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

Similar Messages

  • 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

  • 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.

  • Partner Profile for IDOC - configuration

    Hi..
    I have an inbound IDOC TPSSHT01, which has been extended by adding a Z segment.. But I keep getting an error message.. The IDOC is created with status 56 and the message says "No inbound profile found".. I have configured the Inbound profile to include the message type 'SHIP' in WE20 and also added the message type in WE57 and WE82... Do i need to do any further settings?
    Thanks
    Rishi

    hI,
         Please use transaction code WE20 to generate inbound partner profile
    Goto WE20 transaction of the client 200 where you are posting the idoc and maintain the partner profile for the inbound type for the idoc type and the corresponding message type of SHIP. This is because you would have maintained it as the outbound parameter from client 100. But at the receiver end also you need to configure the same.
    Status 56 comes up when the partner profile for the idoc type is not maintained. Once its maintained, the idocs which you post will go into 53 if its successfully processed and to 51 if its failing due to any inbound processing program validation
    <b>*Reward points</b>
    Regards

  • Sending price condition in WBBDLD for POS outbound

    Hi experts
    I am facing some problem when do configuration in order to send the price condition to POS through message type WBBDLD.
    Client is using ZP01 tag price instead of VKP0 as the condition
    Below are the config that I have performed but the price is not sending out.
    1. (Sales and distribution --> POS interface --> outbound --> maintain POS condition type group) A new condition type group is created that replace VKP0 compared to the original SAP standard one.
    2. (Sales and distribution --> POS interface --> outbound --> maintain profile for POS outbound) A new POS outbound profile using the above new condition type group
    3. Site maintenance WB03, assign above new POS outbound profile to the specific store
    4. (Logistics-general --> assortment --> assortment list --> controlling condition change analyses --> direct entry for creating the worklist --> activation of the direct entry for creating the worklist) tick "direct entry indicator" for 50 assortment list
    5.  (Logistics-general --> assortment --> assortment list --> controlling condition change analyses --> maintain filter setting for condition types) Add a new row for ZP01 for table no. 901
    Really appreciate your advice.
    BR
    Dom

    Hi Honghai,
         Actually it's based on the customer pricing procedure. The default one is VKP001. If you assign the other customer pricing procedure in Tcode: OVKK, you should add the condition type to the corresponding pricing procedure.
    Jessy

  • 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

  • Using Enterprise service for POS integration to POSDM

    Hi
    I have few question on using Enterprise Service  for POS Inbound .
    1. Is it possibe to get this XML schema for Enterprise Service
    2. Lets say we have to use a third party POS to  integarte POSDM via PI. But then if we don't want to do any transformation in SAP PI,  then can we use the following option:
              SAP POS sends the data in the ES XML format
              SAP PI just transports this to POSDM
    I do see some drawbacks of POS sending the data in  the ES service format. As this means, if any change needs to be done based on any new requirements, we need to change the source code. However the above option should still be technically possible?
    Any reference if the above approach had been used in any projects. We have always used the following flow:
    POS--> PI---> POSDM . PI to POSDM is through the RFC /POSDW/CREATE_TRANSACTIONS_EXT.
    Regards,
    Fazila

    Hi Fazila,
    The ES bundle "PointOfSaleTransactionERPBulkCreateRequest_In" can be used to transfer POS transactions to POS Data Management directly.
    In order to access the above-mentioned ES, please use the Integration Builder in your PI system in transaction SXMB_IFR and follow the link to the Integration Repository.
    This structure can be enhanced to capture additional information.
    Award point if useful.
    Regards,
    Ramki

  • 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

  • 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

  • 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

  • Partner profile for INBOUND IDOC

    Dear experts,
    Need your help to define partner profile for inbound idoc to R/3 system. There is a third party (Non SAP) based application from which idocs need to be sent to the R/3 system. There is no need to send an outbound idoc from the R/3 system. Can some one please suggest what are the steps to be taken  to b configure the partner profile  in the R/3 system for the inbound idoc?
    Thanks,
    Priyanka

    Hi
    This is not the right location to post this question.
    You got to post this query in Data transfers section of SDN ABAP Development forums
    Now regarding your question,
    You need to create a Logical System with the help of the transaction SALE.
    Assign the created LS to the client with the help of same transaction
    Go to WE20 and create the partner with the same Logical System name
    Now..as you are recieving the Inbound Idoc from external Non-SAP System, you need to maintain the message type in the Inbound Parameters by clicking on ADD Icon over there.
    Before doing the above step, you got to create the connection between SAP and Non-SAP System.
    Use transaction SM59 to do this. Type of connection would be R/3 I guess
    Thanks
    Hope it helps.

