POSTING WITH A DOCUMENT TYPE WITH DIFFERENT EXCHANGE RATE TYPES

Hi there,
We have different company codes in the same client. These companies are situated in various countries.
I like to use the same document type with several exchange types M and X(specific for countries). Posting in MM and SD are ok by defining a exchange rate to master records of customers and vendors. Unfortunately I could not find a way to post documents from FI using the same document type.
Is it possible and how?
Thank you,
melike

Hi,
In accounting editing options (Transaction code FB00) - in the tab Document entry - there is an option to select the check box Exchange Rate from first line item. If this is selected, the exchange rate entered manually in the first line item will be copied in the header automatically. This could be one of the options you can consider.
However, the hitch is it involves manual entry which could result in human errors.
Thanks
Murali.

Similar Messages

  • Different Exchange Rate Type for Vendors and Customers Invoices

    Dear Friends,
    We have configured different exchange rate types for Accounts Payable and Accounts Receivable thru T Code OB07. What are the additional Config steps required to ensure that the respective buying and selling rates will apply to Accounts Payables and Receivables. We do not want to stipulate the exchange rate types in Document Types as this special exchange rates are applicable only for one of the Company Codes.
    Would appreciate your help in this regard.
    Regards,

    Hi,
    Then you can use a different document type for those company codes and can default the exchange rate type there.
    OR,
    The alternative wya is to use the substitution in OBBH/ GGB1 for those company codes with exit programming.
    Regards,
    SDNer

  • Utilizing different exchange rate type for same currency combination

    Hello Gurus,
    I wanted to get your opinion/experience in handling the following scenario.
    We have company codes in different countries operating using different local currencies. There is alternate exchange rate type  EURX defined for Exchange rate type M for many currency combinations due to business requirements. One country with local currency EUR is utilizing EURX SEK - EUR exchange rate combination.
    Other country with local currency HUF is making use of exchange rate type MNB as an alternate exchange rate. In one of its transaction, where VAT is being calculated on its foreign transaction, HUF company is trying to seek rate of MNB SEK- EUR where country currency is SEK and document currency is EUR.
    But since on the 'translation ratios for currency translation' table EURX being the alternate currency for that particular combination, even when we set MNB SEK EUR exchange rate, the system is obviously picks up EURX rate.
    Has anyone come across similar scenario where different countries trying to get different exchange rate types for the same combination of currency? and If so, how would that be possibly handled through config or using something custom?
    Thanks all for your replies in advance.
    Regards,
    Sagar K.

    Hi Sagar,
    In tcode OBBS, if Alt.exchange rate is used for any currency pair, then that rate is used ( EURX in this case).
    All countries in EMU region uses EURX ( which is mostly fixed after introduction of EUR).
    If the company is in different countries in Europe, then mostly EUR is used as Alt. exchange rate. which uses EUR as reference currency.
    Ther is no country specific settings in std. sap for a currency pair.
    Cheers,

  • Different exchange rate type for PO

    Hi,
    I have a requirement, where I need to take a different exchange rate type for one particular PO document type.
    I have already maintained exchange rate type Z in Tcurr table.
    I should enable system to pick this exchange rate for PO wich are created from a PO document type
    Same exchange rate should be picked for GR and IR as well.
    If I overwrite the PO exchange rate in PO header, GR and IR are picked default M exchange rate type.
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    Can you please advise how we can achieve this.
    Your help in this regard is much appreciated.
    Thanks,

    Any Advise.

  • Different exchange rate type for budgetting internal orders

    Hi,
    we would like to use a different exchange rate types when budgetting on internal orders depending on the order type.
    In our current set-up  the internal order types are linked to a budget profile, in this budget profile we have specified the exchange rate type to use.
    Unfortunately this doesn't work (I guess this is only used to translate the total budget)
    We do availability control in company code currency and on a yearly base, but each time we approve some budget we want to translate this at the most recent (monthly) exchange rate.
    This works if we change the exchange rate type P each month so that it contains the most recent exchange rate on the first of januari.
    Unfortunately this P-rate is also used for other things (other budget on other order types and cost center planning) here we want to be able to keep the same exchange rate throughout the whole year.
    If anyone could help it would be greatly appreciated!
    Thanx in advance
    Sven

    Please check the following help http://help.sap.com/erp2005_ehp_03/helpdata/EN/1b/75a9371c726343e10000009b38f842/content.htm

  • One Conversion Type and two Exchange Rate Types in one report

    I have Conversion Type called TEST. In this Conversion Type there is Exchange Rate Type D selected (D-daily). I have also Fixed Target Currency selected. And the report works perfectly fine....BUT.......there is also Exchange Rate Type M defined in the system (and it used for the exchange rate used last day of the month).
    The question is: how to put both Exchange Rate Types into one Conversion Type so both types are used in the reports?

