Price not updating through MR21
Hi experts,
While updating the price through MR21. the system throws the error " ACurrent & future standard price exists for material "
Can you explain how to rectify and update the new price.
Thanks and Regards
J.Francis
Hi
If Costing for the material is active , you cannot change the Price of the material using MR21.
If you would like to change the material price, you need to first delete the Cost estimate of the material using T.code CKR1.
You can check in the test run & then carryout the deletion of the cost estimate.
Then do MR21 for material price changing.
Hope it helps..
regards,
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Purchase Order price not pulled through from Purchase Requisition.
Hi:
The Valuation Price on my Purchase Requisition does not pull through to the Purchase Order.
All the settings on "OMET" and my user profile seems to be set but still I get an error - No conditions determined (no authorization for input)
when I enter a tax code on the PO.
All my other authorizations are also okay.
What can the problem be.
Thanks.
W.Maybe you should explain all steps YOU have done, instead of saying "yes I have done that", As this function works for many many companies without any problem, it is either an issue with your enties, or it is a bug in the programs.
For a bug, you should search OSS notes and open a message to SAP if you cant find one that solves your issue.
the authorization part of this message relates to the functional authorization, and cannot be seen in SU53.
The error is issued in these 4 cases:
IF t160d-erfin EQ space AND ekpo-repos NE space.
MESSAGE e235.
IF t160d-eprsz EQ space AND ekpo-repos NE space.
MESSAGE e235.
IF ekpo-netpr EQ 0 AND ekpo-repos NE space.
and
IF t160d-erfin EQ space.
MESSAGE e235.
IF ekpo-netpr EQ 0 AND ekpo-repos NE space.
and
IF t160d-eprsz EQ space.
MESSAGE e235.
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T160d-ERFIN
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Controlling segment of FI document not updated through FIDCCP02
hello..
We are using FIDCCP02 basic type for posting FI document from a third party system via XI.
IDOC gets succesfully posted and generates FI document as well (visible in FB03)..it is also showing cost center details in the FI line item as per requirement..
BUT the problem is, while posting the document thru IDOC..<b>it is not updating the controlling document for that Cost Center</b>...though it gets updated when we manually create the FI document.
we checked out the note 114814 , it says that FIDCCP02 does not update controlling component...so use some other IDOC type !!!
now the question is...which basic type / Function module should we use for posting CO details for the FI document ??? and moreover how to incorporate this functionality with the process code i have already developed ( working absolutely fine as far as FI document is concerned )..
please reply to this as soon as possible..
regards
nidhi<b>Cost Center Accounting</b>
In this activity, you make settings required for distribution in Cost Center Accounting.
There is a difference between settings for distribution method one (centralized Cost Center Accounting), and those for method two (decentralized Cost Center Accounting).
Consistency Check
The function in this section carries out a consistency check of the settings made here. We recommend you use this consistency check to make the relevant settings.
Execute the function in the decentralized systems. Then you can check whether the settings between the systems for the required message types have been correctly maintained.
Double-click on a line in the consistency check log to make the required settings.
You must have maintained the partner profiles in all the systems.
Notes on Overhead Cost Controlling
You make Overhead Cost Controlling settings in Customizing, under Controlling.
The following settings are required to distribute a controlling area:
The distribution method must be defined in the controlling area for the basic data in the "Distribution method" field. You can choose between distribution method one or two.
The logical system name of the central controlling system must be defined in the controlling area for the basic data in the "Logical system" field. The logical system name is defined in the installation and in the client settings. (In IMG under:
Basis Components
Distribution (ALE)
Sending and Receiving Systems
Logical Systems
Assign Logical System to a Client
If you use distribution method two, you also assign all cost centers to a master system, which is the logical system for the cost center.
If you want to use the profit center accounting, read section Distribution scenarios -> Profit Center Accounting
If you want to use profitablitity analysis, read section Distribution scenarios -> Profitablitity Analysis.
