit enter ###### (eg. 111177)
Cost Center <blank>
Internal order no. ####### (e.g. 9810512)
<b>5) Performing the Internal order settlement rule run process</b>
<b>(N.B.</b> By entering the report of the cost center (Actual/Plan/ Variance) T.Code S_ALR_87013611
I found that GR/IR expenses was not charged on the concerned cost centers as shown in the GL <b>)</b>
<b>Your Reply is highly appreciated</b>Thanks for your kind reply,
But is there a way solve this problem?
And what is the use of leaving a field in the account assignment tab for an internal order while creating a PO and it will not take advantage of the settlement rule????????
And as you know the internal order settlement is a way to create a multiple account assignment
Can we solve the problem by making an automatic fake transaction that reverse the value of the GR/IR and creating another transaction can apply on it the settlement rule??
You know that settlement rule process is one of the best features in the SAP system it save time and effort to make distributions manually -
User Exit for the Settle rule of a Production Order
Hello all
i got a requirement to change the settlement rule of a production order to multiple receivers.
suppose i have the following rule
Categeory | Settlement Reciever | Receiver Short text | % | Settlement Type | No | Source Assignment
MAT ZMDT89 ZMDT88 100 FUL 1 left as blank
now my requirement is that i have to default the source assignment as 200 (Materials) so as to allow the other reciever entered with the same settlement type as FUL and also the No should be 2
i.e. my req is like this
Categeory | Settlement Reciever | Receiver Short text | % | Settlement Type | No | Source Assignment
MAT ZMDT89 ZMDT88 100 FUL 1 200
G/L G/L A/C no G/L shor text 100 FUL 2 100
the bold one is i have to ADD
the T-Code is CO02.
your help is highly appreciated...
thanks in advancehi,
check these exits in co02.
Transaction Code - CO02 Change Production Order
Enhancement/ Business Add-in Description
Enhancement
PPCO0010 Enhancement in make-to-order production - Unit of measure
PPCO0012 Production Order: Display/Change Order Header Data
PPCO0013 Change priorities of selection crit. for batch determination
PPCO0015 Additional check for document links from BOMs
PPCO0016 Additional check for document links from master data
PPCO0017 Additional check for online processing of document links
PPCO0018 Check for changes to production order header
PPCO0019 Checks for changes to order operations
PPCO0021 Release Control for Automatic Batch Determination
PPCO0022 Determination of Production Memo
PPCO0023 Checks Changes to Order Components
STATTEXT Modification exit for formatting status text lines
PPCO0009 Enhancement in goods movements for prod. process order
CCOWB001 Customer exit for modifying menu entries
COIB0001 Customer Exit for As-Built Assignment Tool
COZF0001 Change purchase req. for externally processed operation
COZF0002 Change purchase req. for externally procured component
PPCO0001 Application development: PP orders
PPCO0002 Check exit for setting delete mark / deletion indicator
PPCO0003 Check exit for order changes from sales order
PPCO0004 Sort and processing exit: Mass processing orders
PPCO0005 Storage location/backflushing when order is created
PPCO0006 Enhancement to specify defaults for fields in order header
PPCO0007 Exit when saving production order
PPCO0008 Enhancement in the adding and changing of components
reward points if hlpful.
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