PGI Reversal for difference in POD

HI
I have a question with regard to Proof of Delivery
We created sales order for 5 Qtys
Created Delivery for 5 Qtys
PGI done for 5 Qtys
Physically delivered 4 Qtys
POD confirmation for 4 Qtys with Difference Reason
Billing for 4 Qtys
But what will happen to the 1 Qty where PGI already done .When do we reverse that. When i try to reverse teh PGI after doing confirmation in POD (VLPOD) with diffrerence , syetem is not allowing me to reverse the PGI saying POD confirmation is there.
System is allowing me to reverse the PGI only before the POD confirmation anf if i do so i couldnt enter the difference in POD confirmation.
There is one transaction VLPODF - Subsequent process for POD where we can see the difference qyts for deliverys. Is this the trancation where we reverse the PGI for difference ?
KIndly help me in giving your valuable inputs
Regards
Anis

Hi Anis,
I do not think the standard SAP would allow the reversal of the difference in quantity. The function of the POD is used as such where the nature of the business itself, where the delivery of the actual quantity to the customer is not known from the start.
So, the actual quantity issued from stock is 5 qty, and when customer received 4 qty, they would want to be billed only for 4 qty. The difference is recorded in the subsequent document of POD in the list where you are able to inspect and make business decision based on the list.
That's the use of the POD to cater to the need of certain industry where such process is required - i.e. Chemical.
Hope this helps.
Thanks.

Similar Messages

  • PGI reversal for difference quantity

    HI Friends
    I have a question with regard to Proof of Delivery
    We created sales order for 5 Qtys
    Created Delivery for 5 Qtys
    PGI done for 5 Qtys
    Physically delivered 4 Qtys
    POD confirmation for 4 Qtys with Difference Reason
    Billing for 4 Qtys
    But what will happen to the 1 Qty where PGI already done .When do we reverse that. When i try to reverse teh PGI after doing confirmation in POD (VLPOD) with diffrerence , syetem is not allowing me to reverse the PGI saying POD confirmation is there.
    System is allowing me to reverse the PGI only before the POD confirmation anf if i do so i couldnt enter the difference in POD confirmation.
    There is one transaction VLPODF - Subsequent process for POD where we can see the difference qyts for deliverys. Is this the trancation where we reverse the PGI for difference ?
    KIndly help me in giving your valuable inputs
    Regards
    Jitendra Singh

    Hi,
    Please see SAP online help:
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/f2/0d4660143411d3b481006094b9b9dd/frameset.htm
    Based on this worklist, you can carry out any necessary corrections manually.
    Once you are finished making manual corrections, confirm these steps in the worklist by clicking on the corresponding icon. The colors of the icons in the list will change. After the icons have changed color, the deliveries in question can be archived.
    There are no corrections made automatically based on the POD confirmation.
    If no manual corrections are to be made or the subsequent processing is completed suddenly, you can set the status of the entire worklist to complete by using the corresponding button in the button bar. The delivery can now be archived.
    What manual correction means it is not explained by SAP online help (why?)
    You can do the suitable goods movement posting (adjustment) in MIGO based on why the difference exists - I think it is not an integrated solution.
    Just my opinion.
    Regards,
    Csaba

  • PGI reversal for WM managed stock

    Hi,
    TO and PGI done against a outbound delivery. PGI reversed. Material moved with LT10 from storage type 916 back.
    Same material/batch TO/PGI done against different delivery.
    Now when we do LT0G for original delivery it displays lock icon and we cannot remove the material picked against this delivery.
    Please advise.
    Regards,
    Pratap

    Hi Pratap,
    That meens you have moved stocks manually from 916 storage type and delivery bin to some ware warehouse. so you can't able to move /reverse stocks to the 916 and respective delivery.
    only the thing you can do reset the Over OverallWMStatus 'C'- to 'A' to rest the delivery to use using following steps
    1. Go to change the delivery quantity to 0 and then copy the delivery quantity as pick quantity (Menu path Edit -> Copy delivery quantity as pick quantity).
    2. Once the pick quantity has been reset to 0, the delivery quantity can be changed back to it's original value or the item can be deleted if it is no longer required.
    3. Report RVDELSTA can be executed to update the delivery WM and picking status.
    4. Use the same delivery and create TO and PGI..
    Regards,
    Madhu Arambakam

  • PGI reversed (vl09) for wrong date

    Hi,
    I need some advice for the following scenario.
    That is to PGI a delivery with the “Actual GI date” for a particular month (July) but the PGI was reversed for the following month (August) where the original PGI had been done for the correct month (July).
    when we try to PGI again we get stock deficit errors.
    Please explain the process to follow if such scenario arises.
    Thanks
    Keshi

    Hi,
    Please check the below scenario.
    IPGI'd on the the 13.09.2007.
    Reversed PGI on 05.10.2007
    Then when we tried to PGI on 13.09.2007, it gave the error "Deficit of BA Unrestr. prev. 100 PC : 70001358 "
    So as u'll have suggested again issued the goods on the 05.10.2007.
    But now when we try to reverse PGi on the 13.09.2007, it gives the error message " Cancellation date 13.09.2007 is before the goods issue date 05.10.2007"
    Appreciate your feedback on this. I want to carry out the PGi on the 13.09.2007.
    Thanks
    Keshi

  • PGI reversal VL09 not happening

    hi
    user has done following cycle
    1.ME21N-PO document type UB and Item cat I.
    2.VL10B- Outbound delivery
    3.VL06G-goods issue using automatic MVT 647 and 101)
    4.VF01-Performa Invoice(billing Type JEX)
    5.J1IIN- Excise invoice.
    In billing base price is missing because of that all duties and net price zero.now user wants to cancel entire cycle. he has done excise cancellation using J1IH. we are not able to reverse billing using VF11, we are not able to PGI reversal using Vl09. it giving error "No dat available for your selection".
    Note: is it problem of JEX because we have not assigned cancell billing type and doc pric procedure to JEX?
    any solution for the above issue.