Synchronization of settings using the transport system
Some settings for overhead cost controlling need to be in all systems in the same form.
The easiest way to ensure this, is by doing your customizing in a centralized system, and then distributing the data to all systems affected.
The transport system is normally used for the first time that decentralized controlling is provided with customizing data.
For information on compiling the transport orders for decentralized controlling systems, see the Implementation Guide (IMG), under the section on Controlling -> General Controlling -> Productive Start Preparation -> Transport System Settings.
Individual setting synchronization
If you do not make the settings for overhead cost controlling centrally in a Customizing system, but individually in each of the affected systems, then ensure that they all contain the following data in the same form:
Data for all controlling areas:
Currencies
Charts of accounts
Attributes for the controlling area: Basic data
Distribution method
Logical system
Currency type
Currency
Chart of accounts
Fiscal year variant
Standard hierarchy for cost centers
Activated reconciliation ledger indicator
Attributes of the controlling area: Control indicators
Cost Center Accounting activated
Indicator for all currencies
Indicator for company code validation
Assignment of controlling area - company code
Assignmeents between controlling areas and company codes can only be maintained centrally and distributed, if the assignments between local and global company codes match.
Otherwise, you need to make the assignments individually in each system.
The concept of global company codes is explained in Customizing, under the following path:
Predefined ALE Business Processes
Accounting
Financial Accounting
Notes on Distributing Plan Prices
Plan prices for the cost center/activity type combination are distributed using the "COACTV" message category. Before you do this, you need to activate the integration for each planning version used and fiscal year.
To do this in the menu Cost Center Accounting,
choose Planning -> Planning aids -> Integration active in
For distribution method one, you need to activate the integration in the centralized system. For method two, you need activate integration in both the centralized and the decentralized systems.
Notes on Distributing the Reconciliation Ledger
When Cost Center Accounting is distributed, you also need to distribute the reconciliation ledger.
If centralized Cost Center Accounting is used in a system other than the centralized general ledger, then you also need to make some more settings in Customizing in addition to the setting for the message flow between decentralized and centralized cost accounting. This is for the distribution of the reconciliation ledger.
The "RCLROL" message dispatch (from decentralized and centralized Cost Center Accounting to the centralized general ledger) must also be inserted in your distribution model with the company code filter object.
You need to maintain these two message flows in the communication parameters.
There is a restriction, whereby reconciliation postings can only be made on company code level.
Distribution Method One: Partner profiles
Partner profiles in the centralized cost accounting system
In the centralized cost accounting system, you need to maintain outbound partner profiles for each decentralized cost accounting system.
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
(RCLROL Roll-up reconciliation ledger
if the centralized system
for the controlling area and
the company code are different)
You need to maintain the inbound partner profiles for the each decentralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
CODCMT CO document
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-up reconciliation ledger,
in the centralized system for
the company code
if the centralized system for
the controlling area and
the company code are different)
Partner profiles in the decentralized cost accounting system
In each decentralized cost accounting system, you need to maintain outbound partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
CODCMT CO-Beleg
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-Up reconciliation ledger
in the centralized system for
the company code
if the centralized system for
the controlling area and
the company code are different).
You need to maintain inbound partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
(RCLROL Roll-up reconciliation ledger,
if the centralized system for
the controlling area and
the company code are different).
Note
The COSCOR (cost centers (core)) and COACOR (activity types (core) message types are obsolete, and should not be used any more. Under no circumstances should they be used with the ZH>COSMAS (cost centers) and COAMAS (activity types) message types.
Distribution Method Two: Partner profiles
Partner profiles in the centralized cost accounting system
You need to maintain outbound partner profiles for each decentralized cost accounting system for the following message types:
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
CODCMT CO document
(RCLROL Roll-up reconciliation ledger
if the centralized system for
the controlling area and
the company code are different).
You need to maintain the inbound partner profiles for each decentralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
COTOTL Totals records
CODCMT CO document
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-up reconciliation ledger,
in the centralized system of
the company code,
if the centralized system for
the controlling area and
the company code are different).