    Hi,
    You can go for a variable exchange rate type.
    Creating variable:
    For this you have create a varible which can take diffrent exchange rate types.
    Open query designer create a new dummy query in that search for infoprovider 0RTYPE.
    It will have one dimension(name ->key) with 0RTYPE in it.
    create a variable for 0RTYPE.
    Save and close the query.
    goto RSCUR -> give your translation type -> go to exchange rate tab -> choose Ex. Rate from var option -> give the variable you have created prviously for 0RTPYE.
    Rest all same but just for completion...
    Go to your query in which in u want to do cur conversion.
    Double click on the key fig
    Go to conversions tab-> select the conversion type u created in RSCUR.
    When you run the query you can select the exchange rate type in the variable screen.
    rgds,
    Raghu

  • Suggestion for Pricing Type and Pricing Exchange Rate Type

    Dear All,
    Good Day,
    what would be your recommendation to maintain Pricing type and Pricing exchange rate type for below process. 
    1. Invocie.
    2. Cancellation of Invoice.
    3. Return Invoice.
    4. Credit Note.
    5. litigious Invoice.
    Best Regards,
    KSK

    Thanks sam,
    I have configured the same but now problem is Billing Header Exchange rate is not changing. Because of that Accounting document also doesn't have new exchange rate,.
    1. Is there any another config needs to be maintain.
    Example:
    Sale order  Exchange rate              10.45           Order date  :  01.11.2008
    Billing Header Exchange Rate         10.45           Billing date :  05.11.2008
    Billing Line item Exchange Rate      11.00           Billing date :  05.11.2008 base on VTFL Config
    Account Document Exchange Rate 10.45          Posting date : 05.11.2008 because of Billing Header exchange Rate
    I need Accounting document also to carry New exchange rate 11.00 . suggest me.
    Best Regards,
    KSK

  • Different exchange rate type M in different company codes

    Dear all,
    I am facing the following very inconvenience problem:
    I am an SAP consultant and has ALWAYS set up exchangre rate type M, the same rate used for all company codes in the Group.
    My new customer wants to have different exhange rates for ALL company codes, that means we cannot use exchange rate type M for all company codes. All company codes in Sweden could have the same exchange rate type and so on, since all the rates within a country is updated with the rate from banks in the particular countries.
    I think a solution could be to create worklists for every country and to always maintain all the rates against the local currencies within the country. This means in Sweden all the rates will be maintained against SEK, but never in any other way. That menas we can never maintain the rates from SEK to EUR in Sweden, we only maintain the rates against Sweden. I Finland however, all rates will be maintained against EUR (the local currency för all company codes in Finalnd).
    Could this cause problems (or inconsistency) that incorrect rates will be used?
    I am very very thankful for all help I can get in this question!
    Best Regards, Åsa

    Hi
    Here you need to concentrate on Direct or indirect quotation
    If you are using EUR to SEK (LC) - use direct quotation as 8.8307 1:1 relation
    If you are using SEK to EUR - use indirect quotaion as 0.1132 1:1 relation
    Pls let me know if you required further help
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    Vishnu

  • Parallel currencies - Same currency but 2 different exchange rate type -

    Hi Expert,
    I need your knowledge - I want to create a romanian company with 2 currencies - the first one will be RON company currency with the standard exchange rate type used for all others company of the group (maintained monthly from German National Bank exch.rate)
    The second one will be also RON, currency of the trading partner, but with a specific exchange rate type (maintained Daily from the Romania National Bank)
    I would like to work in this way to satisfy the group, which need to work with a monthly exchange rate for X reasons, and our Romanian company for which the daily exchange rate is mandatory.
    If you have some experience on it, please give a feedback, not in detail (certainly to much work) but at least if I can go on this way or not. if you know a black point in some transaction (I think to the fixed assets, or stock valuation ....) and if you have an advice to have the correct value in RFBILA00 for example.
    Thanks a lot for your help
    Nathalie

