RE: Vendor Sales in Report

We sell variants article created under generic article.
The POS sales captured the variant articles.
The articles belonging to which vendor is current maintain under Purchase info record.
However, in the case of variant, the pricing is maintained using the generic article number.
Basing on the sales article, it would not be able to use the same variant article to locate for the regular vendor to report on vendor article sales.
Has anyone print any report on vendor supplied article with variants?
How do you link the maintained vendor's generic article with sales variant article?
Thanks
Bye

no reply after 1 week

Similar Messages

  • Reg:Vendor Sales & purchase report

    Dear All,
    We need one customzied report which is having the details about Vendor Sales & purchase transactions , if we are giving the input vendor or customer , fiscal year, comapany code, & fiscal period as the input means we need the details about the vendor sales and purchase report.
    Thanks,
    Sanakar M

    You can purchase the custom report from vendors called consultants or employees with developer keys.
    If you input the type as ABAPER, then you have the options and (hopefully) a good quality report.
    I am sure this will work....
    Cheers,
    Julius

  • Wht r the standard tables for vendor customer and sales order report/

    Hi wht r the standard tables for vendor and customer reports and is how in normal we cannot use them for vendor reporting and etc ?

    Hi
    Customer is related to Sales Module
    So for a customer we fetch the reports of Sales orders , Deliveries and Billing doc's
    CUstomer and Vendor related tables with important fields:
    KNA1: Customer Master-General(KUNNR,NAME1,LAND1)
    KNB1: Customer Master(Company Code)(KUNNR,BUKRS,PERNR)
    KNC1: Customer Master Data (Transaction Figures)(KUNNR,BUKRS,GJAHR)
    KNVK: Customer Master Contact Partner(PARNR,KUNNR,NAME1)
    KNVV: Customer Master sales data(KUNNR,VKORG,VTWEG,KDGRP)
    KNBK: Customer Bank Details(KUNNR,BANKS,BANKL,BANKN)
    KNVH: Customer Hierarchy (HITYP,KUNNR,VKORG,VTWEG,SPART)
    KNVP: Customer Master Partner Functions(KUNNR,PARVW,KUNN2)
    KNVS: Customer Shipment data(KUNNR,VSTEL,TRANS)
    KNVI: Customer Tax data(KUNNR,ALAND,TATYP)
    LFA1: Vendor Master-General (LIFNR,NAME1,ORT01)
    LFB1: Vendor Master(Company Code)(LIFNR,BUKRS,PERNR)
    LFC1: Vendor Master (Transaction Figures)(LIFNR,BUKRS,GJAHR)
    Sales related Tables for a customer
    VBAK: Sales Document(Header Data) (VBELN, KUNNR)
    VBAP: Sales Document(Item Data) (VBELN,POSNR,MATNR,ARKTX,CHARG)
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    LIKP: Delivery Table (Header Data)(VBELN,LFART,KUNNR,WADAT,INCO1)
    LIPS: Delivery Table (Item Data)(VBELN,POSNR,WERKS,LGORT,MATNR,VGBEL)
          (LIPS-VGBEL = VBAK-VBELN, LIPS-VGPOS = VBAP-POSNR)
    VTTK: Shipment Table (Header Data)(TKNUM)
    VTTP: Shipment Table (Item Data)( TKNUM,TPNUM,VBELN)
          (VTTP-VBELN = LIKP-VBELN)
    VTFA: Shipping Document Flow(TKNUM,VBELV,VBELN)
    VTPA: Shipping Partners data(VBELN,PARVW,KUNNR,PERNR)
    VTTS: Stages in Shipment(TKNUM,TSNUM,TSTYP)
    VTSP: Transport Stage/Shipment Item Allocation(TKNUM,TSNUM,TPNUM)
    VEKP: Handling Unit: Header(Packing)(VENUM,VSTEL)
    VEPO: Handling Unit: Item (Packing)(VENUM,VEPOS,VBELN)
    VBRK: Billing Table(Header Data)(VBELN,FKART,BELNR)
    VBRP: Billing Table(Item Data)(VBELN,POSNR,FKIMG,NETWR,VGBEL,VGPOS)
          (VBRP-AUBEL = VBAK-VBELN, VBRP-VGBEL = LIKP-VBELN)
          Apart from these tables there are lot of other tables which starts with
          ‘V’, but we use the following tables frequently.
    VBUK: All Sales Documents status & Admn. Data(Header)(VBELN,VBTYP)
          VBTYP= ‘C’(Sales Order) VBTYP=’J’(Delivery) VBTYP=’M’(Invoice) 
    VBUP: Sales Documents status & Admn. Data(Item)(VBELN,POSNR)
    VBEP: Sales Doc. Schedule Lines Data(VBELN,POSNR,EDATU,WMENG)
    VBKD: To get sales related Business data like Payment terms etc.(VBELN,ZTERM)
    VBFA: sales document flow data(VBELV,VBELN,POSNV,VBTYP)
    VBPA: Partner functions Data(VBELN,PARVW,KUNNR,LIFNR)
    VEDA: Contract Data(VBELN,VPOSN)
    VEDAPO: Contract Data(VBELN,VPOSN)
    Vendor related MM tables
    EBAN-- Pur.Reqn. Data (BANFN,BNFPO,BADAT,MATNR)
    EBKN-- Purchase Requisition Account Assignment(BANFN,BNFPO,VBELN)
    EINA—- Purchase Info.Record (General Data)(INFNR,MATNR,LIFNR)
    EINE-- Purchase Info.Record (Pur.Orgn Data )(INFNR,EKORG)
    ELBK-- Vendor Evaluation Header Data(LIFNR,EKORG,KLASS)
    EKKO-- Purchase Order Data (Header)(EBELN,BSTYP,BSART)
    EKPO-- Purchase Order Data (Item)(EBELN,EBELP,MATNR)
           RFQ and PO are differentiated by Doc Type(BSTYP)in EKKO table.
           For RFQ it is ‘A’ and for PO it is ‘F’.
    MKPF-- GRN Data (Header) (EBELN,BLDAT,BUDAT,XBLNR,BKTXT)
    MSEG-- GRN Data (Item)(MBLNR,BWART,LIFNR,MATNR,EBELN)
           Apart from this there are lot of tables which begin with 'M'& 'E', but we
           use the following very often.
    EKBE--PO History Data (EBELN,EBELP,BELNR,BLDAT,MATNR,VGABE)
    EKBZ--PO History with delivery Costs(EBELN,BELNR,LIFNR,XBLNR)
    EKET--Schedule lines data of a PO (EBELN,EINDT,SLFDT)
    EKES--Vendor Confirmations Data(EBELN,EBTYP,EINDT,XBLNR)
    Reward points if useful
    Regards
    Anji

