Material cost to be settle on another material cost.

Dear Gurus
We have business scenario like as  mentioned below
If any material got damaged, that material will go for REFURBISHMENT process for that material value will be ZERO.
In refurbishment time we use spares parts for getting main material unristricted.  this case i want to settle the spare parts cost on main material.
Please suggest the account determination process. what are the accounting key will take place.
regards
srinivas.

Dear Srinivas,
where that refurbish material is going?
and with the same material code are you getting back after the repair,
like this type scenarios ,split valuation is good with valuation types like damaged,refurbish and repaired ,
coming to transaction event key, BSX is at the time getting back the material,
cost will post to various G/L , if u maintain the diffrent valuation class at valuation type level,
chenna

Similar Messages

  • Can we create materialized view on the top of another materialized view.

    Hi ,
    can we create materialized view on the top of another materialized view.
    Thanks
    Naveen

    Welcome , Just remember is not good apporch to do that since performance when MV refresh
    Please mark this thread as answered .

  • Material Ledger Active - K088 Settlement doesnt use Actual Cost Comp Split

    Production Order quantities are all scrap (in confirmation) thus order balance contains Consumed Materials and Activity Allocation
    When KO88 Settlement is run, the system uses Standard Cost Component Split to allocate the residual to Cost Components instead of the Actual Cost Component Split
    When we run the flow trace, the message says:
    "Splitting according to output material S-Price CCS"
    Expectation was that costs would flow according to Actual Cost Component split.
    There is note 756167 - This note activates the update of the actual cost component split information in the material ledger document when you perform the order settlements.
    However current release is 604, so its expected that this is already applied.
    Any help or insight on how to settle using Actual Cost Component split is appreciated.
    Edited by: Chris Gibson on May 5, 2010 8:57 PM
    Edited by: Chris Gibson on May 5, 2010 8:59 PM

    The second option you mentioned of using separate value field for transferring the standard cost component split from the actual cost component split is the way SAP designed this integration between CO-PA and the Material Ledger.  But 40 value field for cost component split is excessive.  CO-PA allows up to 120 value fields maximum, so I agree it does not seem prudent to use 80 of them for this purpose.
    I suggest you reexamine the level of detail you think may be needed in CO-PA and try to use CO-PC reports at the cost element level to report on more detail.  Keep the CO-PA view more aggregated and you can stick with the standard solution for comparing standard to actual costs in CO-PA.
    Best regards,
    Jeffrey Holdeman

  • Settlement Parameters on Product Cost Collectors

    The basic config on Product Cost Collectors has settlement to a material.
    1) Does someone know how to change the settlement rules to settle to a GL account or Order for new materials
    2) For old materials, does someone know how to change the settlement rules. SAP - I believe in HELP and in note 388457 says you cannot change the setlement rules.
    Thanks

    Thank you for responding.
    Unfortunately, even if you create a new profile and allocation structure, you cannot change it on the order.
    I later found in SAP HELP that the settlement profile on cost collectors cannot be change.  That was also verified by oss 388457.
    But, I was hoping I was wrong or there has been a further change
    Jeffrey

  • To see the cost of production order  after settlement to header material

    hello guys,
       In make to stock,we settle the total cost of prodution order on header material,right(if we keep as the default rule( distribution rule in order type)?
         If i want to see that cost of production order which we settled against the header material,where should i check it?should i check in material account or somewhere else?
             Thanking you guys in advance.

    Dear,
    There is a little missunderstanding in your thought.
    If the material of price control S, When you do the GR, the STD cost of material is deducted from production order cost, then when you settle the production order, the variance is settled to variance account/PD account. hence the production order cost balance is zero.
    Example- Production order cost is 60000
    After GR the production order cost balance is 60000-50000 = 10000.
    After settlement production order cost balance is zero.
    Now your question is where can i see the production order cost?
    You can see the production order cost in the production order itself.
    In the production order...cost disply option just filter the origin with test settlement and GR.
    Then total up the cost, then you can see the cost as 60000.
    please come back if you need more help.

  • Copy standard cost with Cost Component from another material

    Hi,
    I need to copy standard cost from another material not only total price but also details of cost component split. I try to used transaction CKUC with procedure of "explode material cost estimate" but the reference material use "mixed costing" and isystem stop explosion.
    There is another procedure in order to make this copy? I can not use special procurement because are different codes (material A / Plant XXX copy froma material B /Plant XXX).
    Thanks for your support.
    Mic

    Hi Chandra,
    thanks for your suggestion, it works but only if I explode a level ... material "B" contains two mix codes  that also contain their mixes. So system shows this message "Mixed cost estimate explosion in level 2 for material xxx" and "Mixed cost estimate exists: maximum of 2 explosion level (s) possible".
    So Is not possible to copy and esploded a standard cost with multi level mix?
    Thanks
    Michela

