OBYC - VKA transaction key

Please anybody clarify my following doubt:
I see that for cost of goods sold entry, in OBYC, we can use transaction key: VAX
Then what is the purpose of VKA key ?  Is it also relating to Cost of Goods Sold ?

HI 
    this is obyc for integration between fi and mm where transaction key vkoa using for sales revenue account only   
BEST  
NASERK
Edited by: naserk on Dec 7, 2011 7:36 AM
Edited by: naserk on Dec 7, 2011 7:37 AM

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  • Change GL account in OBYC for transaction keys GBB and BSV

    Dear Logistics Colleagues
    I would like to have your opinion on the following topic:
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    -BSV > Change in stock account
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    Hi,
    Just check all the orders whose GR is done, there LIV also done, for the scenario where this key will be utilized,
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  • OBYC - New Transaction Key

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  • OBYC- GBB- Transaction keys

    hi
    Can any one tell me what are these keys meant for
    In GBB: AUA,AUF,BSA,INV,VBR,VAX,VAY,ZOF,ZOP are some of the keys I have mentioned.
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    Hi,
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         Agency business: turnover (AG2)     
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         Agency business: expense (AG3)     
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         Expense/revenue from consumption of consignment material (AKO)     
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         Provisions for subsequent (end-of-period rebate) settlement (BO1)     
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         Income from subsequent settlement (BO2)     
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         Income from subsequent settlement after actual settlement (BO3)     
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         Supplementary entry for stock (BSD)          
         This account is posted when closing entries are made for a cumulation run. This account is a supplementary account to the stock account; that is, the stock account is added to it to determine the stock value that was calculated via the cumulation. In the process, the various valuation areas (for example, commercial, tax), that are used in the balance sheet are taxed separately.          
         Change in stock (BSV)          
         Changes in stocks are posted in Inventory Management at the time goods receipts are recorded or subsequent adjustments made with regard to subcontract orders.          
         If the account assigned here is defined as a cost element, you must specify a preliminary account assignment for the account in the table of automatic account assignment specification (Customizing for Controlling) in order to be able to post goods receipts against subcontract orders. In the standard system, cost center SC-1 is defined for this purpose.          
         Stock posting (BSX)          
         This transaction is used for all postings to stock accounts. Such postings are effected, for example:          
         In inventory management in the case of goods receipts to own stock and goods issues from own stock     
         In invoice verification, if price differences occur in connection with incoming invoices for materials valuated at moving average price and there is adequate stock coverage     
         In order settlement, if the order is assigned to a material with moving average price and the actual costs at the time of settlement vary from the actual costs at the time of goods receipt     
         Because this transaction is dependent on the valuation class, it is possible to manage materials with different valuation classes in separate stock accounts.     
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         Take care to ensure that:     
         A stock account is not used for any transaction other than BSX     
         Postings are not made to the account manually     
         The account is not changed in the productive system before all stock has been booked out of it     
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         Account determination of valuated sales order stock and project stock     
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         This transaction/event key is required for the revaluation of consumption in Actual Costing/Material Ledger.     
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         Del credere (DEL)
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         Small differences, Materials Management (DIF)
         This transaction is used in Invoice Verification if you define a tolerance for minor differences and the balance of an invoice does not exceed the tolerance.
         Purchase account(EIN), purchase offsetting account (EKG), freight purchase account (FRE)
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         Note
         Due to special legal requirements, this function was developed specially for certain countries (Belgium, Spain, Portugal, France, Italy, and Finland).
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         Freight clearing (FR1), provision for freight charges (FR2), customs duty clearing (FR3), provision for customs duty (FR4)
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         External service (FRL)
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         Offsetting entries for stock postings are used in Inventory Management. They are dependent on the account grouping to which each movement type is assigned. The following account groupings are defined in the standard system:
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         AUF: for goods receipts for orders (without account assignment)
         and for order settlement if AUA is not maintained
