Order Credit Check for the Dealer

Dear
While Creating delivery from The Sale Order , The Order is blocked due to credit Check
But Ther dealer is having Least Amount balance, we want to create Delivery For The Avail amount Based on material Wise .In The Order Header status , Credit Check has been updated, we want 2 know which table/ field is updated, when i try to get  The field thru F1 help , its found a structure (Description )
Structure name is VBSTT-CMGST_BEZ
I need a Table name / where the description like approved/ released get Saved.
Thanks in Advance .

Check the table: VBUP
fields : CMPPI,
           LFSTA

Similar Messages

  • Order Credit Check of The Dealer

    Dear
    Hi, This is Little bit techno-Functional , Kindly help me out
    This is the Scenario
    While Creating delivery from The Sale Order , The Order is blocked due to credit Check .
    But Ther dealer is having Least Amount balance, we want to create Delivery For The Avail amount Based on material Wise .In The Order Header status , Credit Check has been updated, we want 2 know which table/ field is updated, when i try to get The field thru F1 help , its found a structure (Description )
    Structure name is VBSTT-CMGST_BEZ
    I need a Table name / where the description like approved/ released get Saved.
    Thanks in Advance

    hi
    check the following tables hope you may get the required data
    VBUK-CMGST
    VAKCR-CMGST
    REGARDS
    rithvika

  • Credit check for the first sales order

    Friends,
    We are using dynamic crdit check.
    we set credit limit for Rs 100000. Now when I am creating first sales order for Rs. 500000, system allow to do it.
    Practically it should not allow to do it. How to handle this? please help.
    Thanks

    Dear Pratap,
    Enusre that in OVAK, you have the check credit as D and the credit group as 01.
    The credit check will be either static or dyanmic based on which indicator you are choosing in the transaction OVA8.
    Open order:Orders which are not delivered and relevant for credit check.
    Open delivery: Delivery which is not invoiced and relevant for credit check.
    Open billing doc: Invoice to which accounting document is not genereated yet in the system.
    Open Items: Accounting documents which are due from the customer, and cleared in the system yet.
    These are all the basic definitions to explain the difference between static and dynamic check.
    The difference between the static and dynamic check is as below.
    In case of static check, all the open order, open delivery, open billing document, opn item will be considered during the credit check.
    In case of dynamic check, you will be specifying the HORIZON period which will restrict the open orders to be considered for a certain period.
    That is to say, if you keep the HORIZON as 2 M, then the orders which are due for delivery beyond 2 months will be ignored; remaining open orders, open delivery, open billing document, open itms will be taken into consideration as it is.
    If you don't use the HORIZON period, I would suggest you to activate the indicator STATIC rather than dynamic. Hope this clarifies.
    Please do revert if need any more clarification.
    thank you
    Venkatesh SP

  • Simple credit check for service orders(TAD)

    hi
    we have configured simple credit check for ZOR and with delivery block. since TAD is order related billing even though credit limit exceeds they can bill the customer.Now I have to configure simple credit check for serive orders with item category TAD and it should give billing block.please give me the details on this.

    Hello Chait
    To release credit block from CRM GUI, please go to header status tab here is the button 'Credit Release'.
    To release credit block in WEBUI, please check the items block, in more functions you can find the 'release credit block' link.
    Best regards,
    Maggie

  • Error while releasing credit block for the order

    Hi all,
    I am getting follwing error while releasing credit block for the order in VKM1
    Incorrect index structure for table IVBEP1
    Text
    Incorrect index structure for table IVBEP1
    Diagnosis
    Internal error.
    Procedure
    Repeat the transaction.
    If the error occurs and you have a CRM System connected to your SAP R/3 System, the document may have been archived in the CRM System.
    If the error occurs again, inform your system administrator. If the error cannot be corrected, call the SAP Hotline directly. Describe which steps preceeded the error.
    But we are not transfering any orders to CRM.The order can be only seen in R/3
    Please assist
    Regards
    Mano

    Hi
    KIndly check the oss note 505876 in may help you
    Regards
    Damu

  • Credit check for sales order creation using BAPI

    HI,
    I am using BAPI_SALESORDER_CREATEFROMDAT2 for creating sales order.
    I want the credit check for a customers credit limit done while creating the sales order. Is it possible to make
    credit check with above bapi? If it is possible please give me the solution.
    <b>Helpful answers will be rewarded</b>

    hi,
    it's the same code that is executed for the credit check in the bapi as in va01
    If you put in the correct data, see sap note 366265, the credit check will be executed
    kind regards
    Paul Q

  • Credit Check for "Not Relevant" sales order items

    Hello All,
    I am having a situation where my client takes advance reservations almost an year in advance.
    The sales order items have schedule line category to not consume inventory and so the overall status on each line item is "not relevant". The credit status on the order is "not performed". Since the overall status is "not relevant", the sales order amount is not added to the credit master receivables.
    We have around 100K orders and I am trying to see if there is a good solution to do a credit check on all these orders.
    I am in a desperate situation and would really appreciate a quick response.
    Thanks very much for your help.
    AM