Partner profiles in the decentralized cost accounting system
In each decentralized cost accounting system, you need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
COTOTL Totals records
CODCMT CO document
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-up reconciliation ledger,
in the centralized system for
the company code,
if the centralized system for
the controlling area and
the company code are different).
You need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
CODCMT CO document
(RCLROL Roll-up reconciliation ledger,
if the centralized system for
the controlling area and
the company code are different).
Note
The COSCOR (cost centers (core)) and COACOR (activity types (core)) message types are obsolete and should no longer be used. Under no circumstances should they be used with the COSMAS (cost centers) and COAMAS (activity types) message types.
Error handling
Specifying responsibilities for workflow error processing in the distribution environment.
Workflows are created to problems in cost accounting in the distribution environment. You need to specify employees who are responsible for the errors. You can use ALE-customizing for maintenance:
Basis Components
Distribution (ALE)
Error Handling
Distribution Method One:
Specifying responsibility in the centralized cost accounting system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSFET_Error COSFET Inbound error
COAFET_Error COAFET Inbound error
CODCMT_Error CODCMT Inbound error
RCLROL_Error RCLROL Inbound error
Specifying responsibility in the decentralized system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSMAS_Error COSMAS Inbound error
COELEM_Error COELEM Inbound error
COAMAS_Error COAMAS Inbound error
COGRP1_Error COGRP1 Inbound error
COGRP2_Error COGRP2 Inbound error
COGRP5_Error COGRP5 Inbound error
COCOKA_Error COCOKA Inbound error
COACTV_Error COACTV Inbound error
Distribution Method Two:
Specifying responsibility in the centralized cost accounting system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSFET_Error COSFET Inbound error
COAFET_Error COAFET Inbound error
COTOTL_error COTOTL Inbound error
COCOKA_Error COCOKA Inbound error
COACTV_Error COACTV Inbound error
CODCMT_Error CODCMT Inbound error
RCLROL_Error RCLROL Inbound error
Specifying responsibility in the decentralized system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSMAS_Error COSMAS Inbound error
COELEM_Error COELEM Inbound error
COAMAS_Error COAMAS Inbound error
COGRP1_Error COGRP1 Inbound error
COGRP2_Error COGRP1 Inbound error
COGRP5_Error COGRP1 Inbound error
COCOKA_Error COCOKA Inbound error
COACTV_Error COACTV Inbound error
CODCMT_Error CODCMT Inbound error
Note
In the distribution model, you must maintain a company code or a controlling area as a filter object for the "RCLROL" message type.
Check consistency
After you have made the settings for distributed Cost Center Accounting, you can check the settings for consistency (see Set up Communication , Partner Profiles, and Check Model Settings).
Cost Center Accounting
In this activity, you make settings required for distribution in Cost Center Accounting.
There is a difference between settings for distribution method one (centralized Cost Center Accounting), and those for method two (decentralized Cost Center Accounting).
Consistency Check
The function in this section carries out a consistency check of the settings made here. We recommend you use this consistency check to make the relevant settings.
Execute the function in the decentralized systems. Then you can check whether the settings between the systems for the required message types have been correctly maintained.
Double-click on a line in the consistency check log to make the required settings.
You must have maintained the partner profiles in all the systems.
Notes on Overhead Cost Controlling
You make Overhead Cost Controlling settings in Customizing, under Controlling.
The following settings are required to distribute a controlling area:
The distribution method must be defined in the controlling area for the basic data in the "Distribution method" field. You can choose between distribution method one or two.
The logical system name of the central controlling system must be defined in the controlling area for the basic data in the "Logical system" field. The logical system name is defined in the installation and in the client settings. (In IMG under:
Basis Components
Distribution (ALE)
Sending and Receiving Systems
Logical Systems
Assign Logical System to a Client
If you use distribution method two, you also assign all cost centers to a master system, which is the logical system for the cost center.