  • Material item number for Settlement Material Cost

    Dear All,
    My client want to see the line items for settle Material i.e. he needs materials item number and qty for settled material cost in perticular project / WBS.
    Thanks and Regards,
    Atul R. Rajmane

    Dear Nitin,
    Thanks for Replay.
    CJI3 report give actual cost line item. For settle values its will show cost but not material number. My Client needs the material number and qty for settled value of material cost.
    Specifically, he need an WIP report which shown material number and qty berak for WIP amount of a specfic project/wbs.
    Thanks and Regards,
    Atul R. Rajmane

  • Free Goods from One Material Group to Another Material Group

    Salute Masters!! 
    I need your valuble suggestion, please provide.
    I need to configure Free Goods of Material Group to Material Group.
    User want:
    1) Free Goods from one Material Group to another Material Group, like F010 to F040
    2) User should have option to change from one Material Group to Other Material Group, which He / She want, like F010 or F020, F030, F040 any one of them.
    Suppose;
    Line Item Material Belongs to One Group Quantity in Gallons Free Goods from Any Material Group Quantity in Gallons
          1            A                                              3                                    F010                                             4
          2            B                                              3                                     F020
          3            C                                              4                                     F040
    Any No. of Line Item Any No. of Material
                                       from One Group      Total 10                   From Any Material Group
    (Comprising of 3-4 Different Material from 1 Group, they should be able to choose/provide Free Goods from other Material Group)
    3) While creating Sales Order what Quantity (Gallons/No./Ltr) to be put?
    How I can configure this scenario?
    Please suggest, is it  possible through KEY COMBINATION?
    Rgds.
    Srivastav
    +91 7829755109
    Skype ID: sanjai.srivastav1

    Hi,
    if you want to give free goods from other group it can be possible only for EXCLUSIVE free good type
    In exclusive free goods, a material different from the orignal material can be specified as the free goods.
    Example: A customer who buys 200 crates of beer, gets 5 boxes of glasses free.
    In VBN1 >> Exclusive
    See column ADD FREE MATERIAL
    While creating Sales Order what Quantity (Gallons/No./Ltr) to be put?
    Maintain alternative units in material master >> Additional data >> Material master,BUT it is only main item
    Those item u want to give free that items unit is derived from free goods condition record and it CANNOT be change in order

  • Copying one material attributes to another material thro' FM or BAPI

    Hi,
    My requirement is :
    To copy a material attributes from one material(old) to an another material(new). Can anybody suggest a FM or BAPI for this?
    Thanks,
    Kaarthick

    Hi,
    These answers never helped me. I can reformat my quesion : Pls. suggest a BAPI/RFC/FM used to create a new material with reference to an old material.
    Hope this is understandable one.
    Thanks,
    Kaarthick

  • Transfer material from one storage location to another storage location

    Is there any bapi  to transfer material from one storage location to another storage location

    Hi,
    You need to use the below BAPI
    BAPI_GOODSMVT_CREATE
    Regards
    Sudheer

  • How to shift valuation class from one material type to another material type ?

    I have came across following weird scenario:
    We already created huge no.of materials of material type say ZABC with two valuation classes say 1100 and 1200(GL accounts for these VCs for different posting keys in OBYC settings are same). Account category reference for this material type is 0010.
    After that we created new material type say ZPQR  with new Account category reference 0025, and valuation class 1200 is linked with this ACR 0025. Because of this, valuation class 1200 disappeared from material type ZABC. In order to avoid inconsistency, we need to have valuation class 1200 linked with older material type i.e.ZABC.How we can do this ? What impacts must have happened in this period (from MM/FI) in the system, where valuation class get shifted from one material type(ZABC) to another material type(ZPQR)....please help us in this scenario.

    Thanks Sana,
    We are also looking for the solution provided by you i.e. reassign ACR 0010 to Valuation class 1200.
    Your are also correct in terms of  statement "config doesnt allow me to assign same valuation class to 2 different AREF (Account reference number/Account category reference).
    I wanted to know, what are the possible impacts in the system during this re-assignment of ACR to old material type ZABC.
    Regards,
    Sudarshan.

  • Transportation cost before the reception of the material in MIGO (Stock in transit)

    Does it exist a way to make a reception of materials in transit and post the transportation cost before the reception of the material in MIGO ?
    The  material is own of company before to be receipt in plant.  We need to pay the transportation before that material is arrived at plant. 
    As the value is an important cost, we need that this cost be linked with the cost of the material.  We can put a condition, but it does not work if the material in not receipt in MIGO.  We can enter a subsequent debit memo, but the invoice of the reception should be enter in the system and by the way the reception too.  So how should we process to link the transportation cost with the material if this material is not received at plant and by the way in MIGO.
    Thanks in advance

    Hi,
       As of my knowledge, system will allow to process the shipment document - create shipment cost document and vendor invoice also, even before doing GR for the PO. Please check the scenario and revert back if you are getting any error.
       If you want the shipment cost as delivery cost, refer the note: 427944 - Info: Shipment costs as delivery costs during goods receipt
    Regards,
    AKPT

  • Cost center doubt in Itemization of Material Cost Estimate

    Hi,
    I have one doubt. I creating a material cost estimate of a header material.A new overhead rate ZCDD has been maintained in the costing sheet. An existing crdit key ZC9 has been assigned to the overhead rate ZCDD. The cost element and cost center row has been added in the credit key.
    When I run the material cost estimate, the cost element it is coming, but the cost center it is picking is not the one which has been maintained in the credit key.
    Can you please clarify my doubt, I am stuck up on this. Please let me know if you need any more information roe clarifications.
    Thank you very much.
    Prithwiraj.

