Material Master, Down Payment
Dear All,
We required the clarification for the following queries, whether it is possible in SAP or not.
1. We want to book some of the Raw Materials in different GL as domestic purchase and imported as the case may. But since material code will be common,
please suggest to map this into SAP.
2. In SAP down payment request against purchase order is allowed for more than Purchase Order payment terms value in case of Advance.
Is it possible to restrict?
With Regards,
Nirav bhatt
Hi,
Solution for Q1.
Split Valuation is used for maintaioning two different price for same material.
The Split Valuation settings are as follow:
1.SPRO> MM>VALN AND ACC ASSIGNMENT> SPLIT VALUATION> Acitvate Split Valuation
2.SPRO> MM>VALN AND ACC ASSIGNMENT> SPLIT VALUATION> Configure Split Valuation
Click on Golbal type: create your own valuation types as Type 1, Type 2 etc
Click on Global categories:create your own Valuation Category as Type(T) and
Activate all valuation types(Type1, Type2 ) for your category(T).
When you create a PO for split valuated material it will ask for valuation type and you can enter your required valuation type and save.
For more check this Link
http://www.sap123.com/showthread.php?t=29
Regards,
Baskar
Similar Messages
-
Hi All,
Can any one please provide me configuration material for Down Payment Chains? I have already gone through SAP help documents; I would be very grateful if any one provides me document apart from SAP help document.
Thanks & Regards,
GiridharHi ,
1. creat a GL account Downpayment Made
2. Link between Recon account and Alternative account in OBYR
3. post downpayment in F-48
4. post vendor invoice in f-43
5. Clear downpayment in f-54
Assing points it is usefull
Regards
sure -
How AP Down Payment value should reflect in BP Master GL with Gross Value
Hi All,
Its URGENT, please help me with possilbe solution for,
Scenario:- Need to make an advance payment to the vendor and the same amount need to deduct from the vendor invoice, but it should reflect in the Vendors account as a gross value like as a total material cost.
eg:-
AP down payment invoice request for Rs.12000/-and out going payment for the same. While posting AP invoice for 14000/-and need to adjusted Rs.12000/- as advance from the invoice.Now the vendor GL account will show the balance against this invoice is Rs.2000/- as credit.But it should show the invoice value in BP master GL as gross ie. Rs.14000/-
Im Using SAP B1
For further Clarification please contact:- Andrews - 9880208304 or Rohan - 9902294962
Regards,
Andrews.T.AHI
MOVE THE SPL GL AMOUNT ie 12000 to normal gl then it iwll reflect in BP master gl also....
see the the down payment are recorded in other gl and the invoice are recorded in other gl..
using f.54 u have to move the spl gl to normal gl then the entry will be passed
by debiting the BP master
and crediting the advance gl
then u you can match and make the payment also..
and also check the config on the down payment how the account are mapped
regarads
A.K -
AR Down Payment Invoice Does Not Reflect in BP Master Data...
We have placed a sales order for a BP.
We select payment means and accept the payment
In the background a AP Down Payment Invoice is created
When we view the BP master data - the account ballance window does NOT reflect this "down payment"
If we select the golden arrow at account ballance, uncheck "reconciled transactions" you can see the payment and AP down payment and they clear each other out.
The problem is that when the final invoice is created it is not obvious that a down payment has been received. Even if you are simply working at the BP master data window, it is not obvious that a down payment has been received. I belive our process is correct because If you click the TDP box, the payment is listed and will be applied to the final invoice.
It simply does not alert the user that a payment had been received.
What are we doing wrong?????\
Thank you!
Edited by: Andrew Bleier on Feb 4, 2009 1:27 AMKeith Taylor
You are right this feature is only available in Version 2007A. There account posting happen purely due to the pay SAP has been designed and the configuration of GL Accounts.
To make fundametal change to the core product is very difficult if you explain me your business process exactly as you do, I could think of alternatives.
Please let know.
Suda -
Unable to change make a down payment using Purchase order
Hello Experts,
I created a purchase order and used that purchase order in f-47 and f-48 (created down payment for the P.O).
When i tried to execute the good receipt i encountered an error that said profit center not mentioned in line item 001. I understood that the profit center was not given in the material masters. I tried to give the profit center in the material masters. However, it says that there are purchase orders existing and cannot save for that reason.
Now i am unable to delete the Purchase order and the material masters is not saving because the p.o is existing. I am not able to come out of this.
Any help is highly appreciated
Regards
RaghuveerHi
If you have stocks you cannot change the profit center. The only way I can think of is to write a substitution rule to populate the profit center, so that you can do the GRN. You will have to do a profit center substitution probably by reading the plant.
Another way is to set the message MM335 in T Code OMT4 as a warning and than try updating the profit center in material master itself.