If you want to use the profit center accounting, read section Distribution scenarios -> Profit Center Accounting
If you want to use profitablitity analysis, read section Distribution scenarios -> Profitablitity Analysis.
Synchronization of settings using the transport system
Some settings for overhead cost controlling need to be in all systems in the same form.
The easiest way to ensure this, is by doing your customizing in a centralized system, and then distributing the data to all systems affected.
The transport system is normally used for the first time that decentralized controlling is provided with customizing data.
For information on compiling the transport orders for decentralized controlling systems, see the Implementation Guide (IMG), under the section on Controlling -> General Controlling -> Productive Start Preparation -> Transport System Settings.
Individual setting synchronization
If you do not make the settings for overhead cost controlling centrally in a Customizing system, but individually in each of the affected systems, then ensure that they all contain the following data in the same form:
Data for all controlling areas:
Currencies
Charts of accounts
Attributes for the controlling area: Basic data
Distribution method
Logical system
Currency type
Currency
Chart of accounts
Fiscal year variant
Standard hierarchy for cost centers
Activated reconciliation ledger indicator
Attributes of the controlling area: Control indicators
Cost Center Accounting activated
Indicator for all currencies
Indicator for company code validation
Assignment of controlling area - company code
Assignmeents between controlling areas and company codes can only be maintained centrally and distributed, if the assignments between local and global company codes match.
Otherwise, you need to make the assignments individually in each system.
The concept of global company codes is explained in Customizing, under the following path:
Predefined ALE Business Processes
Accounting
Financial Accounting
Notes on Distributing Plan Prices
Plan prices for the cost center/activity type combination are distributed using the "COACTV" message category. Before you do this, you need to activate the integration for each planning version used and fiscal year.
To do this in the menu Cost Center Accounting,
choose Planning -> Planning aids -> Integration active in
For distribution method one, you need to activate the integration in the centralized system. For method two, you need activate integration in both the centralized and the decentralized systems.
Notes on Distributing the Reconciliation Ledger
When Cost Center Accounting is distributed, you also need to distribute the reconciliation ledger.
If centralized Cost Center Accounting is used in a system other than the centralized general ledger, then you also need to make some more settings in Customizing in addition to the setting for the message flow between decentralized and centralized cost accounting. This is for the distribution of the reconciliation ledger.
The "RCLROL" message dispatch (from decentralized and centralized Cost Center Accounting to the centralized general ledger) must also be inserted in your distribution model with the company code filter object.
You need to maintain these two message flows in the communication parameters.
There is a restriction, whereby reconciliation postings can only be made on company code level.
Distribution Method One: Partner profiles
Partner profiles in the centralized cost accounting system
In the centralized cost accounting system, you need to maintain outbound partner profiles for each decentralized cost accounting system.
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
(RCLROL Roll-up reconciliation ledger
if the centralized system
for the controlling area and
the company code are different)
You need to maintain the inbound partner profiles for the each decentralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
CODCMT CO document
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-up reconciliation ledger,
in the centralized system for
the company code
if the centralized system for
the controlling area and
the company code are different)
Partner profiles in the decentralized cost accounting system
In each decentralized cost accounting system, you need to maintain outbound partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
CODCMT CO-Beleg
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-Up reconciliation ledger
in the centralized system for
the company code
if the centralized system for
the controlling area and
the company code are different).
You need to maintain inbound partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
(RCLROL Roll-up reconciliation ledger,
if the centralized system for
the controlling area and
the company code are different).
Note
The COSCOR (cost centers (core)) and COACOR (activity types (core) message types are obsolete, and should not be used any more. Under no circumstances should they be used with the ZH>COSMAS (cost centers) and COAMAS (activity types) message types.
Distribution Method Two: Partner profiles
Partner profiles in the centralized cost accounting system
You need to maintain outbound partner profiles for each decentralized cost accounting system for the following message types:
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
CODCMT CO document
(RCLROL Roll-up reconciliation ledger
if the centralized system for
the controlling area and
the company code are different).
