Output on Credit memos

All,
I need to be to able to setup a way where we can choose not to produce an output on credit memo. However there are some instances where we do want to have an output for a credit memo but ideally if we can have an option of producing/not producing an output, that would work great.
Thanks

Why dont you control this using t.code VV32 itself?
Just set the dispatch time as 1 or 3.
By this way, system won't print immediately, but the user can print through VF02/VF03, when needed.
Regards,

Similar Messages

  • EDI billing outputs are capturing credit memos as well as invoices

    I am a newcomer to the company I am currently with, and to this forum, and I have 6 years of experience in EDI and SAP SD.
    I am working on a project to determine why our EDI billing outputs are capturing credit memos as well as invoices, and attempting to send them by EDI, causing failures in our Seeburger translator.  Most customers donu2019t want credit memos by EDI. My goal is to track backwards and determine what portion of the EDI process in SAP is pulling credit memos rather than just invoices.  I suspect that someone intentionally made changes in the past to put this in place, but we need to have a message type that includes invoices and credit memos, to be attached to specific partners that want this, and another more standard message type that sends only invoices. 
    The message control for the example partner specifies Message Type ZURH (customized by this company for some reason), Application V3 (which seems standard), and process code SD09 (which seems standard).  Could someone help me to navigate to an area where I may be able to find out what parameters are used to determine what transaction types are pulled to be sent out by EDI for billing?  I suspect that the issue may be in Application V3, but I am unable to find any help to view u2018Applicationsu2019, because application is such a widely used word. 
    How can I display/change Application V3, in order to check itu2019s contents?
    Any other ideas why credit memos may be included would be appreciated, and I always appreciate having the transaction codes mentioned as well.
    Thank you in advance for your assistance. 
    Application V3 (what specifies what transaction type this pulls?)
    Message Type ZURH,
    Process Code SD09.
    Access Sequence used is ZSD1 Billing Documents (Access Sequence ZSD1 does not appear in transaction V/48 (?))
    Transmission Medium is 6 EDI.
    The program is RSNASTED, and the FORM Routine is EDI_PROCESSING.

    Satish,
    Thanks for the suggestions.
    I checked transaction VV33 u201CDisplay Output Condition Records: Billingu201D for Output Type ZURH, Key Combination Sales Org/Payer, and I find the example customer  linked to ZURH, as I would expect (5010013645     BEST BUY CANADA  Vendor #41448     PY          6     1). 
    I donu2019t see any data about specific transaction types such as credit memos or invoices, so I may not be looking in the right place.  I donu2019t find entries under any other key combination.  How would I check if Output Condition records are maintained for credit memos?
    In regards to the output type being assigned to the credit memo billing type (ZG2U), Iu2019m afraid I donu2019t know how to check that either. 
    In NACE, I see that u2018Proceduresu2019 list the CTyp (?), and procedure US0001 is the only one that includes credits and debits. I donu2019t recognize the Ctyps ZDN0 and ZCN0. The billing type is ZG2U, which I don't see in any of the Procedures:
    10     1     RD00     Invoice
    20     2     ZPRO     Proforma Invoice
    30     1     ZCAN     Canadian Cust. Inv
    40     1     ZCOM     Commercial Invoice
    50     1     ZDN0     Debit Note
    60     1     ZCN0     Credit Note
    How would I be able tell which u2018Procedureu2019 is being used for Application V3, and how would I change that to another Procedure for testing?

  • CREDIT MEMO OUTPUT TYPE !

    I  got a stuff in www.****************  where they have used NEU as message type / output type in case of automatic idoc generation when PO is created or changed.
    I have a requirement for automatic idoc generation when credit memo is created...i have selected application V3 ..in NACE
    What will be the output type here ?

    check this link. it has given how to set output type for pdf/smart form, I think same output type need to be used but for Idoc type GSVERF
    http://help.sap.com/bp_bblibrary/500/Documentation/G93_BB_ConfigGuide_EN_US.doc
    In this step you define a Output Determination Procedere for the Billing Documents (Credit Memos) creating on Sales return Process.

