POS inbound G/L account aurgent..

Hi guys,
I am going to SPRO --> sales and distribution --> POS interface -->Transaction Type-Dependent Control Of Financial Transactions
and changing the G/L account from 160000 to 1610000 for chartof accts 1000 for the ZPOS inbound profile which we created earlier.
and when the POs inbound creats the IDOCs and when we look into Tcode WPER for the accounting document I still see the 160000 in the account which should be 161000,,,
let me knwo  what should be done,.

Hi,
Check the IMG Settings moved properly or not before carrying out testing.
The step you specified can define how data transferred through POS systems that contains financial transactions is to be converted into documents for SAP R/3 Financial Accounting.
Above control function enables POS systems to be able to transfer only the most basic data on financial transactions to SAP R/3. They do not have to transfer a full predefined FI document.
Bye,
Muralidhara

Similar Messages

  • POS Inbound processing

    Hi,
    POS inbound idoc Message Type WPUBON is processed to create Billing document.
    I want to know how is the idoc related to Billing document.
    I want to use a different billing document type Z*** if the POS inbound has customer information and standard billing document type FP if the POS inbound has no customer info.
    Where can I configure this.
    Thanks
    Barry

    Hi Barry,
    The postings from POS work in a different way. It will always credit your sales revenue and debit the tender account. If you are thinking of crediting the sales rev and debiting the 'customer account' you may need to try the standard sales order route. I would strongly suggest implementing SAP Retail Store for the same, which is meant for that.
    Regards,
    Suhail Shaik

  • Rack Jobber for POS Inbound

    Dear Experts,
    I would like to ask about POS Inbound for Rack Jobber. SAP said that we can differentiate Revenue Account (GL Account) for each Rack Jobber by adding Vendor in Revenue Account Determination. However, during POS Inbound (Sales Per Receipt or Aggregated Sales), I cannot find the field in IDOC structure to add the vendor value.
    Please share me your experience on it.
    Thanks.

    Dear SAPVN
    I am not sure which business scenario are you using rack Jobber for. But from ECC 6.0 onwards, you should user Retail Vendor Consignment process in case you need to handle consignment processing. In such a case you need to maintain settings of Retail vendor Consignment along with a consignment Info record and SD account determination settings which can do the trick.
    Hope this helps
    regards
    Manish

  • Adding Cost of Sales for Non-Stock articles to POS Inbound Pricing Schema

    Hi guys
    I'm working on a requirement to derive the Cost of Sales for non-stock items by pulling the current cost for the site and multiplying it by the billed quantity on VBRP. We could create a new condition type using purchase org, article and site in the condition table and manually enter condition records. However it would be more elegant to copy prices from the Purchasing list or deal prices into new condition types in the POS inbound pricing procedure. However SAP standard doesn't seem to allow condition copying from purchasing to sales.
    Regards
    Brett

    Hi ,
    As it happens you need to do this for Non-Stock Articles only.... then you need a routine to do this .
    And then in IS -Retail do  we not use  NETPrice or Final Cost Price to derive the Sales Price ... In that case you get the Cost Price when the Billing doc is getting posted at line level...
    Regards
    Amitava

  • Article with Batch management in POS Inbound

    Dear SAP Experts,
    I encountered problem for POS inbound for articles that activated Batch Management in SAP Retail. The system always send error message to require the batch, however, I cannot give SAP the batch number I want to update the stock by using POS inbound (both aggregated sales and sales per receipt). I cannot find any IDOC type that support that.
    I don't know whether SAP Retail supports batch management for article or not. In case they support it, how can we do the POS inbound for the articles.
    Hope to get your supports,
    Thanks in advance,

    hi,
    "Batch management requirement cannot be changed" -
    Once the material is made relevant for batch -by putting a tick in any of the relevant views in material master -it cannot be changed again if any delievry / stock is already maintained for that material.

