Partial invoice indicator for multiple account assignment case

In ECC, the partial invoice indicator field (TWRKZ) has to be set when there are multiple account assignments for an item. But this field is not available in SRM account assignment section. So in SRM, when a PO is created with multiple account assignments for an item and transferred to ECC, error ("06"/"437") would be displayed -
Distr. ind. and partial invoice ind. must be set for multi acct. assgt
Has anyone of you encountered such issue? Of course we can add this field in SRM PO Accounting as a custom field and map it later when transferring the PO to ECC, but it seems to be an obvious gap between SRM PO and ECC PO, wouldn't you think?
Thanks.

Hi! Thanks in advance!
Did you find the solution for this issue!!
Best Regards,
Gax

Similar Messages

  • Invoice issue for Multiple Account assigned  PO

    Hello
    We are facing an issue with a Serive PO which has account assigned to cost centre (K).8 costcentres are assigned .
    While booking invoice on one particular date the invoice amount got distributed among all the 8 cost centres but on some other day when invoice was booked it was allocated to only the first costcentre.
    can somebody help me with the logic how the invoice gets distributed and what could be the reason the invoice amount is not distributed among all the costcentres and only one.
    Regards
    Sarika

    Hi Sarika,
    please have a look at the following notes:
    568541     MIRO: Default values with multiple account assignme                      
    457740     MIRO/MR1M:  Default values, amts for multiple accou                      
    395043     FAQ: Posting invoices using Transaction MIRO      
    428157  MIRO: percentage multiple accnt assgnt f. service-based IV                                                                               
    Please also check the customize settings to in Tr:OME9, under 'partial              
    invoice' what is the settings to the cost center.         
    Also note in MIRO, system distribute the corresponding GR quantity into                      
    acc.assignment's items proportionately based on the indicator 'Partial                       
    invoice' and the data 'Distribution percentage'(VPROZ) in the screening                      
    'acc.assignment' within the PO/item.                                                                               
    You can change the "Partial invoice' in the screening 'acc.assignment"                       
    as '1' (Apportion IR quantities to GR quantities one after another)                          
    instead of using 2 "Apportion IR quantities to GR quantities                                 
    proportionately".        
    Please check also include LMRMKF02.
    Regards,
    Edit
    Regards,
    Edit

  • GR and GR Non Val indicator in R/3 PO for multiple account assigned SC's

    Hi,
    We are on SRM 3.0(EBP 4.0) and R/3 4.7.
    We have implemented the BBP_CREATE_PO_BACK badi for setting or clearing the GR and IR indicators under certian conditions.
    But for Multiple account assigned SC's we get an error message "06181 With non-valuated GR, please also enter GR i ndicator ".
    We have tried implementing note# 872000, but this has not solved the issue.
    The PO's get created only if we force the GR indicator when transferring the data into R/3.
    It seems clear that while creating the PO the system is encountering the GR Non Val indicator but not the GR indicator, so its throwing the error message (we get the same error message when we create the PO from R/3 with GRnon val indicator checked and GR ind unchecked).
    The proposed solution is that in the same BADI, along with clearing the GR indicator, we will also clear the GR non val indicator.
    This can solve the issue if the indicators are transferred as it is from EBP.
    But can anyone tell me if these indicators are also checked/changed in any FM/program in R/3 before the PO is created?
    Is there any customizing setting which is affecting this particular behaviour?
    Regards,
    Srivatsan

    Hi Srivatsan ?
    In ECC, you have a configuration point :
    Materials Management->Account Assignment->Maintain Account Assignment Categories
    Here you can untick the indicator you want by account assignment category;
    Kind regards,
    Yann