Thanks & Regards
Sanil Bhandari -
Down payments routed through SD
Dear All:
As per management requirment we want to route our down payments from customer in the form of advances through SD. As an FI key user i am only aware of FI settings to be done in my area. Since SD consultant is absent so in his absence i have to do the necessary configuration in SD area. I want to know the steps involved in configuring down payments through SD with invoice reference. Details of steps along with T codes involved will really facilitate in timely accomplishment of my task.
RegardsHad you searched the forum, you would have got many threads discussed on this subject.
Just on a brief note, please ensure the following:-
1) Assign Item Category Group 0005 to your material master
2) Assign this Item Category Group to your sale order type in VOV4 with Default Item Category as TAO
3) Have copy control with Billing type as FAZ
4) Assign condition type AZWR in your pricing procedure
thanks
G. Lakshmipathi -
Dear Gurus,
I have configure the down payment scenario, and in material master assign the item category and gen, item category to 0005, system determine the correct item category at order level, TAO, and also the billing plan related information at sales order header level, but cant hold the outbound delivery to process, and easily go for PGI with no message,
I remember the behavior of system that it will hold the outbound delivery for PGI,
Can any one tell me the specific area that i will check.
I have make no change in the configurtion it automatically change its behavior.
Looking for the gurus response.Dear Friend,
my query is this that when i create the sales order, where system determine the TAO item category, if i generate delivery PGI with out using mb1b transaction that is assigning or releasing the material against some sale order stock, system allow me the PGI.
I want until user cant release the material with ref to sales order system cant allow the PGI.
Hope now it will understnad to my friend.
Regards, -
CO Object Assignment Error while posting Down Payment Request
User is raising a Down Payment Request for the purchase of an Asset through a Purchasing Document. This Asset Master has got the cost center and WBS Element assigned in it.
System while saving the DP Request is throwing an error that CO Account Assignments has different Profit Centers
I have also checked the cost center master but the profit center assigned there is correct only. Should I check the OKB9 settings ? If yes, for which GL Account do I need to check ? Where else can I check the CO Object Assignments for profit centers ?
Requirement is critical. Please help.
Thank you
Ravi
9849393564Hi,
Good evening and greetings,
Please have a look in GGB1 (Profit Centre Substitution), there may be some rule which is overriding the OKB9.
Please reward points if found useful.
Thanking you,
With kindest regards,
Ramesh Padmanabhan -
Error -Account 'Down-payments clearing account' could not be found for area
When I am trying to pass a down payment entry by debiting vedor and crediting bank with asset it is giving an error as follows.
Account 'Down-payments clearing account' could not be found for area 01
Message no. AU133
Please help me to rectify the same.
Thanks in advance
DeepakHI
Please pay attention at the possible causes of message AU133:
1. Error AU133:
a) You have not defined a contra account for acquisition value postings in the Asset Accounting Customizing settings (Transaction AO90).However, this is required as of Release 4.6C because, as is the case for all other integration postings in Asset Accounting, invoice receipt postings have to be displayed in Asset Accounting via the new posting kernel to ensure an identical document
structure.
b) You have defined the account in Asset Accounting, however, it is not created in the affected company code.Check whether the account is correct and create it for the company code, if necessary.
2. You have entered an asset reconciliation account for the "Contra account: Acquisition value posting" (for example, the same account as for "Acquisition:Acquis. and production costs" account).This is not permitted.Check whether your account determination is correct
(Transaction AO90) in Asset Accounting Customizing. The same applies
for the 'Contra account: Down payment posting'.
3. As "Contra account: Acquisition value posting" you entered an asset G/L account. If necessary change the automatic posting indicator in the G/L account master record.
4.Check if you need revaluation accounts in depreciation areas involved (AO90):
-Revaluation acquis. and production costs
-Offsetting account: Revaluation APC
Please run also programm RACKONTO where missing or wrong customizing
the accoutn determinations per company code is displayed
Also have a look at note 7595 in this regard.
Please assign points if it useful.
Regards
Ravinagh Boni -
Copy of Material Master charac. values to the batch classif. in GR for PO
Dear gurus,
Could you please help me with the following issue. I have a material managed in batches, and it has a classification type 023 in material master. I fill one chaacteristic of this classification with some value. Now I want this value to be copied to the batch classification during the creation of new batch while making GR to production order.
Is it possible?Hi Nikolaj,
What I am understand your requirement is like,
You want to fetch the value of Characteristic maintain in Batch class in Material master to the Batches, correct?
But my Friend if you maintain value of characteristic in Batch Class in material master then it will works as a validation.
For Example,
Suppose your Characteristic is Colour and in Material Master Batch classification view you have maintain value as Red.Then system will not allow you any other colour in Batches.You will find that value in Drop Down list.
Regards,
Dhaval -
Dear Expert
While doing F-48 Vendor Down Payment am getting below Error
Customer 450822 is not defined in company code 1000
Message no. F5102
Diagnosis
No master record was created in company code "1000" for customer number "450822".