You need to maintain the inbound partner profiles for each decentralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
COTOTL Totals records
CODCMT CO document
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-up reconciliation ledger,
in the centralized system of
the company code,
if the centralized system for
the controlling area and
the company code are different).
Partner profiles in the decentralized cost accounting system
In each decentralized cost accounting system, you need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSFET Requesting cost centers
COAFET Requesting activity types
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
COTOTL Totals records
CODCMT CO document
RCLROL Roll-up reconciliation ledger
(RCLROL Roll-up reconciliation ledger,
in the centralized system for
the company code,
if the centralized system for
the controlling area and
the company code are different).
You need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
Message type Meaning
COSMAS Cost centers
COELEM Cost elements
COAMAS Activity types
COGRP1 Cost center groups
COGRP2 Cost element groups
COGRP5 Activity type groups
COCOKA Control data object/cost element
COACTV Prices for cost center/activity type
CODCMT CO document
(RCLROL Roll-up reconciliation ledger,
if the centralized system for
the controlling area and
the company code are different).
Note
The COSCOR (cost centers (core)) and COACOR (activity types (core)) message types are obsolete and should no longer be used. Under no circumstances should they be used with the COSMAS (cost centers) and COAMAS (activity types) message types.
Error handling
Specifying responsibilities for workflow error processing in the distribution environment.
Workflows are created to problems in cost accounting in the distribution environment. You need to specify employees who are responsible for the errors. You can use ALE-customizing for maintenance:
Basis Components
Distribution (ALE)
Error Handling
Distribution Method One:
Specifying responsibility in the centralized cost accounting system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSFET_Error COSFET Inbound error
COAFET_Error COAFET Inbound error
CODCMT_Error CODCMT Inbound error
RCLROL_Error RCLROL Inbound error
Specifying responsibility in the decentralized system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSMAS_Error COSMAS Inbound error
COELEM_Error COELEM Inbound error
COAMAS_Error COAMAS Inbound error
COGRP1_Error COGRP1 Inbound error
COGRP2_Error COGRP2 Inbound error
COGRP5_Error COGRP5 Inbound error
COCOKA_Error COCOKA Inbound error
COACTV_Error COACTV Inbound error
Distribution Method Two:
Specifying responsibility in the centralized cost accounting system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSFET_Error COSFET Inbound error
COAFET_Error COAFET Inbound error
COTOTL_error COTOTL Inbound error
COCOKA_Error COCOKA Inbound error
COACTV_Error COACTV Inbound error
CODCMT_Error CODCMT Inbound error
RCLROL_Error RCLROL Inbound error
Specifying responsibility in the decentralized system
Maintain assignments for the following standard tasks:
Standard task: Identifier Name
COSMAS_Error COSMAS Inbound error
COELEM_Error COELEM Inbound error
COAMAS_Error COAMAS Inbound error
COGRP1_Error COGRP1 Inbound error
COGRP2_Error COGRP1 Inbound error
COGRP5_Error COGRP1 Inbound error
COCOKA_Error COCOKA Inbound error
COACTV_Error COACTV Inbound error
CODCMT_Error CODCMT Inbound error
Note
In the distribution model, you must maintain a company code or a controlling area as a filter object for the "RCLROL" message type.
Check consistency
After you have made the settings for distributed Cost Center Accounting, you can check the settings for consistency (see Set up Communication , Partner Profiles, and Check Model Settings).
reward points if it is usefull ....
Girish -
Dear All,
In a service contract ME31K net price(ESLL- NETWR) of service not updated.its shown zero value in gray field on every time.
We are using standard procedure for service contract :MS0000".and also i have check PRS condition but it doesn't work.
I have also read many thought relelated to same issue but not getting proper answer.
Please help on priority basis.