         AUI: Subsequent adjustment of actual price from cost center directly
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         BSA: for initial entry of stock balances
         INV: for expenditure/income from inventory differences
         VAX: for goods issues for sales orders without
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         VAY: for goods issues for sales orders with
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         VBO: for consumption from stock of material provided to vendor
         VBR: for internal goods issues (for example, for cost center)
         VKA: for sales order account assignment
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         VKP: for project account assignment (for example, for individual PO)
         VNG: for scrapping/destruction
         VQP: for sample withdrawals without account assignment
         VQY: for sample withdrawals with account assignment
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         ZOF: for goods receipts without production orders
         (mvt types 521 and 531)
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         Note that the goods movement is valuated with the valuation price of the material if no external amount has been entered.
         As no account assignment has been entered in the standard system, the assigned account is not defined as a cost element. If you assign a cost element, you have to enter an account assignment via the field selection or maintain an automatic account assignment for the cost element.
         Account determination of valuated sales order stock and project stock
         Note that for valuated sales order stock and project stock (special stock E and Q) and for the transaction/event keys BSX andGBB, you must maintain an account determination to avoid receiving warning messages when entering data (purchase order or transfer posting) for valuated stock.
         During data entry, the system attempts to execute a provisional account determination for GBB for valuated stock. The system will only replace the provisional account determination for GBB with the correct account determination for the stock account (BSX), in the background, if you enter the data for valuated stock at a later point in time.
         Purchase order with account assignment (KBS)
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         Exchange Rate Differences Materials Management(AVR) (KDG)
         When you carry out a revaluation of single-level consumption in the material ledger for an alternative valuation run, the exchange rate difference accounts of the materials are credited with the exchange rate differences that are to be assigned to the consumption.
         Exchange rate differences in the case of open items (KDM)
         Exchange rate differences in the case of open items arise when an invoice relating to a purchase order is posted with a different exchange rate to that of the goods receipt and the material cannot be debited or credited due to standard price control or stock undercoverage/shortage.
         Differences due to exchange rate rounding, Materials Management (KDR)
         An exchange rate rounding difference can arise in the case of an invoice made out in a foreign currency. If a difference arises when the posting lines are translated into local currency (as a result of rounding), the system automatically generates a posting line for this rounding difference.
         Exchange Rate Differences from Lower Levels (KDV)
         In multi-level periodic settlement in the material ledger, some of the exchange rate differences that have been posted during the period in respect of the raw materials, semifinished products and cost centers performing the activity used in the manufacture of a semifinished or finished product are debited or credited to that semifinished or finished product.
         Consignment liabilities (KON)
         Consignment liabilities arise in the case of withdrawals from consignment stock or from a pipeline or when consignment stock is transferred to own stock.
         Depending on the settings for the posting rules for the transaction/event key KON, it is possible to work with or without account modification. If you work with account modification, the following modifications are available in the standard system:
         None for consignment liabilities
         PIP for pipeline liabilities
         Offsetting entry for price differences in cost object hierarchies (KTR)
         The contra entry for price difference postings (transaction PRK) arising through settlement via material account determination is carried out with transaction KTR.
         Accruals and deferrals account (material ledger) (LKW)
         If the process of material price determination in the material ledger is not accompanied by revaluation of closing stock, the price and exchange rate differences that should actually be applied to the stock value are contra-posted to accounts with the transaction/event key LKW.
         If, on the other hand, price determination in the material ledger is accompanied by revaluation of the closing stock, the price and exchange rate differences are posted to the stock account (i.e. the stock is revalued).
         Price Difference from Exploded WIP (Lar.) (PRA)
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         Differences (AVR Price) (PRC)
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         Price differences (PRD)
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         None for goods and invoice receipts against purchase orders
         PRF for goods receipts against production orders and
         order settlement
         PRA for goods issues and other movements
         PRU for transfer postings (price differences in the case
         of external amounts)
         Price Differences (Material Ledger, AVR) (PRG)