  • GR/IR Rounding Logic for Multiple Account Assignment

    We have activated business function LOG_MM_MAA_1 (EHP4 release 604), GR valuated. When choosing Distribution on quantity basis and distribute partial inv proportionally, the MIGO postings are different from the MIRO postings. For example, we have a quantity of 12 that we allocate to two different cost centers 33.3 / 66.7 %. We receive a partial qty of 5. MIGO distributes the quantity 1.665 / 3.335, respectively. However, MIRO distributes the quantity 1.666 / 3.333 respectively. Since MIRO is supposed to accept the MIGO quantities and amounts, why is the percentage allocation different?  Is there a way to make the percentages equal for MIGO / MIRO? Modification of the percentage field (VPROZ) in the PO to more than 1 decimal is not an option.
    Example
        PO (quantity-based distribution, partial inv is proportional: Receive partial Qty 5 of total 12
                             Net Value            Qty              Percen           MIGO           MIRO
        Item:            9,600.00 USD    12.000 pc     100.00       4,340.00      4,340.00
        Account 1:  3,200.00 USD      4.000 pc        33.3         1,446.67      1,446.96
        Account 2:  6,400.00 USD      8.000 pc        66.7         2,893.33      2,893.04
    The small difference of $0.29 for this example is inconsequential, but for larger quantieis it will have a greater impact on the account allocation.

    U set or U dont set system will flag the GR non valuated once u assign multiple account assignment.
    But SAP is coming up with GR valuated for Multiple account assignment in enhancement package 4.
    Check out EP4 Presentation at........
    https://websmp210.sap-ag.de/erp-ehp
    Venkat

  • Customizing for multiple account assignment in OME9

    Hello,
    We want to create a specific account category with different account assignment fields (cost center, WBS, order, etc).
    This account category will be used for PO items with single account assignment or multiple account assignment.
    One more information is this specific account category will be used only for PO replicated from Supplier Relationship Management. This means PO document type will not be created directly in R/3.
    We use ECC6 with EhP4 with business function LOG_MM_MAA_1 active, so we make MAA for GR valuated.
    According to those elements, iI would like to have confirmation regarding customizing we implemented, especially for fields:
    - "Indicator: Account assignment screen" populated with value '2' (Multiple account assignment)
    - "Distribution" empty (Single account assignment),
    - "Partial Invoice" populated with value '2' (Apportion IR quantities to GR quantities proportionately).
    While creating PO in SRM and after replication in R/3, cost distribution is done correctly for item with multiple account assignment (Account Assignment tab with Partial Inv. =  "Distribute Proportionately" and Distribution = 1, 2 or 3, depending on cost distribution type chosen) whereas for item with single account assignment, Partial Inv. is "Derive from Account Assignment Category" and Distribution is "Single Account Assignment Category").
    So, it seems OK. Nevertheless, i would like to have confirmation values i gave with above fields are correct in order to not have to change them later, i mean after PO were created, if problems occured.
    Thank you for your help.
    Regards.
    Laurent.

    Hello,
    During PO replication from SRM to R/3, customizing from OME9 is not read and "Partial invoice indicator" is always defaulted to "1" when item has a multiple account assignment.
    This behaviour can be overwritten by implementing:
    - either BBP_PO_INBOUND_BADI for method BBP_MAP_BEFORE_BAPI,
    - or BBP_ECS_PO_OUT_BADI for method BBP_B46B_PO_OUTBOUND.
    So, no need to take care of OME9 customizing.
    Regards.
    Laurent.

  • ERROR WHILE POSTING MIRO FOR MULTIPLE ACCOUNT ASSIGNMENT (ASSET)

    Hi Guys,
    We created  a PO for asset with multiple account assignment. And we immediately do IR instead of GR.
    While doing IR it is giving error
    1) Quantity delivered is zero - Warning message
    2) Account 245350 requires a Transaction Type or is Invalid - Error message
    what may be the problem. how can we eliminate and post it
    Regards
    palani

    Hi,
    I would assume the G/L account you used was not properly set up.  Did you get the same problem if you try to change to another G/L account?  Perhaps, get your FI specialist to look into this G/L account-related error and verify it.
    Cheers,
    HT

  • Fi Document is not generating in MIGO for multiple account assignment in PO

    Hi,
    I have have created  asset po DG set 111 quanity is 4, i have created 4 different assets and assign quanity 1 to each dg sets in account assignment. While doing GRN system is not generating FI document for this po. if  i am giving one quanity or single account assignment for as 4 then it is generating FI quantity.
    PLease help me out why system is not generating FI document for multiple accont assignment in MIGO.
    Thanks in advance
    KISHORE