Thanks & Regards,
Dishant MistryDear Dishant,
Just a clarification, are you sure that you are talking about ESLL- NETWR, since usually we maintain price for service contracts in ESLL-TBTWR (Service level), so that automatically it calculates the net value for the respective service and updates in ESLL- NETWR.
Note: Once you maintain the value in ESLL-TBTWR, the program would some up all the service value for the item and displays in EKPO-NETPR.
Please find the below screenshots for your reference.
Please let me know, if you require any clarification.
Thanks & Regards,
Narayana N -
Valuation Type Price not updating in the PR
We are using two valuation types for a material.
Valuation type(New)in Material master has some price value in it Ex: 50 dollars per unit and Valuation type (Expense) is with Zero value.
While creating a Purchase Requisition,default valuation type(New) gets updated and if we change the valuation type to (Expense) in the PR,there is no change in the Price.Actually the price should be Zero as defined in Material Master.
Why the price is not updating ????
Apperciating ur immediate response.Hi,
During PR creation, Valuation Price is to be maintained derogatorily and generally it gets defaulted from Material Master.
Once the Valuation Type "NEW" is getting defaulted in PR then it is copying the price from this and after changing the valuation type it doesn't change the Price since the valuation price obligation has already been fulfilled.
So if you will stop defaulting the Valuation Type "NEW" for the material then it will ask Valuation type in PR and then it will pick up the price for that Valuation type.
Default Valuation Type is maintained in OMWC
Go to OMWC, there click on "Global Categories", here position cursor on the Valuation category (Maintained for Material Master) and click on "Change" button, here check have you entered any Valuation type "NEW" in field "Default: val.type ext.procure." -
Last Evaluated Price not updating
Hi,
I have a very wierd issue which I have never seen before as explained below. The system is 8.82 PL 6.
Problem: The Last Evaluated price (LEP) is not updating on Item Master Data (IMD) under certain conditions.
Explanations:
1. All items have a valuation method of FIFO
2. For a particular item let us call it 101381, if I open the IMD, select LEP, the price shows up as 516.80
3. There are definitely Goods Receipts for this item with a lower price than 516.80
4. I run the 'Inventory Valuation Simulation Report' with blank From-Item and To-Item, i.e. for all items, calc. method as moving average, Posting date blank and WHs checked off
5. There are thousands of items in our IMD but obviously, the report that comes up just shows the first item on our IMD 100000, and if we want to see 101381, we need to click the green right arrow 1381 times. So instead of scrolling over, I simply click OK to close this report, assuming that the LEP for 101381 has been updated
6. I once again open the IMD for 101381 and choose LEP. Strangely, the LEP price still shows as 516.80!
7. Then I run the report for a block of Items say from 101380 to 101390, keeping all other criteria the same as before
8. This time, I click the green arrow 10 times to scroll from 101380 to 101390 and then clck OK to close the report.
9. Now if I open the Item 101381 and check the LEP, it has been updated to 510.78!!!
10. The same thing happens, i.e. the LEP gets updated if I simply select just 1 item i.e. FROM 101381 TO 101381.
Why does the LEP not get updated automatically when all Items are taken at once? There is no way the users are going to click the green right arrow 20000 times just to refresh the LEP on all 20000 items. I am not sure if this is a bug in this PL?
I have tested this extensively and any positive suggestions will be greatly appreciated.
Thanks,
Ajay AudichHi,
Please refer SAP note:
1952446 - Inventory audit report updates item's last evaluated
price
Thanks & Regards,
Nagarajan -
Actual activity price not updating in production order
Hi All,
I am facing one problem, that actual price for activities are not updating in production order while plan price are updated. Earlier both plan and activity prices were getting upadated but now actual price is not updating for any material. I have tried at the same material also but it is not getting updated. Actual hours are updated in confirmation of production order but not price. If somebody could suggest the reason it will be great.Dear Nitin,
Thanx to all for valuable input. Problem is solved.