         When you carry out a revaluation of single-level consumption in the material ledger during the alternative valuation run, the price difference accounts of the materials are credited with the price differences that are to be assigned to the consumption.
         Price differences in cost object hierarchies (PRK)
         In cost object hierarchies, price differences occur both for the assigned materials with standard price and for the accounts of the cost object hierarchy. In the course of settlement for cost object hierarchies after settlement via material account determination, the price differences are posted via the transaction PRK.
         Price Difference from Exploded WIP (Mat.) (PRM)
         If you use the WIP revaluation of the material ledger, the price and exchange rate differences of the exploded WIP stock of a material are posted to the price difference account with transaction/event key PRM.
         Price differences, product cost collector (PRP)
         During settlement accounting with regard to a product cost collector in repetitive manufacturing, price differences are posted with the transaction PRP in the case of the valuated sales order stock.
         This transaction is currently used in the following instances only:
         - Production cost collector in Release 4.0
         - Product cost collector in IS Automotive Release 2.0 (product cost collector in connection with APO)
         Offsetting entry: price differences, product cost collector (PRQ)
         The offsetting (contra) entry to price difference postings (transaction PRP) in the course of settlement accounting with respect to a product cost collector in repetitive manufacturing in the case of the valuated sales order stock is carried out via transaction PRQ.
         This transaction is currently used in the following instances only:
         - Production cost collector in Release 4.0
         - Product cost collector in IS Automotive Release 2.0 (product cost collector in connection with APO)
         Price Differences from Lower Levels (PRV)
         In multi-level periodic settlement in the material ledger, some of the price differences posted during the period in respect of the raw materials, semifinished products, and cost centers performing the activity used in a semifinished or finished product, are transfer posted to that semifinished or finished product.
         Price differences for material ledger (PRY)
         In the course of settlement in the material ledger, price differences from the material ledger are posted with the transaction PRY.
         Expense and revenue from revaluation (retroactive pricing, RAP)
         This transaction/event key is used in Invoice Verification within the framework of the revaluation of goods and services supplied for which settlement has already taken place. Any difference amounts determined are posted to the accounts assigned to the transaction/event key RAP (retroactive pricing) as expense or revenue.
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         Invoice reductions in Logistics Invoice Verification (RKA)
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         If a vendor invoice is reduced, two accounting documents are automatically created for the invoice document. With the first accounting document, the amount invoiced is posted in the vendor line. An additional line is generated on the invoice reduction account to partially offset this amount. With the second accounting document, the invoice reduction is posted in the form of a credit memo from the vendor. The offsetting entry to the vendor line is the invoice reduction account. Hence the invoice reduction account is always balanced off by two accounting documents within one transaction.
         Provision for delivery costs (RUE)
         Provisions are created for accrued delivery costs if a condition type for provisions is entered in the purchase order. They must be cleared manually at the time of invoice verification.
         Taxes in case of transfer posting GI/GR (TXO)
         This transaction/event key is only relevant to Brazil (nota fiscal).
         Revenue/expense from revaluation (UMB)
         This transaction/event key is used both in Inventory Management and in Invoice Verification if the standard price of a material has been changed and a movement or an invoice is posted to the previous period (at the previous price).
         Expenditure/income from revaluation (UMD)
         This account is the offsetting account for the BSD account. It is posted during the closing entries for the cumulation run of the material ledger and has to be defined for the same valuation areas.
         Unplanned delivery costs (UPF)
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         Input tax, Purchasing (VST)
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         Inflation posting (WGB)
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         Goods issue, revaluation (inflation) (WGI)
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         Goods receipt, revaluation (inflation) (WGR)
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         When you use the WIP revaluation of the material ledger, the price and exchange rate differences that are to be assigned to the WIP stock of a material are posted to the WIP account for material.
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         Postings to the GR/IR clearing account occur in the case of goods and invoice receipts against purchase orders. For more on the GR/IR clearing account, refer to the SAP Library (documentation MM Material Valuation).
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         GR/IR clearing for material ledger (WRY)
         This transaction/event key is not used from Release 4.0 onwards.
         Prior to 4.0, it was used for postings to the GR/IR clearing account if the material ledger was active. As of Release 4.0, the transaction is no longer necessary, since postings to the GR/IR account in parallel currencies are possible.
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    Thanks,
    Rau