  • Automatic generation for credit memo

    Hi Experts ,
    I have 2-main scenarios for vendor returns process :
    1- Regular Scenario:
    a-Replacement the rejected goods after sending these goods back to the vendor(in this case the fresh goods will be received against the same P.O)
    b- creation of credit memo , that means the vendor won't be able to replace the rejected goods (in this case , my client wants to generate credit memo in the system automatically or some alert to be triggered to the responsible person to create the credit memo in the system ?????)
    2-Scrap Scenario:
    a- vendor will tell my client to scrap the rejected goods  and he will send fresh goods instead of these rejected (i this case my client will receive the fresh goods by movment type "501" to avoid affecting the moving average price of material, so how the warhouse person will come to know that fresh goods will be against these goods which has been scrapped?????)
    b-vendor will tell my client to scrap the rejected goods  and he will ask my client to place debit note for him (in this case , my client wants to generate credit memo automatically or some alert to be triggered to the responsible person to create credit memo in the system????)
    Regards

    check this link. it has given how to set output type for pdf/smart form, I think same output type need to be used but for Idoc type GSVERF
    http://help.sap.com/bp_bblibrary/500/Documentation/G93_BB_ConfigGuide_EN_US.doc
    In this step you define a Output Determination Procedere for the Billing Documents (Credit Memos) creating on Sales return Process.

  • Problem while doing invoice for Credit memo request

    Hi all
    I very well known that Out boud Delivery is not needed for Credit memo request but after saving the CMR and when i raise the Credit Memo (VF01) system is showing a error message saying "PGI not done for Outbound Delivery 30047402"
    In CMR document type i have set the order related billing and i have removed the billing block also
    I have raised the CMR based on Invoice
    Kindly help me in this regard
    Regards
    BMS

    Hi Raj Aryan Malhotra, Thanks for ur reply
    The setting which u said are already there
    The second one that is, change the copying requirement of header to 11. i did this but this time the message was different "The document is not relevant for billing" . After checking the log i could the follwoing info
    Client                                                   240
    Group Number
    Sales Document Number
    Item Number of the SD Document         000000
    Schedule Line Number                         0016
    Counter in Control Tables                     00
    Message Identification                         VF
    System Message Number                    016
    Output Type                                        I
    Message Variable 01
    Message Variable 02
    Message Variable 03
    Message Variable 04
    Group Type                                         F
    Kindly help me to resolve this also
    Regards
    BMS

  • Inter Company Credit Memo (Internal Credit Memo)

    Hi,
    I have searched the forum using: 'Inter Company Credit' ' Internal Credit Memo' and 'IG'.
    Found some information but still do not have full picture.
    We use an inter company process - similar to cross company selling - where company code A supplies company code B via an inter company PO.  Company code A then bills company code B using the standard inter co billing type (IV), this has output RD04 set up which makes the posting via an idoc into the receiving company code's financials.
    This all works very well.
    Although we are now at the stage where we need to issue internal credits ie company code A credits company code B - for example goods did not arrive.
    Seems that this is a real grey area - searched everywhere - internet, SAP, books etc.  I have not found any comprehensive information ie full process and configuration required.
    I have learnt that all inter-company billing must be in relation to a delivery - is this correct?
    I have 2 scenarios:
      1.  Goods are returned back to the supplying company code, so therefore need to to raise an internal credit memo.
    Can returns order RE be used for this, using company code's B internal customer number as the account number?  RE is set up with the inter-company billing type IG, so this would bring the stock back on hand into company code A.
    The credit would then be processed against the rtns delivery (LR) but how would billing know which billing type to use, in other words does billing know that we are trying to process an inter company transaction?
      2.  Goods are not returned - just wish to process a credit.
    As a delivery document is required, we still need a delivery to be created in this process.
    I have found SAP note 24756 which explains the set up  of new order type, doc flow, item cat etc -  I think this is all required so that the returns delivery used is just a dummy delivery therefore not relevant to warehouse / PGI.  Is this set up still required?
    Does anyone out there have any experience in this area?  I think there is a real lack of knowledge in this area......I'm really struggling!!!!!
    Incidentally we require the credit to be processed via idocs same as normal billing.
    We are on 4.6C.
    Many thanks in advance.
    Regards
    Guy