Nice to see That your problem is solved
But Can you let the Forum Members know
where was the exact problem & how it is solved
Regards
Madhu Kumar -
Periodic Unit Price not update/release to Standard Price
Dear Gurus,
We have a problem, when closing period is done the PUP (closing period) not update/relase to Standard price (in future period). We have checked all the steps during the closing period, and all seems to be right.
The closing period is not more than 2 period, we closing April 2014.
I have checked note 666681.
Maybe Gurus can tell me something that i missed.
Please help
Regards,
BetoHi Szymon,
So the OSS note saying that PUP from April 2014 cannot update to May 2014, the earliest is in June 2014?
I tested the same scenario in testing server and it work. The PUP get update to standard price in period May.
It just doesn't make sense, the PUP is an average price within April transactions and it needs to update Standard price in May.
Now it makes me more confuse..
This is period 4
This is period 5 (this is what we expecting), PUP period 4 = Standard price period 5
Can you help me
Thanks in advance
Regards,
Beto -
Net Price not Updating Using BAPI : BAPI_CONTRACT_CREATE
Dear Experts,
I am facing an issue while creating CONTRACT using the bapi: BAPI_CONTRACT_CREATE. I am creating the Contract based on data from my excel sheet. And we are maintaining the INFO RECORDS for the same materials.
In the excel sheet we are providing the NetPrice (NETPR) and creating the Contract. My issue is " instead of taking the Net Price from the excel it is taking the Net Price from Info Records". For Example, if for a Particular material the Net Price in our excel file is 125, after bapi execution, the net price is updating as 100 instead of 125 in Contract Creation( ME31k-ME33K). In the Info Records we are maintaining this net price(100) for that material.
Thanks in Advance for your response.
Regards,
Prasadyou can use BAPI_CONTRACT_CREATEFROMDATA
* Create Contract Order Number [BAPI_CONTRACT_CREATEFROMDATA]
CALL FUNCTION 'BAPI_CONTRACT_CREATEFROMDATA'
EXPORTING
contract_header_in = header
convert = 'X'
IMPORTING
salesdocument = v_order
TABLES
return = t_return
contract_items_in = itab_item
contract_items_inx = itemx
contract_partners = t_partners
contract_conditions_in = t_conds
contract_conditions_inx = t_condsx
contract_data_in = t_contract
contract_text = t_texts. -
Infotype is not updating through 'HR_INFOTYPE_OPERATION'
Hi Frds,
I am trying to update the infotype 2006 leave quota for casual leave. After execution of all code the screen automatically closing itself. Its not modifying the record . I am writing this code in include of exit PBAS0001. Can anybody help regarding this.
CALL FUNCTION 'HR_READ_INFOTYPE'
EXPORTING
TCLAS = 'A'
PERNR = lw_pa0000-PERNR
INFTY = '2006'
BEGDA = '18000101'
ENDDA = '99991231'
BYPASS_BUFFER = ' '
LEGACY_MODE = ' '
IMPORTING
SUBRC =
TABLES
INFTY_TAB = lt_2006
EXCEPTIONS
INFTY_NOT_FOUND = 1
OTHERS = 2
IF SY-SUBRC <> 0.
MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
ENDIF.
read table lt_2006 into lw_2006 with key pernr = innnn-PERNR.
LW_2006-AEDTM = sy-datum.
lw_2006-ANZHL = v_cs_quota.
First Enqueue
CALL FUNCTION 'BAPI_EMPLOYEE_ENQUEUE'
EXPORTING
NUMBER = LW_2006-PERNR
IMPORTING
RETURN = RETURNE.
------------- Update
CALL FUNCTION 'HR_INFOTYPE_OPERATION'
EXPORTING
INFTY = '2006'
NUMBER = LW_2006-PERNR
SUBTYPE = LW_2006-SUBTY
OBJECTID = LW_2006-OBJPS
LOCKINDICATOR = LW_2006-SPRPS
VALIDITYEND = LW_2006-ENDDA
VALIDITYBEGIN = LW_2006-BEGDA
RECORDNUMBER = LW_2006-SEQNR
RECORD = LW_2006
OPERATION = 'MOD'
TCLAS = 'A'
DIALOG_MODE = '0'
IMPORTING
RETURN = RETURN
KEY = KEY.