    There are many approaches for different exchange rates maintainence.
    Here are the information required to process your query.
    1. How many company code  do you have in your company
    2. what is group currency maintained at client level
    3. Do you use special ledger or under new gl
    4. will you customer allow to deviate from the iso standards of currency maintainence like RON for romanian to ZRO for same romanian currency.
    Expecting input for processing your query.
    Regards,

  • Apply different exchange rate types in sales order and invoice

    Dear Experts,
    How to configure different  exchagnes in sales order and invoice?
    For example, use average exchange rate in sales order but current exchange rate in invoice.
    Thanks!
    Regards,
    Wang Hui

    Hi all,
    I also need to apply different exchange rate between sales order and Invoice.
    E.g:
    condition type currency (komv-waers)          sales document currency (komk-waerk)         company currency (t001-waers)
    In my example, each of above currencies can be different:
    komv-waers = EUR
    komk-waerk = USD
    t001-waers = GBP
    I tried through VTFL transaction but it is not working in all situations cause VTFL allows me to manage situations where
    komk-waerk NE T001-waers
    But I need to convert condition types where
    komk-waerk EQ T001-waers but
    komv-waers NE komk-waerk
    Can I manage this situation through SAP standard and/or VTFL transaction?
    Is there any other solution?
    I really hope you can help me
    Thanks a lot
    Regards
    Andrea

  • Different Exchange rate type is picked while creating PO

    Hi All,
    We are maintaining daily exchange rates under exchange rate type "M" for currency GBP to INR. We have also maintained exchange rate type "ZCIG" but we are not maintaining daily exchange rates under this exchange rate type.
    Still system is promting us to maintain the exchange rate under exchange rate type ZCIG instead of "M" while creating Purchase order. Becoz of this error i could not save the PO.
    Please guide me on this issue.
    Thanks
    Sonal

    Hello,
    Could you please let me know how you have solved this problem.
    I want a particular exchange rates for a particular vendor posting.
    Thanks,
    Srini

  • In an accounting entry vat line should post with different exchange rate how to do that.

    In specific jurisdictions invoices in foreign currency should also show
    exchange rate and translated VAT amount in local currency. The required
    exchange rate may change by country, although often the central bank
    rate is required to post the VAT amount. and  BASE AMT to be posted in  'M'(MOR) rate
    So base amount and vat amount will be converted with 2 different
    exchange rate types respectively.
    below accounting entry should generate.
                                                GBP        EUR    
    DR CUst                              100          111.11          0.9 MOR
    Cr   Revenue                          90          100               0.9 MOR  
    Cr   VAT                                10          12.50            0.8 ECB 
    Dr   Exchange rate diff                          1.39
    how should we proceed to develop the solution for this.
    Thanks
    kartik

    In specific jurisdictions invoices in foreign currency should also show
    exchange rate and translated VAT amount in local currency. The required
    exchange rate may change by country, although often the central bank
    rate is required to post the VAT amount. and  BASE AMT to be posted in  'M'(MOR) rate
    So base amount and vat amount will be converted with 2 different
    exchange rate types respectively.
    below accounting entry should generate.
                                                GBP        EUR    
    DR CUst                              100          111.11          0.9 MOR
    Cr   Revenue                          90          100               0.9 MOR  
    Cr   VAT                                10          12.50            0.8 ECB 
    Dr   Exchange rate diff                          1.39
    how should we proceed to develop the solution for this.
    Thanks
    kartik

  • AP- Why exchange rate type between Post invoice and Post payment is differe

    AP- Why exchange rate type between Post invoice and Post payment is different ?
    Hello,
    I have question
    when post AP invoice , document type KR
    document date = 11.12.2009
    posting date = 31.12.2009
    entry date = 05.01.2010
    this document using exchange rate type B (standard translation at bank selling rate) on 31.12.2009 (use posting date )
    but when post payment for above document,document type ZP
    document date = 25.06.2010
    posting date = 25.06.2010
    entry date = 24.06.2010
    this document using exchange rate type M (standard translation at average rate) on 23.06.2010
    please answer
    why do post invoice and post payment use different exchange rate type?
    and why at payment donot use posting date for get exchange rate ?