  • Duplicate Reciept number check in POS inbound

    Dear All,
    How can i restrict the SAP system, if ithe same duplicate transaction reciept number(ex: 00010009696) is coming from POS twice, while doing Non sales aggregated transaction.
    what configuration setting is required for this check, i have tried this in Checking rules for POS inbound, by checking the reciept number check but still cannot resolve this issue....
    Please help...
    Regards
    dubey

    Dear Saurabh
    The duplicate receipt number check normally will happen in POS DM in case of POS Inbound. So it is important that you have a POS DM in your landscape. In case you do not have it, the convertor program that has been written to dump data from POS to ECC will have to be coded accordingly to take care of the duplicate receipt numbers.
    Hope this helps.
    Regards
    Manish

  • POS inbound payment methods conversion

    Hi,
    In SAP retail customizing path, Sales Distribution, POS Interface, Adjustments, Conversions, I could define a conversion category and then for this converstion category I could creat conversion rules for payment methods. So I can map the payment method code from incoming POS file to SD price conditions...
    However, after that I could not find a link between the payment category to the POS inbound profile, which is the way I think to put these conversion rules into use... But it seems I missed the step how to let POS inbound interface know to use these rules.
    In other words, could anyone advice me how to make the payment method conversion work?
    Thanks a lot!
    Steven

    Saurabh
    This is due to the missing or incorrect customizing settings in POS Interface. Kindly check the Profiles and conversion categories in IMG and also table WPLST will help you track the route cause of this.
    Thanks
    Suhail Shaik
    SAP

  • Vendor Consignement with POS Inbound

    Hi Gurus
    We are currently trying to implement Vendor Consignment stock with some of our Vendors.
    However we run a POS system that interfaces with SAP through IDOCs.
    We have tried a number of Config settings in these areas but are unable to get the POS Inbound transaction to consume  the Vendor Consignment Stock.  It is using movement type 251, and does not input the K to indicate the article should be consignment.
    Are we missing come crucial config we have missed?
    Or do we need to develop our POS system to hold a "consignment" indicator to pass through to the POS Inbound process.
    Your helps would be much appreciated.
    Thanks
    Hayley

    Hayley
    Which idoc you are using in POS inbound to push the consignment sales? WPUWBW01 is the idoc type used earlier for pushing consignment sales from POS back in to the Retail system. Now all the information will be coming in WPUUMS01 idoc only. Let me explain the steps, simply follow the steps to achieve the consignment stock special indicator in inbound. THERE IS NO ENHANCEMENT REQUIRED
    1) Activate Retail consignment processing:
    IMG --> Log Gen --> Retail consign processing  --> Activate retail consignment processing
    2) Define strategies for stock determination
    IMG--> Log Gen --> Retail consign processing --> Define strategies for stock determination
    3) Define stock determination group
    4) Define stock determination rule
    5) Define stock determination header table
    6) Define stock determination item table (K, F)
    7) Define alternate stock determination rules for consign processing
    8) Assign stock determination rule in applications (assign mvt types 251, 252 here)
    9) Configure automatic posting for KON (consignment payables) and AKO (expense/revenue from consign mat consumption)
    For POS inbound,
    10) Extension for controlling summarized sales
    IMG > SD> POS Interface --> Inbound --> Extension for controlling receipt based sales (you need to tick the 'Vendor consignment' )
    The final step is very important,
    11) Run the transaction WSSS for each site, this will take care of seperation of stock and this txn must be run before you process the POS inbound.
    Now do a Sale txn in POS and process the POS inbound and check the stock.
    Cheers
    Suhail Shaik
    SAP Consulting

  • Profile for POS inbound

    Hi folks,
    ma client want to use a Profile for POS inbound but without site data. How i can use the profile in this case?
    Thanks for help.
    Best regards
    Michael

    Hi Dirk,
    the POS Inbound will only work on an IS Retail System and required that you have a corresponding site set up for each store. The POS inbound process reads the POS Inbound profile from the site data (transaction WE03) during the IDoc processing. If there is no entry in WRF1 for this partner the processing will fail.
    So if your client has stores that are implemented as customers but not at customers+site, the POS Interface cannot be used.
    Regards Carsten