  • List of Inbound deliveries for POs.

    Hi,
    I want to pull out a list of inbound deliveries for POs from production data.
    I am not even sure that they have these inbound deliveries or not. How do I get a list of POs which have inbound deliveries created.
    I tried searching the tables EKKO, EKPO, but of no use.
    What is the easiest way out?
    Regards
    MS

    Hi,
    This are the list of inbound delivery transaction which may help you;
    VL06     Delivery Monitor
    VL06I     Inbound Delivery Monitor
    VL06IC     Confirmation of putaway inb. deliv.
    VL06ID     Inbound Deliveries for Distribution
    VL06IF     Selection inbound deliveries
    VL06IG     Inbound deliveries for goods receipt
    VL06IP     Inbound deliveries for putaway
    VL10B     Purchase Orders Due for Delivery
    VL10D     Purch. Order Items due for Delivery
    VL10E     Order Schedule Lines due fVL10H     Items Due for Delivery
    VL10F     PurchOrd Schedule Lines due for Dlv.
    VL10G     Documents due for Delivery
    VL34     Worklist Inbound Deliveries
    VL64     Worklist Inbound Deliveries
    VL65     Inbound Delivery Purge Report
    VL66     Inbound Delivery Delete Report
    VLUNIV     Change Delivery (General)
    Br,
    Tushar Patankar

  • Inbound iDoc for POS message WPUUMS problem

    Hello all,
    I encountered a strange thing with the inbound idoc for POS with the message WPUUMS.
    I've created a new segment with we30 as an extension to the WPUUMS01 like this.
    WPUUMS01
    --E1WPU01
    E1WPU02
    ZNRLOT "this is my added segment
    E1WPU03
    E1WPU04
    E1WPU05
    E1WXX01
    The idocs (external xml files) enter correctly in SAP, when I view them with WE02 al the segments are correctly populated with the right data and they are ready for processing with status 64.
    After processing (with the program RBDAPP01 or with WE19 etc. doesn't matter, both uses IDOC_INPUT_POS_SALES_ACCOUNT ) comes the problem:
    The Material Document and Billing Document (Invoice) ARE GENERATED WITH ONLY THE FIRST ITEM. I mean that the iDoc has more items(materials) and should generate the material document and billing document with all the items, not just with the first one.
    As a conclusion:
    1. iDoc is loaded correctly in SAP with all the data in the segments, also in the new segment, and of course has more items.
    2. the problem is that after after processing, the generated document material and billing document have only 1 position, the first item from the iDoc.
    Any help in fixing this issue will be welcomed.
    Traian Mustata
    SAP ABAP Consultant

    check for the qualifier QUALARTNR. Is it filled accordingly in the z segment? U may also check by debugin the f/n module in we19

  • 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

Maybe you are looking for

  • Error Message FZ003

    Hi All, In F110/FBZ0 , when i run edit proposal following error is coming. Company codes xxxxxxxx do not appear in proposal xx/xx/xx, xxxx; correct Message no. FZ003 Diagnosis No data exists for the specified paying company code xxxxxxxx and the spec

  • General question about xml

    Hi, How can I "include" xml file to another xml file? I want to different in one xml file some header reports...for once!!! then to call (include) from all athers xml files to this header. (instead all the time to write the same rows.. :)) Thanks. I'

  • Typing and copy/paste in Hebrew

    Hi everyone. First time poster, so be gentle please. :-) So I am using CS5.1 and I have working on a project where I am recieving text in Hebrew. However, whenever I try to copy/paste the text, it flips the text around, like everything was typed in b

  • Mail divider bar lost

    In Mail 1.3.11 I lost the divider bar (betwwen message list and preview pane) and its handles and I can't get it back. Anyone know how to get it back?

  • Whole Data Retrieval

    Hi Experts, I have one master table, which contains about 16million records. My scenario is to retrieve all the data from the master table and display it using report. I am getting request time out error, when I use select statement. Can anyone tell