RE.Can We do (MIGO) Batch No based Logistics Invoice Verification(MIRO)

Dear All
While doing invoice verification reference to MIGO Doc. we are not able to see Vendor Batch No field in MIRO Screens.
I.e
Item No. 10  100No's as per DC/Invoice Received stores were Accepted. But in Production QC Accepted 80 No's 20 Rejected in Batch.625268.
Batch.625261 = 20No's
Batch.625268 = 25No's
Batch.625263 = 25No's
Batch.625305 = 40No's
While doing Invoice verification FI do MIRO only for accepted qty. But FI User reduced Qty. in Batch 625263 instead of 625268.
Because in MIRO screens We are not able to find Vendor Batch Field form MIGO.
Please advise how to GET Batch Field in MIRO Screen.
Regards:
P. Ramana Reddy.

Hi Anil,
could you tell me which PO type to be used in such case.
Secondly it is quite confusing to me.
In your reply, you had mentioned that you post the inbound delivey document prior to booking the CVD using MIRO. then how you are able to post it again using VL32N (change Inbound delivery Transaction)
Actually i'm looking for scenario as mentioned below.
1 Import PO is created with all applicable tax condition
2 Inbound Delivery is created (using VL31N), but not Posted.
3 MIRO Invoice is booked for CVD Duties.
   For MIRO Invoicing System Should propose the Qty and Value based on the inbound delivery
4 then we will do the Good Receipt either from VL32N( by Posting the Inbound Delivery) or from MIGO against Inbound delivery.
5. Later we will post the Vendor Invoice.
In Step 3, if i have to book the MIRO (CVD Portion) Manually, then i have no issue in my process.
Can you through some light on how i can make the system to propose the CVD Value while creating MIRO for custom duties.
Regards,
S Anand

Similar Messages

  • Rebate provision based on Invoice Varification

    Hi
    This is regarding rebate provision and settlement based on Invoice Varification (MIRO).
    In agreement type we have selected time of update as Invoice Varification. but still system recording provision and settlement entries based on goods receipt (MIGO).
    do we need to do some other configuration? please revert in detail.
    Regards
    DD

    hi
    It is the standard behaiviour if you have maintained the rebates in scales.
    In the Invoice it will show only the value for 1st scale only.
    If you want to see how much has been accrued then goto VBO2 or VBO3 enter your agreement type.
    Press Shift+F5 or from the menu select REBATE PAYMENTS and then SALES  VOLUME.
    Here you can see the accruals.
    regards
    Prashanth

  • GR-Based Invoice Verification

    I am having problems with the GR-Based Invoice Verification flag in the POs.
    Basically what I need is for the system to not allow me to post invoices over the good receipted quantity. I manage to get that control switching on the "GR-Based IV" flag in the PO, but at the cost of having to set the GR reference whenever I make an invoice.
    Is there someway in which I could post invoices in the system without making reference to the good receipt material document number while keeping the check that does not allow me to invoice over the total GR amount?
    Thanks

    Hi,
    you have to set the tolerance limit for the Invoce Verification for the respective Comapany Code.
    goto, IMG - Material management - Logistice Invoice verification - Invoice Block - Set Tolerance limits (OMR6)
    Set upper and Lower limits as zero.
    BW: Percentage OPUn variance (GR before IR)
    The system calculates the percentage variance between the following ratios: quantity invoiced in order price quantity units: quantity invoiced in order units and goods receipt quantity in order price quantity units : goods receipt quantity in order units. The system compares the variance with the upper and lower percentage limits defined.
    Regards,
    Pravin

  • Fields in MIGO - BATCH and Valuation Type

    Hi all,
    I would like to know the meaning of the following fields in MIGO.
    BATCH - Charg
    Valuation Type - Bwtar
    Which is the impact of each field?
    Should they have the same value in TRA MIGO?
    Which means that only the BATCH field is entered and the Valuation Type empty?
    Thanks you very much!!