System Response
System error.
Procedure
Maintain the customer master record "450822" in company code "1000" or correct the account number.
Regards
Ajeesh.sHi ,
Instead of typed Vendor number can you please do F4 and then look for vendor in Comapny code 1000 . I know its sound bit strange but I would like to check this .
Can you Please check in OBYR for Special GL indictor A and check the reconciliation account for your Chart of account . It may be posible that you have assigned customer reconciliation instead of vendor -
Vendor Down Payment in Cash through F-02
Hi All,
When I am entering Vendor Down Payment made in Cash through F-02, it is not passing entry for WHT(TDS). It gives following error "Withholding tax amount exceeds total bank line item amounts"
Pls suggest if there is other alternative wherein I can enter the vendor down payment made in cash with WHT (TDS) entries.Activated the option of "Cash Flow" in Bank Account Master ( T.Code FSS0).
It worked. -
Vendor down payment clearing without VAT posting.
Hello SAP Gurus,
I have following issue:
Currently our Vendor down payments produce VAT postings when clearing with final invoice, which is correct.
But we have some old vendor down payments which does not include VAT and needs to be cleared without any impact to VAT postings.
User is using F-44 transaction and can not define any tax code for postings, system calculates it automatically.
It is not possible to make VAT posting happen and then make reversal postings fot VAT accounts as well.I tried to check flag 'Posting without tax allowed' and uncheck 'Post automatically only' in account master data. And then make manual posting using that account via FB01 but system still requires tax code to be entered because Tax category in account master data is set to '<' I'nput Tax Account'. It is impossible to change Tax category let's say to ' * ' because account have balances on it.
Could anyone advice how can I clear these downpayments without VAT posting?
Thank you,I have tried to enter 0% input tax code, but still I'm not able to post document because of error msg:
Tax entry not possible in this item
Message no. FF724
Diagnosis
You can not enter a tax amount in this item since, due to the posting amount entered and the tax code, a total tax amount of zero has been calculated.
This could either be due to the fact that the tax code has been defined with a value of 0%, or because the posting amount entered (that is, the tax base) is too small.
Example:
With a tax rate of 15%, a tax amount greater than zero will only be achieved with a base amount greater than 0.04. With values of 0.03 and less, it is therefore not possible to enter a tax amount.
Procedure
Only enter tax amounts in conjunction with tax codes for which a percentage rate not equal to zero has been defined. Make sure that in documents with several G/L account items you enter the total tax amount in an item with a sufficiently high posting amount. -
Issue with down payment tax cal and clearing it aganest vendor inv
HI,
I have an issue with down payment tax cal.
1. I had configured withholding tax and raised down payment, tax has been cal
2. In the next step I had raised inv, at this time also tax had been cal
3. When I am doing down payment clearing the tax collected at the time of down payment had to be reversed but itu2019s not.
Can any one give me solution for clearing the tax that cal on down payment.
Thanking you.Dear
Vendor master has got tax codes both at the time of payment and at the time of invoice. Hence system is calculating tds on both occassions.
Since you pay advance first tds calculated is right. Now while doing miro remove the tax codes manually and do miro/mir7/fb60.
If already MIRO/MIR7/FB60 done then reverse the invoice document and clear the tax GL accounts.
Regards -
hello Gurus.
we want to down payment against asset Purchase order using F-48.
during Simulate the Document we get the following error.
Account 26318501 is not a reconciliation account
Message no. AU138
Diagnosis
Processing terminated because account 26318501 (determined from account symbol KTANZA in chart of accounts YAIN) is not specified as a reconciliation account for assets.
Procedure
Define the account as a reconciliation account or assign a different account in the account determination for Asset Accounting.
the account 26318501 is Reconciliation accounts. still system generate the error.
how I resolved this issue.
I am waiting your reply.
regards,
riten patelHello Atif Farooq .
I have get two error.
if I made changes to recon account type to Asset then
during Down payment using F-48, system gives me error during the entry that
"Account 26318501 is not a reconciliation account for account type K
Message no. F5017
Diagnosis
The account 26318501 is to be used as a reconciliation account for the desired special G/L transaction. However, the account was not defined as a reconciliation account for account type K in the company code-specific part of the master record.
Procedure
If the account number is correct, change the master record of the account. If the account number is incorrect, determine via Customizing which account is to be used. The specification is made in table T074."
and if I made changes to recon account type to vendor then ,
system gives me error during Simulation that
Account 26318501 is not a reconciliation account
Message no. AU138
Diagnosis
Processing terminated because account 26318501 (determined from account symbol KTANZA in chart of accounts YAIN) is not specified as a reconciliation account for assets.
Procedure
Define the account as a reconciliation account or assign a different account in the account determination for Asset Accounting.
Please help me to solve this problem.
I am waiting your reply.
regards,
riten patel
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