  • OKC9 Substitution for OBYC - DIF Transaction Key

    Hi Gurus,
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    Thanks,
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    Hi
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    0000032654 High level automatic account assignment
    0000105024 Automatic a/c assignment (OKB9) does not work
    0000409520 Goods/invoice receipt: Default account assignment ignored
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    http://www.sdn.sap.com/irj/scn/index?rid=/library/uuid/b0eb4e57-c78c-2d10-e0bd-eca8728e7037
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  • Transaction Key PRD_PRA

    HI All,
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    2. how PRD-PRA is differ from the PRD
    3. in which scenario PRD_PRA  will be assigned with GL
    Thanks

    Hi
    In PRD we assign accounts for price difference. It is independent of ML activation and has no relevance to ML.
    PRD can be used with/without account modifier. If you use account modifier, you can assign separate account for price differences from purchase order or production order etc.
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    In normal cases PRA will not picked because goods issue is generally done for raw materials which are maintained with price control V.
    Generally PRA can be assigned with the same account as that for normal PPV (purchase price variance) account unless business specifically wants to assign something else.
    Hope this helps
    Regards
    Abhinav

  • Transaction code for creation of  transaction keys in obyc

    Dear Experts,
    Can u tell me what is the transaction code for creation of transaction keys in obyc asap.
    Thanks & Regards,
    Radhika.

    Hi
    There is no TCode and the path is
    SPRO-Material Management-Purchasing-Conditions-Price Determination....
    Cheers
    Srinivas

  • Query on OBYC  Transaction key

    Dear Experts ,
    I have a few queries regarding automatic postings :
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    2.What process triggers the transaction key BSV? what type of account should be assigned here ? Hw different is it from GBB-VBO ?
    3. What is the difference between DIF , PRD & UMB ?
    4. Is GBB-VKA relevant for make to stock scenario ?
    Regards
    Anis

    Hi
    1) AUM is triggered if the material iin supplying planrt is  maintained either in MAP or Standard price and  material in recieving plant is in stamdard price and there should be a price difference.The differencial amount will be posted to the Expense/Income  account through AUM
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  • [HELP] OBYC Transaction Key - DIF

    Hello Gurus,
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    I have a customer requirement to set another transaction key for small differences in invoice. And i don't know if it's possible to set a different transaction key than DIF.
    If there is a way to do it, can anyone show me the way?
    Regards,
    Rafael

    Hi Rafael,
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    For this you should define the G/L accounts against the key in OBYC settings.
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  • OBYC Delivery Costs Transaction Key

    Hi,
    I want to change the GL accounts that are impacted when i post for delivery costs in a Purchase Order. Can someone let me know in OBYC what is the 'Transaction' where i can configure for the same.
    Please Advise.
    Thanks,
    Safi

    Hi,
    Please check transaction key UPF for Unplanned delivery costs or FRE for Purchase freight.
    Assign points, if useful

  • OBYC - Transaction key FR1

    Dear All,
    I want to add general modified in rules of transaction key FR1? as per standard SAP, we have debit/credit, valuation modifier and valuation classes are there.
    is there any possibility to add, because as per our client i have to assign different Freight clearing accounts based on Geographical area. by using general modifier i want to assign different Freight clearing accounts.
    Can any one suggest me - how we can meet the requirement?
    thanks & regards,
    Ramesh B

    hi,
    i didn't find any option to add new rules for transaction keys.
    For example for transaction key "WRX" - accounts are determined based on : debit/credit, general modificaiton,valuation modifier,valuation class.
    For FR1 - we have only debit/credit, valuation modifier,valuation class. But here i want to add general modificaiton.
    is it possible. if yes, how can we add.
    I don't want to create any new transaction keys, because we are using only one MM pricing schema and one condition type.
    thanks & regards,
    Ramesh B