    valuation type  comes into the game If a material is subject to split valuation.
    you can for example split the valuation based on origin, e.g. internal produced and external procured.
    this is more a financial thing.
    the batch is the level to segragate the stock of a material. e.g. each GR can be a new batch. so you can manage the stock by FIFO rules and by shelf life.  this is a logistics thing.
    Both can be used on their own, or together.
    if you want manage your materials by batches, but dont need split valuation, then you only have to take care about batch number, and the valuation type field in the batch record stays empty.
    if you manage material by batch and you use split valuation, then the split valuation type is a mandatory field in the batch record and you may have to enter batch and valuation type, but usually the valution type is defaulted from customizing.
    The tricky part is if you only use split valuation, because then the valuation type becomes the batch number. this is sometimes a bit confusing.

  • Batch determination based on WM storage type stock positions

    Hello experts,
    I am hoping the get some advise on the best method to achieve this:
    We have batch determination turned on for select customers and the system is proposing stock that is mainly in our each or lose pick storage types (110), the issue with that is the fact that we do not pick in less then case qty for those customers so if the stock doesn't exist in our general storage the user must re-determinthe batch codes before delivery release.
    This process is becoming very time consuming so I would like to improve it.
    My first thought is to create a custom check in the batch search strategy that will only propose batch codes that exist in our general storage (search strategy based on WM stock positions)
    Are there any other options to achieve a batch search strategy based in WM stock positions other then the one above and does that solution sound practical?

    I'm not referring to the type of picking either (i'm not referring to picking strategies at all). I'm referring to storage type search criteria defined in OMLY.
    "We need batch determination based on WM storage type stock positions" -> you are running BD at delivery level and therefore, there is nothing from a standard perspective that we can do to run BD based on WM storage type again. Since the BD has already occurred, we need to find other venues to direct the pick to the appropriate storage types.
    This is what I'm understanding but I reckon there's something that I'm missing and so let's take the below example and then you can get back with corrections:
    R001 plant
    ZM01 storage location
    Z01 WH
    110, 120, 130, 140 storage types (110, 120, 130 are case/lose pick, and 140 is general)
    Since you had mentioned earlier that the BD is running at plant level, I'd assume the storage location ZM01 is automatically determined (since the batch resides in ZM01). Since the batch is already determined, based on your 'storage search strategy' (110, 120, 130) the system tries to pick this batch in these storage types. Now, when there is no full case, you have to manually change the storage type to 140 to pick and this is where the problem is. So, I was recommending that since there is no standard way to automatically pick the full case from 140, use the enhancement.

  • Batch Determination based on date of consig recieve

    Hi,
    I am getting problem when i am trying to do manual batch determination in the outbound delivery.
    I have created a record in VCH1 based on customer/Material/Plant. In this i have maintained a sort rule also. what characteristaics i must use to make my batch determination based on customer consignment recieving date?
    If i go in MSC3n with Material, Plant and batch data then in the screen ( table MCHA, MCH1) onlt data available is for ERSDA, LAEDA  and LWEDT.
    In delivery when i click on batch determination button. my Sort rule is not automatically determined. So i have to maunally entered my soirt rule but at the same time my qty proposal in the same screen is 1 which is nothing but
    FORM CHMVS_001.
      DATA: lv_line TYPE kondh-chasp VALUE '1'.
      LOOP AT disqty.
        CHECK lv_line <= no_of_split.
        IF QUAN_TO_DIS > 0.
          IF DISQTY-AVAL_QUAN > QUAN_TO_DIS.
            DISQTY-QUANTITY = QUAN_TO_DIS.
          ELSEIF disqty-aval_quan > 0.
            DISQTY-QUANTITY = DISQTY-AVAL_QUAN.
          ENDIF.
          IF disqty-quantity > 0.
            quan_to_dis = quan_to_dis - disqty-quantity.
            MODIFY disqty TRANSPORTING quantity.
            ADD 1 TO lv_line.
          ENDIF.
        ENDIF.
      ENDLOOP.
    ENDFORM
    When i am taking characteristics LOBM_VFDAT for sort rule in Cu70 then i am not getting batch determination as i required even if i maintained Shelf expiry date in MSC3n.
    Please suggest where i must look into so that my batch determination would be based on date of consignment recieved.. currently if it s taking based on max qty available in MMBE.
    Regards
    Nitin