    Hi Rau,
    Thanks for the reply.
    Can u tell me, is it mandatory to have only one to one Cost Center-Cost element mapping in a Credit Key?
    I mean to say is it like that we can assign a cost element of a credit key only to one cost center?
    Thanks,
    Prithwiraj.

  • From a table how do u find whether a material is used in another material B

    hi,
    From a table how do u find whether a material is used in another material BOM
    thanks in advance

    Yes as Velu mentioned you can get the details from STPO.
    Note that you have to use field IDNRK in table STPO to check if the material is used as a BOM Component.
    Regards
    Eswar

  • Order Settlement to another B area cost objects

    Dear all
    In my requirement We are carrying the work at one Business area on behalf of another business area. The maintenance order has some expenses amount,after completion of the job i need to settle into another business areas cost objects. But sap is giving the error only. Is ot possible?

    Thenna,
    Message to all: you really should get an OSS logon - its free and would save us all a lot of time...
    However, this looks like a FICO issue... and here is the OSS Note text:
    During settlement error message KD256 is output
    "There are no accrued amounts; settlement is not possible".
    The error message and the long text do not supply sufficient information on the causes for the error message.
    Additional key words
    CJ88, CJ8G, VA88, KO88, KO8G, CO88
    Cause and prerequisites
    Preconditions for message KD256 are:
    1. The sender carries a results analysis key
    and
    2. it is
    a) a sender with revenue
    or
    b) a production order with FUL rule to product which in the settlement period has neither the status DLV nor the status TECO
    or
    c) a WBS element which does not have the status TECO
    or
    d) an order, which in the settlement period has neither the status DLV nor the status TECO, and the indicator 'WIP on dependent orders' is in the results analysis version.
    In these cases, only data from accrual calculation is settled. In the cases b) to d), no actual costs are settled to the receiver of the settlement rule.
    The error message is now output
    1. if no accrual calculation has been carried out,
    or
    2. the accrued data have already been settled
    or
    3. the flag 'Settlement to FI' has not been set in any of the results analysis versions
    or
    4. no posting rules have been defined for any of the results analysis categories.
    Solution
    1. Check for the cases b), c) and d) whether the sender already had the status GLV or TECO in the settlement period, that is, whether the delivery date or the date of the technical closure is prior to the posting date of the settlement. If this is not the case, the system continues to determine and settle in period WIP.
    Note: Prior to Release 4.0, the system did not update the date of the technical closure with WBS elements. This is why the date of the technical closure was not checked in Release 3.0/3.1. This was an error in Release 3.0/3.1.
    2. Check the settings in the Customizing of accrual calculation, that is, check the flags 'Settlement to FI' in the results analysis version and check the posting rules.
    3. Check the previous settlements for the sender. For this use the function 'Extras -> Previous settlements' on the initial screen of the settlement.
    4. If necessary, start accrual calculation for the sender again and start the settlement again afterwards.

Maybe you are looking for

  • Are there any 3rd party tools which provide Microsoft Azure IaaS diagnostics?

    Are there any 3rd party tools currently, which can be used for giving detailed diagnostics Information about the IaaS environment (like on VM's, Virtual Network etc.) in a detailed report format periodically? Please note that I am looking for any suc

  • Video Playback problems on new Video iPod

    I just purchased my first video from iTunes (a Commander in Chief episode I had missed) to see how it worked, and I am bummed to report that I couldn't seem to watch more than 5 - 10 minutes at a time before the video would stop and the screen would

  • Hetis 965 and large-screen displays

    Has anybody tried to use Hetis 965 barebone (or any MSI motherboards based on Intel 965G chipset) with 24" LCD monitors? I wonder whether the barebone provides native support for 1920x1200 resolution.

  • Server log showing problems with Mail Server

    Ok, so I followed the instructions in that PDF about how to make virtual mail users in 10.5.1 since they are broken. So I did it in the WGM and the Postfix stuff as the document said. Now I get all these errors in the server log and I have no idea ho

  • How to back up your media in iTunes to usb drive

    Does anyone have instruction on saving music library and play lists to USB rather than a CD/DVD? Also, since music has been downloaded from various media it is not all in one file under my music. Do you know how to find it and pull it all together pr