    Unfortunately, I don't have enough experience with intercompany billing to consult you on these questions. Also I've never worked with a release older than 4.7.
    You might want to read [SAP Help|http://help.sap.com/saphelp_470/helpdata/en/dd/5614e7545a11d1a7020000e829fd11/frameset.htm] and request your manager to get a consultant specifically with the intercompany experience for a few days.
    When posting on SDN, I'd recommend to ask only specific questions when you run into an issue (after you've done research and tried to resolve it yourself, of course). Large "blanket" posts rarely get any response here (and for a good reason).
    I'm guessing that your sales org. error is because one of these prerequisites is missing:
    - Permissible combinations of plant and sales organization must be defined
    - Sales area data (sales organization, distribution channel, and division) must be assigned to each plant that participates in intercompany sales processing
    This is mentioned in SAP Help (see link above).
    Good luck!
    Update - additional reference materials:
    [How to configure Inter Company Billing|http://www.sap-basis-abap.com/sd/configuring-intercompany-billing.htm]
    [SD Book on Google (fragment)|http://books.google.com/books?id=GzH8bvbV6RAC&pg=PA277&lpg=PA277&dq=SAPintercompanybilling&source=web&ots=5CB4kVqJR_&sig=C_tGc5EmJg3AMZhhs83700WGU5U&hl=en&sa=X&oi=book_result&resnum=8&ct=result#PPA276,M1]
    Edited by: Jelena Perfiljeva on Jan 14, 2009 9:20 AM

  • Credit memo print preview problem

    Hi Friends,
    The present process is return sales , in which return sales order created with reference to sales order, Credit memo request created and Credit memo also created.But the problem is not getting print preview.Error message is Excise invoice corresponding to the document type is not found.
    We are generating Excise invoice Automatically, Is there any effect of this on the present issue.Please give some hint.
    Thanks
    Chetan

    Hi,
    See normally we have excise invoice creation automatic when invoice is saved. In such cases we have a check in the print program of invoice, which prevents its printing if excise invoice is not created.
    In case of credit memo, you might not be creating any excise invoice, but the print program attached might be preventing its printing also.
    Check that such a check is given in print program for credit memo output, if yes you may have to remove it.
    Hope this helps you.
    Regards,
    Dhananjay

  • Rebate Credit memo -ve value, how to convert it to Debit Memo ?

    Hello All..
    I have problem related to Rebate
    Situation is as follows:
    A rebate agreement is created for a year with 2% of accruals at first  stage and a partial payment is done. After some time we realised that  accruals should have been at the rate of 1% instead of 2% and we made  changes in the condition records of rebate agreement. At the time of  final settlement system has generated a credit memo request for negative value which is correct because there was partial payment based in 2% of accruals and agreement is now with 1% accrual.
    Actually as there is -ve value, system should generate debit note instead of credit note?
    Analysis upto now -
    The Agreement type has been assigned with a Credit Memo Request as "Final settlement".. So the system will surely create the Credit memo request. BUT, when there is -ve net price, how can we shift to Debit Memo Request? If the ABAP development is required, where and how can we control this ?
    Thanks in advance for your help
    Edited by: kunal_sg on Jul 19, 2010 7:56 AM
    Can anyone please advice ?

    Thanks Christian!
    Just got a niggle though.
    How do I know which entry in NAST is my one i.e. the one that was recently triggered from the output type?
    DO we look for the most recently created one?
    Or is there a flag? If so do I then need to close this flag field when I've finished witht the data?
    Much obliged

  • Credit Memo and Debit Memo extraction by extractor

    Hi,
    I've to extract data from 2lis_13_vditm datasource.
    Let us say if credit memo and debit memos are coming from this then key figure values are going to be multiplied with -1 for credit memo and debit memo will come +ve values correct?

    Hi
    This may be helpful.
    use the same Invoice Script/smartform for Credit/debit memo's
    INVOICE
    Output type : RD00
    ScriptForm Name : RVINVOICE01
    Driver Program Name : RVADIN01
    smartform name : LB_BIL_INVOICE
    Smartform Driver Pgm: RLB_INVOICE
    Reward points if useful.
    Thanks & Regards
    vinsee

  • Credit memo and debit

    I need the 2 standard form name for credit memo and debit memo.Its SD related.
    Where can I find ?
    How to link with print program after customizing.
    thanks

    Hi
    This may be helpful.
    use the same Invoice Script/smartform for Credit/debit memo's
    INVOICE
    Output type : RD00
    ScriptForm Name : RVINVOICE01
    Driver Program Name : RVADIN01
    smartform name : LB_BIL_INVOICE
    Smartform Driver Pgm: RLB_INVOICE
    Reward points if useful.
    Thanks & Regards
    vinsee

  • Document Type is Changing While Doing Credit Memo

    Hi Experts,
    I am doing the AR Credit Memo, based on (copy from) AR Invoice, Once i copied all the data, i am just adding the document.
    While adding the document, system popups the serial number selection screen, ( my items are managed by serial number), so at the time of loading serial number selection screen my AR Credit memo document (matrix) type goes to Service type automatically.
    But if  i continue to add the document, its getting added.
    Serial Number Transaction report is given correct data and Inventory Posting too.
    Its very strange.
    Can anyone suggest me how to overcome from this issue and what is the problem.
    Technical Information:
    SAP Business One 8.8
    Service Pack 00
    Patch Level 12
    DB:  MS SQL Server 2008
    Server: Windows 2008
    Client : Windows XP
    No Customized or standard add ons connected to the company.