--------- Dequeue
CALL FUNCTION 'BAPI_EMPLOYEE_DEQUEUE'
EXPORTING
NUMBER = LW_P2006-PERNR.
ENDIF.Thank you, Yes Its updating in 2006....but only sy-datum and username are updating .....Leave quota i am changing from 4 to 3 . its not updating, but showing in screen when i used dialog = 2. Also the same screen appearing 3 times and when i am trying to click on save button its ending with an error 'internal maximum number of sessions reached' , then screen automatically closing by itself.
-
CS6 will not update through Creative Cloud Desktop
Im having trouble getting any of my CS6 apps to update through the Creative Cloud desktop app. The CC apps seem to have installed correctly and to open without a problem, but the updates for CS6 just wont even download. I just get an "update failed" on each app. I'm running an iMac. I've looked around at other threads but couldn't find anything specific to this. I did follow the instructions for the OOBE file but that didnt seem to help either. Any help would be appreicated.
Anirudh-
Thank you for the feeback but that didnt seem to help either, I tried with a couple of the CS6 apps and I get this in the error log:
Extension Manager 6.0.5 Update
Installation failed. Error Code: U44M1P7
...it seems that its the extension manager that is the issue. Is there something specific i need to do to get that particular app to install correctly? -
Doesnot work through the computer
Cannot update through wifi
There is an error everytime it updated through the computerHello there, Adele102.
The following Knowledge Base article offers up some great steps for resolving the issue you're describing:
Resolve iOS update and restore errors in iTunes
http://support.apple.com/kb/ts1275
If the issue persists, then this article provides an extensive list of error messages and additional troubleshooting steps:
Resolve specific iTunes update and restore errors
http://support.apple.com/kb/ts3694
Thanks for reaching out to Apple Support Communities.
Cheers,
Pedro. -
Line item net price not updated in overview screen net price&line item
Hi ,
We have down payment order with 10 line items
In orders with billing plan, the sales line item net price, if we entered manual condition price (ZPNP) ,gets updated in item condition net value. But it does not simultaneously gets updated at once in 1) Sales order overview screen net value 2) Billing plan header 3)Sales order overview screen line item condition net value. Updation at these three places happens only after clicked on header conditions.
However, in case of the last item in the sales order, the updation happens simultaneously in all the 3 places i.e. 1) item condition net value. 2) Sales order overview screen net value 3) Billing plan header 4) Sales order overview screen line item condition net value.
This is also true for the order with only single line item. We are faced a information popup message every time we change the item net price u201CItem 000100(100 is last line item number in sales order) exists already; the entry ignored u201C. This happens in case of all line items except the last line item. Also this does not happen in case where there is a single line item in order.
Our requirement: The moment the net price of an item is change manually, it should get updated at all the 4 places mentioned above like it does in case of the last line item.
Kindly help me to fix this problem.
Regards,
AdikesavHi,
Can u elaborate ur query ?
By this FM you cannot create a SO . Use FM --> BAPI_SALESORDER_CREATEFROMDAT2
Regards,
MAdhukar Shetty -
Check Lot/ Register not update through F110
Dear SAP Guru,
My client has two bank HDFC and HSBC.
I haven given ranking order in FBZP HDFC 1 and HSBC 2.
When i am doing testing system is check lot and register updated in HDFC.
When i run the progam through HSBC the system is making the payment to vendor but it is not upate the check lot and check register.
Can i change the ranking order or any other way?
Regards,
PankajHi,
If you updated HSBC in the print program variant, then the ranking order becomes irrelevant. Just check customising settings for house bank for HSBC, specifically the check lot.
If you want to change the ranking order, there is a T code for that: S_ALR_87001487
Cheers.
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