    I have already assigned sort rule in VCH1 but dont know which Characteristics i must assign for customer consignment stock on FIFO basis. Could you please tell me the characteristics for it which i must consider?
    LOMB_VFDAT i have already tried but its not working for me.
    Edited by: Nitin Agarwal on Oct 30, 2008 8:14 AM

  • I want to know how to create a new script that can be run in batch proces in Photoshop Element 11 ?

    I want to know how to create a new script that can be run in batch proces in Photoshop Element 11 ?

    Have a look at the menu file/process multiple files. You can choose to add your signature (or the caption) to the image and export the new files.
    If that solution is not flexible enough, consider using the very affordable (12$)  Elements+ add-on which offers a 'meta stamp' script :
    http://elementsplus.net/v5/en/meta-stamp.htm
    Otherwise, have a look at other free and good solutions like Faststone Photoresizer, Xnview...

  • Can I create a saturation mask based to a gradient map?

    Hi
    can i create a saturation mask based on a gradient map?
    for the example a gradient blue from 2441f6 to 6075f6
    and have a luminocity mask based of this gradient
    can i do it?
    how can i do it?
    thanks
    cheers

    The gradient maps are not use to sample color, but to recolor, so you cannot use it to create the selection, use the selection to limit the gradient map to the blue areas of the sky.
    You could MASK a gradient map using the saturation of the sky, to recolor based on the actual saturation of the sky.
    Select the sky with your favorite method, jump it to a new layer (CTRL+J)
    Use the technique in the linked tutorial to extract the luminosity, it should land on its own layer.
    Hide that layer, and delete the selective color one.
    Now add your gradient map adj layer, enter the two colors as desired.
    Show the layer with the saturation converted to a layer. Select all, copy.
    ALT+click the layer mask of your gradient map adj layer, and paste. You might need to paint in black the areas you do not want affected.
    I tried it here, and had semi satisfactory results given the very heavy compression of your file, and also because the colors are pretty unrealistic.
    Here is the image showing the saturation mask, and the results on the side:

  • I can sync icloud calender with pc based outlook calender.  But contacts do not sync.  Could anyone help me with this?

    I can sync icloud calender with pc based outlook calender.  Photos also sync.  But can not sync contacts.  Already checked contact boxes in icloud and and on my PC.  Also tried to reset Document & Data on icloud.  Could anyone help me on that?

    That's what I did... switching on iCloud calender in the panel leads to the following: The existing local Outlook calendar gets mved to an new iCloud calendar.Thus the local calendar is empty.
    Given that iTunes dows not allow my whife's phone to be synced with that iCloud calendar (only the local acalendar appears in the list of available calendars in iTunes; syncing all dioes not include the iCloud one) this leads to an empty alendar on my whife's phone.
    Hence the question how to
    a) get iTunes to include the iCloud calendar to sync with the iPhone 2g (preferred) or
    b) enable a local MS Outlook internal sync between the two calendars.  

  • In iPhoto, can I remove selected batches of photos from my iPhone?

    In iPhoto, can I remove selected batches of photos from my iPhone 4S?

    Only if they are in the Photo Stream.  Pictures in the Camera Roll have to be deleted from the iPhone.
    OT

  • Can't set a batch automation to open .CR2 files & save as .jpg

    My Canon saves as CR2 - I have a whole bunch of pics taken in this format and want to save as jpg's only (delete teh CR2's to save space). I'm not sure it'l work as when you open a CR2 you don't get the Actions window. How can I automate a batch to do this?
    Thx

    Use the Image Processor—or, better yet, the free Dr. Brown's Services, by the same author as the Image Processor, but on steroids.