    Hi Mr. Sanju Sivan,
    Even my line items are having more than 20 Serial Numbers.
    Hi Mr. Jambulingam,
    The Journal Entries are posted correctly, document added properly, inventory is fine, serial number transaction is also fine.
    For your ref.
    Journal Entry for that document. Document Value is 10400.00 (500 Unit Price * 20 Qty + 4% VAT)
    Accounts                               Debit                         Credit
    Customer Account                                                   10400.00
    VAT 4% Output                          400.00
    Sales Return                           10000.00
    Stock Account                          9845.00
    COGS                                                                9845.00

  • Printing of Vendor Credit Memo - Urgent

    Hi Experts,
    I want to issue a print output of Vendor Credit Memo to vendor.  Could I get the configuration steps please.
    regards,
    Mallik

    If you are talking from FI Credit memo, pls do configure the following : Under AR/AP in FI.
    Define Correspondence Types
    Create Report Variants for Correspondence
    Assign Programs for Correspondence Types
    And use T codes Fb12 and F.61 or F.62 as per your requirement.
    Pls check whether the available standards applicable for your purpose.
    regards
    S

  • Sapscript for Debit Memo and Credit Memo

    I want to create the debit memo and credit memo scripts.
    I am not getting the standard scripts and output type so that i can modify it and according to my requirement.
    Please let me know the standard sapscripts for the credit memo and debit memo.

    Hi
    use the same Invoice Script/smartform for Credit/debit memo's
    INVOICE
    Output type         : RD00
    ScriptForm Name     : RVINVOICE01
    Driver Program Name : RVADIN01
    smartform name      : LB_BIL_INVOICE
    Smartform Driver Pgm: RLB_INVOICE
    Regards
    Anji

  • Add Non-rebate Condition Types to Rebate Credit Memo

    Hi guys,
    I have a requirement as follows. The client wants to make some deductions from their customers rebate settlement credit memo as follows:
    Customer's sales volume = 52,000,000.00
    Rebate value due is 5% =  2,600,000.00
        DEDUCTIONS
       10%  Withholding tax due on Rebate value =     260,000.00
          Management fee of 0.75% of turnover =      390,000
        5%  Vat on Management Fees =                    19,500.00
    *         Payable to the Customer = 1,930,500.00 (This is the value to be credited to the customer's account).
    I don't have a problem with the withholding tax. However, for the other deductions the issues I have are as follows:
    1. Condition types that are not rebates or taxes do not show on the the rebate credit memo B1. The analysis says that they have been manually removed. How do I get it to show?
    2. Output tax (MWST) is always added in the invoice, however in this case the customer wants the output tax to be deducted. Can this be done?
    Thanks for your help
    Regards,
    Olufisayo

    Hello Swati,
    the suggestion of JP is correct.
    I explain it better.
    - the document type of FI document created from SD depends on the customizing of billing type field TVFK-BLART. If it is blank, then by default is 'RV'.
    - if the number range assigned to the account document type is External, then the FI document gets the same number of the SD invoice.
    - transaction VBOF creates FI document referred to SD invoice. If it has external number range, and an FI document already exist with same number (created when SD invoice has been released to accounting), then the errof F5152 occurs.
    SOLUTION:
    in the selection screen of VBOF there is the field FI-Doc-type. Here you should specify the FI document type that should be created by execution of VBOF, and of course it must have number range internal.
    Please try this.
    Best regards,
    Ivano.

  • WHT report S_P00_07000134 missing vendor credit memos

    Dear All,
    Report S_P00_07000134 is missing to show vendor credit memos having doc type KG, I have checked config in Define output types, vednor cr memos is already active ,also tried with variety of input selection parameters but not getting these documents, can someone pls advise the reason behind it, or is there anything missing ?
    Thanks in Advance.
    Nilesh

    Hi,
    Please find the below link it will help full for you............
    No records were selected - S_P00_07000134
    Naresh

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