  • POS Inbound (Sales per Receipt) -Retail Integration

    Hi All,
    I need to post POS inbound XML file to Retail system, as we don’t use the middleware I can’t use WPUBON01 IDOC.
      Is there any Transaction-Code available in Retail? which I can use BAPI to post POS-Sales per receipt(cash).
      I am planning to write ABAP program to convert POS Inboud XML file to SAP Internal tables and use above T-Code(ifany) to do the job.
    Appreciate if anyone can help….its really urgent. Thanks.
    With Regards
    Ashwin

    Hi Ashwin
    You do not have to convert XML IDoc with ABAP. You can use XML-File port that can be configured in WE21 and put it into EDI partner profile in WE20.
    Best regards
    Novomir Kovalenko

  • POS inbound Price calculation

    Hi SDN Guys,
    I need to do price calculation for the weighted artivles EAN starting with 21*.
    As per my knowledge the sap does some calculation ;ie weight /sap standard price.
    but we need to conisder the Weight/SAP standardprice(per plant) { I think we need to fetch some price from some table here and divide }
    I am trying to find out user exit for this.
    IDCO type used for POS inbound WPUBON01,
    message type WPUB
    Inbound FM to post the data: IDOC_INPUT_POS_SALES_DOCUMENTS
    please help me to find out the user exit and use custom calculation
    regards,
    Nazeer

    Thanks for the response vinod..
    I will check and point you,.
    regards,
    Naz

  • POS-Inbound Sales per Receipt --- Urgent

    Hi All,
    I need to post POS inbound XML file to Retail system, as we don’t use the middleware, also I can’t use program to convert xml file to WPUBON01 IDOC to post.  Is there any Transaction-Code available in Retail? or any BAPI available for POS inbound sales per receipt to post ? please advise..
    Really appreciate if anyone can help….its really urgent. Thanks.
    With Regards
    Ashwin

    Hi Ashwin,
      If you are xml file you can't upload directly to sap system. only in outbound u can give in xml file. you have to write a converting prg for this. SAP has not given provision for this with out any middle ware like xi....
    praveen

  • Parallel Processing Bottleneck in POS Inbound WPUUMS01

    Will someone explain what is the objective of BD51, if most IDOCs are processed by SAP 1-by-1 using INPUTTYP = 1.
    Parallel processing of WPUUMS01 IDOCs seems to be a case of a movie hall with many ticket counters but only 1 usher!  IDOC_INPUT_POS_SALES_ACCOUNT seems to me the bottleneck.
    Am I right?
    Read carefully the two links on BD51
    http://help.sap.com/saphelp_nw04/helpdata/en/0b/2a6688507d11d18ee90000e8366fc2/content.htm
    http://help.sap.com/saphelp_erp2005vp/helpdata/en/0b/2a6688507d11d18ee90000e8366fc2/content.htm
    In SDN IDES the 269 entries in TBD51 are
    64   0-Mass processing
    <b>170   1-Individual input</b>
    35   2-Individual input with IDoc lock in CALL TRANSACTION
    Observe vast majority as "1 Individual Input".
    After reading Notes <b>199840 & 118924</b> mentioned below I implemented small IDOCs and RDBAPP01 parallel processing. But benefit was marginal & disappointing at ~12%.
    I checked <b>IDOC_INPUT_POS_SALES_ACCOUNT</b> has INPUTTYP = 1.
    I suspect that 0-Mass processing should have given the better performance.
    "1" and "2" is for function modules process one IDoc per call.
         is for FMs that use "call transaction method"
    INPUTTYP = 0 function modules which process IDocs in packets and good for performance.
         is for FMs that use "direct input method"
    IDOC_INPUT_POS_SALES_ACCOUNT  is part of Function Group WPUE - POS interface, upload processing which is part of package WPOS. This does not have "call transaction" string nor "bdc".
    I read carefully
    <b>Note 199840 </b>- POS IDoc inbound dispatcher with locking control  is SAP's BP must read 
    This note says "To achieve a good load distribution in doing so, you should split the large IDocs, which are expensive with regards to processing, according to a defined record length. This mainly affects message types WPUUMS (aggregated sales) .... we recommend splitting a large IDoc into several small IDocs anyway..."
    <b>Note 118924 </b>- Parallel processing of IDocs in the POS inbound
    "Activate the check box 'parallel posting' in the initial screen of RBDAPP01 and enter the server group defined before.
    The system automatically distributes the load to the servers of the server group, and for each Idoc packet it starts a dialog process. For each server all dialog processes except for two can be occupied, therefore always make sure there are enough online processes available."
    Looking for comments from IDOCs gurus ....
    I spent a huge amount of effort with little to show.
    Regards
    -jnc