  • How can I import the Batch details after a Good Receive PO is posted?

    Hi,
    My situation is, I will receive the exp.date after I have posted the Good Receive PO, can I import the batch details using the DTW after the Good receive PO is posted?
    Please help.
    Paddy

    Hello Paddy
    The Batch completion window is not exposed by the DI and the only way to
    create/modify Batch numbers via DI API is when creating new documents.
    Once the document is added, it cannot be modified therefore no batch can
    be added afterwards.
    Thus It is not possible to add/modify batch numbers to Business One
    using the DI API or DTW once the GRPO has been added already.
    Regards,
    Syn Qin
    SAP Business One Forums Team

  • Can GATP work in batch mode

    Hi all,
    Can GATP work in batch mode i.e. all salesorders for a location/product has to go for availability check of stock in one batch.
    For example, stock of  Product A @ Loc A is 90 EA. 10 customers have ordered the same product. In this case i want to run the availability check of all orders in one batch so that all customers will starved equally.
    Please let me know if we can run GATP in batch mode for availability check.
    Thanks for help in advance.
    Regards,
    Sanjog

    You can schedule BOP in batch mode by tocde :
    /SAPAPO/BOP - Backorder Processing in the Background
    In this you can use filter to pull all the material/location as per your selection, can define filter in IMG or S_AP9_75000212 - Filter Type .
    Also you can sort  orders as per customer by special sorting rule.
    S_AP9_75000183 - Special Sorting
    Manish

  • Aurgent: Can any body help of User-based sizing

    Hi Experts.
                 iam new to the implementation .can anybody help on Inital user based sizing.Do n't send the links of service market place.I want know abt wat type of  user has to consider for the A/s Ecc6.0 and how to consider their roles in the appli.server. And also give me the information of users Like low,medium,high in the Quizertool.
                  Replied  answer could be rewarded.
    Thanx.....

    Hi,
    Sizeing basically doesn't depends on users. It is based on active users only.
    Sit with y'r functional leads , and discuss roles and authorizations also.
    Roles will be parent and child etc.
    In the initial project blue print, we can find or estimation of no. of users and active users.
    Initially go with normal settings according to Installation guide.
    Read the Sizer well.
    Note: Points always encourage me to reply !!

  • How can we automate the Depreciation keys based on production for business

    How can we automate the Depreciation keys based on production for business u2013 this is currently not an optimised process if we expect business to manually change the keyu2019s on a monthly basis.
    The end user updates the table, transaction AO25, manually on month end after the production calculations are completed. The question is, is it possible when the PP is completed, that the system updates the Period Unit table for that period?
    Thanks.
    Regards,
    PS PS

    Hi,
    I am new at this, so I need a explanation on how will this help me, and how do I get about doing this?
    Thanks a lot.
    Regards,
    PS PS

Maybe you are looking for

  • How do I sync the itunes with my ipod touch?

    My daughter totally messed up her Ipod touch. I am so computer illiterate but I managed to get it cleaned up. I went on line and cleaned up her play lists and videos but now I can not figure out how to transfer the new lists to her ipod. Does anyone

  • How to open website in a Adobe Reader(8.0)?

    The app.launchURL can open website in Adobe Acrobat ,but it donnot work in Adobe Reader,Why?

  • Strange Behavior of Portal 7

    Hi Everyone. Greetings to all. I am using portal server 7 on web server 6.1. I am facing a strange and erratic behavior of portal while accessing portal from mobile device. I am using openwave simulator 7 for accessing portal, on accessing url http:/

  • Adobe Customization Wizard for acrobat 10 X

    hello I am looking for a tool to package acrobat 10 for deployment and uninstall acrobat 9.4.0 to 100 workstation any word when the tool will  be ready thanks Ron

  • Desktop colour gone awry

    Hi, I hope someone can help me with a colour issue i have. About a week ago my desktop including dock icons became over saturated and contrasty. I have an eizo monitor that is correctly calibrated with colour navigator and within limits. I noticed th