  • OMWB transaction key Issue

    Dear All,
    As per our customer's requirements we have created a new transaction/event key & assigned the same in existing Cal.Schema. The G/L A/C for the new trans key is also defined in OBYC.
    After all the these when we Checked in OMWB transaction - G/L accounts tab then both transaction key as well as the G/L which  we assigned to the new  transaction is not displayed..
    So can anyone provide some inputs on why the system is not displaying the newly created G/L & transaction key in OMWB - G/L Accounts tab ?
    Thanks in advance &  Have a Nice Day!
    Regards,

    Hi Kishore,
    Thanks a lot for the reply.
    As you suggested I have checked in T030 table & I can find a entry there with values for Chart of A/Cs, Trans Key & G/L A/C. (Since in OBYC I have specified my G/L A/C for trans key with ref to Posting key only)
    So the fields - Val grouping code, valuation class & Acct modifier are blank for the above entry.
    Now even if there is an entry in the above table the transaction key & G/L A/C is not displayed in OMWB - G/L A/C tab.
    Hope its clear.
    Awaiting your reply..
    Regards,

  • Account grouping/Transaction keys PRD/DIF

    Hello Gurus
    I have a situation that some MIRO posting are using PRD and some are using DIF transaction keys. For some reason  The postings with DIF are not picking up the material thus resulting in putting dummy profit center.
    Please advise the difference between PRD and DIF and how  these are triggered during MIRO transactions.
    Many thanks
    MSJ

    HI Jayaram/Surabhi
    The see what you are saying and it make sense after I read your reply.
    The reason that I say that few MIRO postings are using DIF is because the posting key 83 debit and 93 credit are defined in the OBYC for DIF.
    So when I looked at the document in the Vendor acct (after I post MIRO), I see the profict center and material missing for posting keys 83 and 93  for some postings.
    Wheras I can see the profict center and material for posting keys 86 and 96 for some othe MIRo postings which use these posting keys.
    Of course  all these postings are generated automatically
    So my question is where do I make a setting to have the material and profict center generated for posting keys 83 and 93.
    I appreciate your help on this critical issue for me.
    Please advise.

  • Assign GL account in two transaction keys

    Hi!  In OBYC,  is it possible for us to assign the GL account twice?  We would like to use a specific GL account in two Transaction Keys.. Is that possible?
    Thanks so much!
    Regards,
    Paula

    Hi,
    BSX- Account is Balanc sheet account.
    PRD is P& L Account-- the same varient G/; account only can assign to twice.
    Check in FS00. the G|L account  account group.
    SAM

  • Transaction key FRL and FRN

    hello all,
    In case of goods recipt of subconracting po.the transaction event key FRL or FRN is hitted as sap standard process.
    FRL External activity.
    FRN Incidental costs of external activities.
    IN OBYC SAME G/L IS assignes to both keys.i want to know that,the value goes to this g/l is loaded into inventory or goes anywhere?
    What is the use of these transaction key and how it effect the inventory value?
    thanx in advance.
    regards
    SIMRAN

    Hi Sumit,
    Kindly look into the note 108844 which explains the posting logic foe subcontracting with Purchase ACcounT Management
    active
    If the purchase account management is active, and if is GR or IR for the
    subcontract order are concerned, the system uses posting keys FRL and
    BSV instead of posting keys EIN and EKG.
    >> If the purchase account management is active, and if is GR or IR for
    >> the subcontract order are concerned, the system uses posting keys
    >> FRL and BSV instead of posting keys EIN and EKG.
    = no postings to EIN/EKG/FRE  -> EINEKGFRE = 0
    regards,
    Lalita

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