    Hi Shiva Ram,
    Thanks very much for your reply.
    When I change the schedule line category on the items, the overall status on the line item changes to "Open". The credit status of the order will be "not performed".
    If I were to create an advance order with items consuming inventory, it goes through a credit check with the existing configuration.
    AM

  • Credit check for existing Verizon customer

    Hello!  I am looking for some assistance.  I recently received an email from BB about a 2500 point Reward Zone bonus for buying a new phone w/ a two year plan.  I am currently on my mother-in-law's family plan but due for an upgrade.  After going through all the checkout steps, I was met with a request for a credit check for my mother-in-law.  This makes little sense to me, as we have been Verizon customers for years and have a total of four accounts with them under this plan.  If we are longstanding customers with Verizon, why does Best Buy claim Verizon needs to do a credit check?  I know one wouldn't be necessary if we were to go to an authorized Verizon dealer for this purchase.  So how can BB claim the check isn't for themselves when Verizon already has no issue with the account's credit?
    I would love the bonus points but I'm not about to dent my mom-in-law's credit with a credit check.  It sours me on ever going through Best Buy for any mobile service in the future.  If Verizon is fine with the account and the current credit status, why does BB force one on us while claiming it's for a company that alreayd has no issue with the account holder's credit score?

    All credit checks are done through the carrier. Verizon does periodically request updated an credit report, even when performing an upgrade. This same process would take place no matter where you get your phone -- Best Buy, Verizon corporate stores, or other third-party dealers.
    Dan K. | Mobile Specialty Stores
    Any opinions expressed in this post are those of
    the author and do not represent Best Buy Co., Inc.

  • Credit check for delivery

    Hi, I met some issues need your help!
    Currently, I have set the credit limit check at delivery level.and the reaction status is B(error message)
    and define a table Z_LOG for record the relevant infomation by user-exit.
    1. Create sales order with VA01, and write down the relevant information into Z_LOG.
    2. Create delivery with VL01N. if this document has exceed the limit value,The system will appears an error
    message and failed to create. but I want to record this error message into Z_LOG base on the
    sales document. Have any user-exit  to solve this problem?? Thanks a lot!
    The structure of Z_LOG as below.
    SO,  SOItem,  Material, Q'ty, Delivery, Delivery Item. Error.

    Hi
    Please check if you have assigned the credit group to delivery document and respective credit checks are maintained in Automatic credit check with the credit group used to delivery. Also check the static and dynamic check are ticked according to your requirement and ticked in block as well.
    If still you are facing the problem please check FD32 and check if proper delivery cost is excuted when you create delivies and the credit limit get used. In short check your info structures are properly updated.

  • Over due items are not considered in credit check for customer

    Hi Gurus;
    We have static credit active for the sales order which is blocking  if the  sales value is more than the customer credit balance   but it is not checking for over due item i.e the billing document  whose accounting document  hasn't been cleared yet .Though i have maintained same number days for payment terms and risk category  for the customer .
    Kindly guide me if have missed out any configuration or setting .
    Thanks in advance .

    Hi Nuru,
    Hope you are using automatic credit check and not simple crdit check ..Check that.
    Is ur update group a standard one..?
    Please paste screenshots of FD33, credit status, OVA8 etc.
    Regards
    Jobi

  • When you register your credit card for the first time in Mac App store, Does Apple put through a 1 dollar charge to verify the card ?

    When you register your credit card for the first time in Mac App store, Does Apple put through a 1 dollar charge to verify the card ? Please I need this answer so as to download the latest Mountain Lion upgrade. Thnx in advance.

    The Apple Support Communities are an international user to user technical support forum. As a man from Mexico, Spanish is my native tongue. I do not speak English very well, however, I do write in English with the aid of the Mac OS X spelling and grammar checks. I also live in a culture perhaps very very different from your own. When offering advice in the ASC, my comments are not meant to be anything more than helpful and certainly not to be taken as insults.
    Many folks have reported that this is true. However, the charge is not taken to the second step of completing the charge and the $1 revolves back to your account.

  • Credit limit for the customer hierarchy

    Hi All,
    Our client needs a report to show the total Credit Limit assigned to Global customer as shown below. It will be the summarization of individual credit limits of all the customers linked to this Global Customer. It will be a BI report.
    Can someboby please tell me as to how to create the credit limits for the customer hierarchy? Also, hoe to fetch these valus in the report?
    Customer No     Customer Name      Total Credit Limit     Individual Credit Limit
    1000000             Carrefour                      970,000,000.00      
    1000001             Carrefour France                             300,000,000.00
    1000002             Carrefour Spain                                             200,000,000.00
    1000003             Carrefour Belgium                             90,000,000.00
    1000004             Carrefour Greece                             85,000,000.00
    1000005             Carrefour Italy                                             200,000,000.00
    1000006             Carrefour Turkey                                             50,000,000.00
    1000007             Carrefour Poland                             45,000,000.00
    2000000             Metro Group                      290,000,000.00      
    2000001             Metro Austria                                             25,000,000.00
    2000002             Metro France                                             53,000,000.00
    2000003             Metro Spain                                             48,000,000.00
    2000004             Metro Germany                                             63,000,000.00
    2000005             Metro Switzerland                             15,000,000.00
    2000006             Metro UK                                             60,000,000.00
    2000007             Metro Portugal                                             26,000,000.00
    Regards,
    Raghav