    Hi rising sun.,
                               VF11 is not for reversal of the billing doccument it is fo cansellation & when you want to cansel the billing doccument first the accounting doccument for t hat billing doccument should be canselled,after you cansel the billing doccument reverse the goods issue in VL09and reject in VL02n,then VA02 reject the doccument
    As you are saying that no data available then go to VF04 and see whether your delivery doccument is there & VF05  to see t he Billing doccument
    If you are ablr to see the doccuments you can cansel them
    J1IH is to cansel the excise doccument
    REWARD if helpfull
    Thanks & Regards
    Narayana

  • PGI reversal not happening in vl09

    hi
    user has done following cycle
    1.ME21N-PO document type UB and Item cat I.
    2.VL10B- Outbound delivery
    3.VL06G-goods issue using automatic MVT 647 and 101)
    4.VF01-Performa Invoice(billing Type JEX)
    5.J1IIN- Excise invoice.
    In billing base price is missing because of that all duties and net price zero.now user wants to cancel entire cycle. he has done excise cancellation using J1IH. we are not able to reverse billing using VF11, we are not able to PGI reversal using Vl09. it giving error "No dat available for your selection".
    Note: is it problem of JEX because we have not assigned cancell billing type and doc pric procedure to JEX?
    any solution for the above issue.

    Proforma Invoice cannot be reversed. But also it will not stop you from reversing PGI. Check the document flow & ensure that the correct number is being used to cancel the PGI.
    Once PGI is cancelled, you can futher cancel the Delivery.
    Regards,
    Rajesh Banka

  • Disallow PGI Reversal of STO, If MIGO made against Outbound dly

    Hello all,
    Please guide me in solving this query
    it is STO between 2 plants under same company code
    (1) STO Pur Order made for 100 Pcs
    (2) [vl10b & vl02n] - partial goods issue made i.e., for 50 Pcs
    (3) [MIGO]- Goods Receipt made with reference to the above outbound delivery docuement
    (4) [VL10B & VL02N] - Goods issue made for the remaining 50 Pcs by the user, now after the PGI the stock will show in stock in transit
    User is cancelling the first outbound delivery document(642) with out cancelling the Goods Receipt(102) and system is allowing to cancel the outbound delivery(642) due to the ramaining/partial stock shows in stock in transit.
    My requirement is to disallow the PGI reversal of STO, if MIGO is done against the outbound delivery document.
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    sai

    Hi There
    This is STD SAP behaviour,, Same will happen at the time of Place in storage also,, If you have five 303 documents for each 300, You can use the Only one 303 document to place the stock(305) for 5 times,, system will not stop this, since no connection between the 2 documents,, It is based on the stock in transfer available qty only,,
    But i hope you can control through enhancement,, The user has to do the Receipt (MIGO_101) against the outbound delivery, once the document is used  it has to update in the Z Table,, if the user again use the same OB doc,, system should not allow to do GR,,
    And have the authorization control for the Z table maintenance also.,,
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  • Error in accrual reversal upon Difference procedure settings

    Hi Team
    For product type Corporate bonds (04A) we have configured Difference
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    to be reversed upon sale (even for full not only partial) is not getting reversed.
    We had refered to SAP note no. 912679 and 918570 and done the config
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    We feel one more entry system need to pass that is reversal of accrual
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    Kindly let us know if there is any other SAP note or config settings
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    Hi Narinder
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    We have activated difference procedure meaning in SPRO under FSCM - Treasury - General settings - Accounting - Accrual/Deffral - Update Types - Assign update type for Accural
    here we have updated our product type 04A with profit related update type SAM5000
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    We have both these update type SE8701 and SE8702 relavant for posting.
    We have not created any new update type.
    There is no error only issue is when i sell partially the excess of accural which needs to posted back to interest is not getting posted. Is there any specific settings we need to do to make this work.
    The issue arised after we activated one business function under EPH3.
    Kindly let me know if you need further details on this.
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  • T.Code of PGI reversal documents

    Dear Friends,
    Please give me the T.Code with which we can see all the deliveries for which Post
    Goods Reversal was happened.
    Regds,
    Sreehari

    Dear Sreehari Kondapalli,
    T code is Vl09.
    for further details follow this:
    Re: Problem in PGI reverse.
    Hope this helps you.
    Do award points if you found them useful.
    Regards,
    Rakesh
    P.S. you can send me a mail at my mail id [email protected] for any specific details

  • Business Area-Cost Center error while doing VL09 (PGI Reversal)

    Hi Friends,
    Kindly go through the "ERROR" message and "IMPORTANT" point as mentioned below:This is happening while reversal of PGI in VL09.
    IMPORTANT: Just to make you aware, the cost center in error (CONSDSPL) was nowhere assigned in FS00 or OKB9. Also to state that at the time of this error some different cost center was assigned in FS00 which was having business area SUGR. So PGIs are picking up two business areas i.e. 1.DSPL (from Plant-Division-BussA setting) & 2. SUGR (for P&L GL from FS00)
    Following error coming while doing PGI reversal:
    ERROR -
    > BAL1/CONSDSPL CTR belong to business area DSPL not SUGR
    Message no. KI188
    Diagnosis
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    System Response
    The posting row may contain only one business area.
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    Business area filed in cost center CONSDSPL is DSPL (what it should be). In this scenario, they have assigned SGPRODCTN cost center in GL master wherein business area is SUGR.
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