    Hi
    There is no option if you are not on EhP4... Do MIRO and see if the FI doc is generated
    Only way is to do MIRO immediately after MIGO.. OR Schedule ERS (Evaluated Receipt Settlement) which runs every hour in the background so that MIRO is posted automatically based on MIGO document.... Basically, you have to do MIRO after MIGO.. Whether you do it manually or through ERS is a matter of choice
    Regards
    Ajay M

  • Hard Question:   Item-Based Approval for Multiple Account Assignment?

    Hi Vadim and community,
    Possibly.. this is my hardest question for you.
    We need to implement Item-Based Workflow Approval.  The CC Owner should approve only the items assigned to his/her CC.    We'll do this reading R3(CO) data.
    Thats not the problem.
    The problem is:  I need to use Multiple Account Assignment.  I'll distribute one time in 3 o more CC.   Is it possible to have an CC-Based Workflow Approval ?   I mean, The CC owner should approve partly the item assigned to his/her CC.
    Anybody knows something ?
    Thanks for your reply !!! =)
    Regards,
    Diego

    Hi Diego,
    In my understanding you want to define one or several level of approval depending on the CC assignement on each item.
    lets take an example:
    CC1 owner approver1, CC2 owner approver2 and CC3 approver3
    For a SC:
    -Item 1: 20% on CC1, and 80% on CC2
    -Item 2: 20% on CC1, and 60% on CC2, and 20% on CC3
    Then in the item level BADI, you'll define:
    -Item1:
    Level1 ==> approver1
    Level2 ==> approver2
    -Item2:
    Level1 ==> approver1
    Level2 ==> approver2
    Level3 ==> approver3
    I had this requirement on a project, and the hard part was not the BADI implementation, but the CC owner link with the SRM users (cause all approvers have to be declared on the SRM, and integrated in the SRM org plan).
    Regards.
    Vadim

  • PO issue (for multiple account assignment)

    Hi,
    I am greatly in need of help from you all.
    The problem is as demonstrated under.
    A PO is created using the Account assignment category A (Asset procurement). The material to be procured has the Quantity 4Nos.
    In the account assignments 2 qty are assigned to one asset and another 2 qty is assigned to diffrent asset. GL account in both the cases remain the same.
    After this PO is saved.
    GR is done using movement type 101.
    now GR is cancelled using movement type 102.
    Now in display PO Header- Status tab. here it is showing the quantity to be delivered is 4 but value is shown as 0.00.
    I<b> donot understand why the value doesnt get fetched in Status tab of PO header.</b>If I dont use the multiple account assignemnt for the above condition then the values are shown in the Status tab of PO header.
    Thanks in advance,
    <b>Sheetal</b>

    Hi,
    Yogesh is right (as usual).
    When you create the PO and assign multiple accounts to it you will be prompted to change the GR flag to either indicate NO GR or a Non valuated GR (you CANNOT HAVE a valuated GR for a PO with mulitple account assignements on the one line).
    The system does not post any values for this until the Invoice has been posted correctly (or posted and blocked).
    So the GR (and return if applicable) always have zero value.
    Steve B

  • Default setting for partial invoice indicator

    Hello Experts,
    We are on SRM 5.0 SP12 and ERP 6.0 SP13. When a split accounting purchase order is created in SRM and transfers over into SAP, partial invoices are automatically posting with the distribution of "Distribute to following row". In ME23N under account assignment, there are three options for partial invoice postings:
    1) Derive from account assignment category
    2) Distribute to following row
    3) Distribute proportionally
    We would like to default the third selection, "Distribute proportionally". Does anyone know where this setting can be changed or how to do this?
    I tried going into SPRO-> IMG-> MM-> Purchasing-> Account Assignment-> Maintain Account Assignment and changing the Partial Invoice selection on the account assignment from '2 u2013 Apportion IR quantities to GR quantities proportionately' to '1 u2013 Apportion IR quantities to GR quantities one after another'.  When I created a new split accounting purchase order in SRM and viewed the PO in ME23N, the partial invoice indicator still had a distribution of '1 Distribute to Following Row'.  Does anyone have any ideas about how to set up a default for the partial invoice indicator when a purchase order is coming from SRM?
    Thanks,
    Brett