    Nanas,
    Sorry if im not  being clear...
    My point is: the difference rates customization for payments is done at FBZP.
    At Paying Company Codes, you have 4 flags for exchange rates differentes.
    At Control Data look:
    *Do not Post any Exchange Rate Differences:
    If the indicator is not set, the difference between the exchange rate at the time of posting and the exchange rate at the time of payment is determined for items which are posted in foreign currency. The payment program uses the translation rate in the currency table in the system for this purpose.
    *No Exchange Rate Differences for Partial Payments:
    Has the effect that the payment program for partial payments (requests for payment using transaction F-59) does not post exchange rate differences.
    *Processing of Bill of Exchange Payments:
    *Separate Payment for each Payment Reference
    Regards
    Bruno

  • Exchange Rate Type default different from M for a company code

    Dear SAP guru,
    Would you shed some light on this?
    How would we be able to default/assign a different exchange rate type from M at a company code level?
    I have a company code - finance company - that every foreign currenty transaction needs to be translated using different exchange rate type (i.e. daily hedge rate) than other operating companies.
    The OB22 screen makes it appear as M rate is specificied as 1st currency in company code, but grayed out and not able to change.
    Please help me with your expertise on this.
    Kind regards
    taro

    Hi,
    ExRateType is hardcoded in
    Main Program     SAPL0F03
    Source code of   L0F03I01
    *------- Daten zur ersten Hauswährung -
      rfcu4-curtp = '10'.
      rfcu4-bwer1 = '0'.                                        "AT 23039
      rfcu4-kurst = 'M'.               <<<<<
      rfcu4-cursr = '1'.
      rfcu4-curdt = '3'.
    The reason why the assignment of exchange rate type M to the first company code currency is a historical reason. A lot of coding within the SAP system is directly developed under the prerequisite that the exchange rate type for the first company code currency is M.
    As you described you want to setup several company codes in one client that all have the same first company code currency but should use different exchange rates. To solve that issue there are 2 ways available:
    The first way is that you use the functionality to assign an exchange rate type to a document type. That would mean a lot of work because in that case you would have to define all document types seperatly for
    every company code.
    The second possible solution is that you use different names for the fist company code currency.
    That means for example that you name the first company code currency in company code 0001 USD and in company code 0002 US1. So you can use different exchange rates for the same currency.because in that examle USD and US1 are only different names for the same currency. Using this approach you can have different exchange rates for different companies with the same company code currency by setting only different names even though the exchange rate type M is fix asigend to the first company code currency.
    Best Regards,
    Gladys xing

  • Default Exchange Rate Type

    Dear All,
    If we do not assign any exchange rate type to any document type or customer / vendor master data, the system picks the default 'M' exchange rate type. Can anyone let me know where this default setting has been made and whether this setting can be changed? What if I do not maintain exchange rates for 'M' instead I do it for 'M1'
    I have a scenario, wherein I want to make exchange rate type other than 'M' as default and we do not want to make it at the document type level or customer / vendor master data level.
    To make things more clear, this is not related to the realignment / foreign currency valuation. This is related to recording of invoice export / import or credit / debit notes..
    Can anyone let me know how would this be possible?
    Full points guaranted

    Hi Swapvik,
    The exchange rate type always is set "M" as default. The only way to
    change the exchange rate type is with the customizing in the document type. If you are running the automatic payment program, you can also select a different exchange rate type. However, for normal document postings (trans. FB01), there is no other solution but to choose a different document type.
    For example:
    If you want to use exchange rate type B instead of M, in customizing you have to give Alt Ex.Type as B against M. So that it will take B rate whenever M is applicable. If you want this B rate to be applicable for specific document types then you can do  the same at document type definition itself. Otherwise you can do the same At Payment program level/ Revaluation. These are the only places where exch.type comes into picture.
    Please be advised that you can not change the default exchange rate type
    for the 1st local currency. The default type for 1st local currency KURST of M cannot be changed. SAP does not allow for customers to setup a company code with an exchenage rate type other than M for the 1st local currency (because this could lead to exchange rate differences in the system which are not allowed).
    Exchange rates are defined in SAP at a Global level via transaction OB08. In the IMG documentation for transaction OB08 (path General Settings > Currencies > Enter exchange rates) it explains that:
    'The exchange rates apply to all company codes'
    'The system uses the type M exchange rates for foreign currency
    translation when posting and clearing documents. An entry must exist in
    the system for this exchange rate type. The exchange rates apply to ALL
    Company Codes.'
    Hope this information helps.
    Regards,
    Lucas Dornelles
    FI Support Consultant
    SAP Active Global Support - Financials

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