    yes i did max performance things on the merging logic now i  have to create the idocs in the parallel . can you please help me in wrirting the code of creating idocs in parallel.
    thanks in advance.
    regards ,
    khushi
    Edited by: Khushboo Tyagi on Jan 19, 2009 4:24 PM

  • POS Inbound Billing

    Friends
    Would appreciate if I could get an answer to some of the questions which have been bugging me for long -
    While simulating an Inbound WPUUMS idoc through WPUK transaction, I am getting an error "Tax Code <blank> in procedure TAXUS is invalid".
    Note: (1) I have assigned an output tax code ZD (copy of SD tax code) to TAXUS procedure
    (2) Procedure TAXUS has been assigned to US country
    My questions:
    (1) Do I have to input some kind of tax code in WPUK (i can see a field Tx where i actually inout ZD, but still the error persists?
    (2) My requirement is that I am not back calculating tax in billing procedure. I am directly filling in a condition type ZUST of this procedure with a fixed amount of tax value (coming from POS) and have assigned this condition type to key MWS(tax account). Hence do I have to also give this value of ZUST in WPUK (by clicking the Taxes button) button? (ZUST has been defined as Cond class = Tax, Cal type = fixed, cond category - Tax)
    Any inputs would be appreciated
    Regards
    Gaurav

    Hi Give a value of ZUST and process..

  • POs for service and account assignment

    Hi,
    I'm crearting a purchase order for services with item category P and account category K.
    Actually the system doesn't assign automatically the G/L account in the field Account assignment of POs.
    I set in T030, in transaction GBB, valuation modification 0001, general modification ZCO, valuation class (S001) and the G/L account.
    Best regards

    Hi,
    While creating the PO, enter the material group and assign the valuation class to this material group in the folowing node, (Material Management --> Purchasing -->Material Master --> Entry aid for items without material master).
    Once you assign the valuation class to material group, it will pick the G/L code from GBB in the OBYC setting (Table T030).
    Hope it answers your problem.
    Regards

Maybe you are looking for

  • Error message from FM exception

    Hi Gurus, Please help me. I am having a function module BDC_OPEN_GROUP. In this we are having 11 exceptions. I have to catch these exceptions and display an error message if sy-subrc ne 0. Promise to reward points Mac

  • ORA-17125: "Improper statement type returned by explicit cache"

    I have been using SQLJ to some extent in the current java project but just now I'm getting this error on a particular piece of code which was converted using SQLJ pre-compiler: // #sql [xtrConnectionContext] { CALL // XTR_CFNG_DBAPI.pRemoveXTRLotsLog

  • Interrupt Key Sequence? Is there one?

    Hey everyone... a quick question. Sometimes I'll forget to leave the 'abort' button in the menu bar and then I write a bit of code that hangs up somewhere and can't stop it.  So I have to kill labview to get out.  Is there a key sequence (like 'open-

  • Safari is continuously quitting unexpectedly everytime I open it. Does anybody know what's wrong?

    Here is the error: Process:         Safari [4602] Path:            /Applications/Safari.app/Contents/MacOS/Safari Identifier:      com.apple.Safari Version:         5.1.7 (7534.57.7) Build Info:      WebBrowser-7534057007000000~2 Code Type:       X86

  • Aperture 2.1.4 - iTunes media keys problem

    Whever I try to push Pause/Next/Back, Aperture it runs the slideshow option automatically and then renders the previews.. How can I remap the keys in order to use the iTunes with Aperture? The way it is now It's a pain in the ... . Apple lost it on t