    SAP was able to provide assistance on the issue.  Here are the details:
    The SRM always sends to ECC the "Distribute to Following Row" selected,
    and sometimes configuration changes in tcode OME9 have not effect,
    possibly due to the Support Package.
    To specify the correct option "Distribute Proportionally", it is necessary to use the Badi BBP_PO_INBOUND_BADI...
    The partial invoice indicator is set to '1' by default in SRM, it is
    standard behaviour, you can check it in the LBBP_BD_DRIVER_46AF15
    program. The functionality that allow has the value ´2´ to partial
    invoice indicator is exclusive to MM - R3 system.
    You have two possible solution to create from EBP to backend some PO
    documents with multiple account assignment and partial invoice
    indicator = 2 (Distribute Proportionally):
    a) To use the Badi BBP_ECS_PO_OUT_BADI to create the PO this way.
    ls_ct_bapi_poitem-PART_INV = '2'
    Effectively, this solution change the setting in the backend
    to 'Distribute Proportionally'.
    b) Partial invoice indicator can either be set in OME9 in the Backend
    for the posted account assignment category (e.g. K - cost center)
    or default using Backend Badi:
    BBP_PO_INBOUND_BADI
    BBP_POITEM-PART_INV
    -> Part_INV is a field of BBP_POITEM. In the backend BADI, if you
    look at the field of BBP_POITEM, you will find PART_INV. You
    have to use the BADI to set this field.
    OME9 was the tcode in MM to specify the partial invoice settings for each account assignment.  According to SAP, sometimes this works with SRM (since the default setting sent to ECC from SRM is "Distribute to following row") and sometimes it doesn't.  We ended up changing the partial invoice flag upon creation of the purchase order through the BADI mentioned above since the configuration changes did not remedy the issue.  Now the partial invoices are posting proportionally which has resolved all of our split accounting posting issues.
    Thanks,
    Brett

  • Configure partial invoice distribution for SRM Purchase Order

    Hello Experts,
    We are on SRM 5.0 SP12 and ERP 6.0 SP13.  When a split accounting purchase order is created in SRM and transfers over into SAP, partial invoices are automatically posting with the distribution of "Distribute to following row".  In ME23N under account assignment, there are three options for partial invoice postings:
    1) Derive from account assignment category
    2) Distribute to following row
    3) Distribute proportionally
    We would like to default the third selection, "Distribute proportionally".  Does anyone know where this setting can be changed or how to do this?
    Thanks,
    Brett

    SAP was able to provide assistance on the issue. Here are the details:
    The SRM always sends to ECC the "Distribute to Following Row" selected,
    and sometimes configuration changes in tcode OME9 have not effect,
    possibly due to the Support Package.
    To specify the correct option "Distribute Proportionally", it is necessary to use the Badi BBP_PO_INBOUND_BADI...
    The partial invoice indicator is set to '1' by default in SRM, it is
    standard behaviour, you can check it in the LBBP_BD_DRIVER_46AF15
    program. The functionality that allow has the value ´2´ to partial
    invoice indicator is exclusive to MM - R3 system.
    You have two possible solution to create from EBP to backend some PO
    documents with multiple account assignment and partial invoice
    indicator = 2 (Distribute Proportionally):
    a) To use the Badi BBP_ECS_PO_OUT_BADI to create the PO this way.
    ls_ct_bapi_poitem-PART_INV = '2'
    Effectively, this solution change the setting in the backend
    to 'Distribute Proportionally'.
    b) Partial invoice indicator can either be set in OME9 in the Backend
    for the posted account assignment category (e.g. K - cost center)
    or default using Backend Badi:
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    BBP_POITEM-PART_INV
    -> Part_INV is a field of BBP_POITEM. In the backend BADI, if you
    look at the field of BBP_POITEM, you will find PART_INV. You
    have to use the BADI to set this field.
    OME9 was the tcode in MM to specify the partial invoice settings for each account assignment. According to SAP, sometimes this works with SRM (since the default setting sent to ECC from SRM is "Distribute to following row") and sometimes it doesn't. We ended up changing the partial invoice flag upon creation of the purchase order through the BADI mentioned above since the configuration changes did not remedy the issue. Now the partial invoices are posting proportionally which has resolved all of our split accounting posting issues.
    Thanks,
    Brett