    Hi,
    Credit limit is maintained on payer level and you are not able in standard to split it between sold-to or assign N sold-to to one global limit. You have to extend the credit control functionality to check the credit limit additionally for the global limit customer. Unfortunatelly you cannot implement it without development.
    Regards,
    Marcin

  • Sales Order - Availability check for components

    Hi All,
    I have 2 parts to my qns.
    1. When a sales order is created for a component, with a req date, the system checks & informs if the mtl can be provided on the req date & if not proposes a new date - May i know which checking rule is used & also what all does the system check for?
    2. A component say 'ABC' is used internally for production purpose & also sold as a spare part. A sales order for this component is created with a req dt. say 1.3.2008. The system commits the stock to the sales order. A production order is created later with a req. dt for 'ABC' say 1.2.2008. So when i carry out a collective availability check for the plant with ATP checking rule & with availability check reset indicator ticked, i believe the system should reset the commitments made to the sales order & assign the stock to the production order, but it is not happening so. Once the commitment is made to the sales order, it is not resetting, how can i change this behaviour?
    Await inputs.
    Anyone to help on this?
    Edited by: Vivek on Jan 15, 2008 10:56 AM

    As we know, availability check is controlled by the combination of checking rule and the checking grp.
    U can see this at OVZ9 Screen. checking grp is proposed from material master Sales org 2 view or MRP2 views.
    In the OVZ9 screen itself, we are setting what are all the stocks the system has to include when doing availability check.
    The checking rule specifies the scope of the availability check for the respective transactions in sales and distribution by specifying precisely which stocks, receipt and issue elements should be taken into account during the availability check.
    Every checking rule is allocated to a checking group: together these two elements determine the final inspection requirements. In addition, the checking rule includes a specification whether or not an availability check should take into account the replenishment lead time.
    Currently, the checking rule is predefined in SD.
    while answering to the second question, i think the system carries out the availability check again at the time of delivery, provided u need to maintain the availabililty check indicator at req. class level.
    Hope i answers.
    Reward points if it is useful.

  • Where to Authorization check for the plant while creating outbound delivery

    Hi Experts,
    For outbound delivery , the standard program is not doing the authorization check .
    Can i use BADI       *LE_SHP_DELIVERY_PROC *        and the method :     DELIVERY_FINAL_CHECK
    To write Authority-check statement ,
    If the particular is not authorized for any of the plants of the items in the outbound delivery i will throw a error message
    Can i use as above?
    And if i use it has to apply only for outbound delivery?Because for inbound delivery also the same BADI is getting triggered?
    Please suggest.
    Regards
    Ramakrishna L

    Hi,
    Yes you can use the said BAdi and the method if it is triggerd before the SAVE of the Outbound Delivery Order to do the Authorisation Check. In case the code is triggered for all the orders and you want only to restrict for the Outbound Delivery, then check for the Delivery Type (LFART) from the Delivery Header table for only the Outbound Delivery Order.
    Thanks,
    Susanth Swain

  • How to maintain two credit limits for the same customer.

    We have two lines of business for the same company code. One customer is trading in two lines of business.
    We want to maintain two credit limits for same customer. How is this possible.

    Hi,
    Credit Limits are assigned to customer master in a credit control area, so a customer can have different credit limits for the different credit control areas.
    (Please note that Credit Control Areas are normally assigned to company codes or sales area.)
    But if you are having only one credit control area, then only one credit limit can apply.
    However you can use the user exits to put any check you want for the customer. There are various user exits available for it like LVKMPTZZ,LVKMPFZ1,LVKMPFZ2 and LVKMPFZ3 in transaction SMOD
    Regards,
    Gaurav

Maybe you are looking for

  • How do I create a chat in my server?

    I am building an mmorpg game and one of my first tasks is to create a chat, now I have no idea about how it is working. The only thing that I do know is that there is two ways to do it, one of them will force me to update my chat page all the time an

  • Wish list for managing photos in iPhoto

    Looking at the number of posts on the topic, it is obvious that there is lot to be enhanced in the way iPhoto manages your photo library and files. So in order to make it as straight forward a possible, this post is aimed at debating what the require

  • AppleCare policy problem

    My Hard Drive on Mac Pro died on 26th of December. I brought my Mac Pro station to the Apple Store in Tyson's corner, VA and they said the hard drive is totally damaged and probably there are problems in the memory too. To recover some data that I di

  • S/MIME in iOS5

    Hello there, Has anyone heard any news regarding the inclusion of S/MIME on iOS5?  I know it is still a few months off - I was just curious if any details about this have been released that I have not been able to find yet.  Specifically, the ability

  • Line breaks where I didn't put them??

    When I write emails I hit return where it seems there should be the end of a line. Then when my recipient replies, I see my email the way they received it and it looks horrible because it looks like this on some lines. I can't figure it out. Am I sup