  • Urgent plz...Error: Multiple Account assignment in  BAPI_REQUISITION_CREATE

    Hi All,
    I'm using BAPI_REQUISITION_CREATE to create the PR . The PR is created successfully with service lines. The service lines for PR item has to be assigned to different account assignment. My problem is that account assignment is not getting assigned to the service line for multiple account assignment cases, instead the account assignment is blank for the sevice line.
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    t_requisitionaccoun-g_l_acct = '0000630010'.
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    t_requisitionaccoun-g_l_acct = '0000610090'.
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    t_requisitionaccoun-g_l_acct = '0000610090'.
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    Service item 1
    t_requisitionsrvaccass-pckg_no = '0000000002'.
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    t_requisitionsrvaccass-serno_line = '01'.
    t_requisitionsrvaccass-quantity = '10'
    t_requisitionsrvaccass-serial_no = '01'
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    t_requisitionsrvaccass-serno_line = '01'.
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    t_requisitionsrvaccass-serial_no = '02'
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    Hi, can you send me an example of this BAPI.
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  • Partial invoice with multiple account assignment

    I'm using PO with multiple account assignment with distribution by percentage and proportional distribution for partial invoice.
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    Thanks Charlie.
    I am aware of that. But do we have that "partial invoice" field where we can select teh distribution as proportionate or sequence.
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  • Multiple Account Assignment at the time of Good Receipt for one line item

    Sap Members.     
      We have some contracts with cost center distributions that the exact amount is not known.  These Blanket Orders require a receiving confirmation.then only we can conclude the cost center, If we create one line item with total amount of contract to one cost center, is there a way can we distribute this cost to the different cost centers at the moment receiving the goods
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    Nick

    Please Check SAP Notes - Oss Notes
    With multiple acct. assignment, enter GR non-val. or cancel GR
    Message no. 06417
    Diagnosis
    In the case of PO items assigned to more than one account, instead of valuation being carried out at the time of goods receipt, the relevant materials are not valuated until the invoice data is entered into the system.
    Procedure
    •     Set the indicator for non-valuated goods receipts
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    OSS-Notes.                              -
    Version: 5        -
    Validity: valid since 12.04.2007
    Note 204252 - Valuated goods receipt for multiple account assignment
    Summary
    Symptom
    You cannot use the valuated goods receipt function in combination with multiple account assignment.
    Other terms
    EKPO-WEUNB, screen 0113, ME21, purchase order, 06417, 06 417
    Reason and Prerequisites
    We have not implemented this function since users who post goods receipts would have to determine the distribution to individual account assignment items during  partial deliveries. Generally, users cannot or should not determine this.
    An automatic distribution also causes problems and is also not implemented due to technical reasons

  • Multiple Account Assignment details for Service PRs

    Hi,
           I have developed a RFC for creating PRs. For multiple service PRs, multiple services are getting created but account assignment details getting created only for the first service line item. Iu2019m using BAPI_REQUISISTION_CREATE. Please provide me a solution.
    Regards,
    N.Senthil

    hi all,
          the issue has been resolved by passing the below mentioned values.
          wa_item_data-distrib = '1'.      "FOR MULTIPLE ACCOUNT ASSIGNMENT based on the quanlity
          wa_item_data-part_inv = '1'.     "FOR MULTIPLE ACCOUNT ASSIGNMENT
    solution got from
    http://wiki.sdn.sap.com/wiki/display/ABAP/BAPI_REQUISITION_CREATE
    http://www.sapnet.ru/viewtopic.php?p=9306
    Regards,
    N.Senthil

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