  • PURCHASE & SALE SUMMARY REPORT

    hi....
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    Thanks & Regards
    Rekha Sharma

    hi...
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    i want vendorwise/customerswise purchase/sale summry. It should show Purchase/Sale Qty. & amount.
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  • Sales Analysis report does not match Cost of Sales Account

    My client is running SAP B1 8.81 PL 6.  He has set all items to standard costing method.  He has discovered that the difference between the Sales Amount and the Gross Profit amount on the Sales Analysis report, which should equal the Cost of Sales for the Items, does not match the Cost of Sales G/L account on the P&L report.  If you look at a sample of rows, the above difference divided by the quantity equals the standard cost of the item.  There are no manual journal entries that affect the COS account for the posting period that is being analyzed.  I cannot see any mathmatical difference or problem with the above analysis, nor can I find the problem.  There is about an $85K difference between the reports.  The Sales Amount on the Sales Analysis report matches the revenue account on the P&L to the penny.  Has anyone ever compared these 2 reports?  Thank you for your help.
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    If you right click on an Invoice and choose "Gross Profit" it will give you a setting on how you want to calculate the Gross Profit for that invoice.
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    However, SAP B1 gives the user the ability to select a different base price other than the Item Cost.
    This gives the user the flexibility for the Sales Report. Example (Net Sales Price - Vendor Sales Price = Gross Profit). People do this sometimes because  the item's cost fluctuates if you use FIFO or average cost and they want a uniform cost to calculate their Gross Profit.
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    See screenshot:
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  • Ageing wise vendor  and customer report

    hi....
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    Rekha shrama

    Hello
    First configure credit management & customise.
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    You can set the allowed degree of ageing in Customizing for Sales, under Basic Functions ® Credit Management/Risk Management ® Credit Management ® Define Automatic Credit Control.
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    Fields allowed days and allowed hours are only available for entry if you have entered an X in field Read A/R Summary in Customizing. The path is: Accounts Receivable and Accounts ® Credit Management ® Credit Control Account ® Make basic settings for credit management.
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    In order that the system is burdened as little as possible, SAP recommends you stick to the following order:
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    Program run: Distribution A/R summary from central FI to decentralized Sales and Distribution units
    Program run: Renewed credit check for blocked sales documents in decentralized Sales and Distribution units
    Status Management for Obsolete A/R Summary
    If the A/R summary is obsolete, the credit status Credit data obsolete is set. This means that the document is blocked, and appears in the credit representativeu2019s worklist. In Customizing for Sales, in the section Automatic Credit Control, for the single, aforementioned checks, for which FI data is necessary, you can define whether a warning appears in the obsolete data, or whether a status is set.
    If you are working with the A/R summary, and would like to re-process obsolete data, it is recommended that you set a status.
    Reg
    suresh

  • Branch wise sales analysis report

    Hi
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    Thanks

    Hi Molhatra,
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    SELECT  T0.DocNum as 'SO. No.',
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    T2.DocDate AS 'Delivery Date',
    M.DocNum as 'A/R Invoice No.',
    M.DocDate as 'Inv. Date',
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    M.NumAtCard as 'Bill No. & Date',
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    L.Quantity,
    L.WhsCode,
    L.TaxCode,
    (Select Sum(LineTotal) From INV3 Q Where Q.DocEntry=M.DocEntry) AS 'Freight (Rs.)',
    M.WTSum AS 'TDS (Rs.)',
    M.DocTotal as 'Total (Rs.)'
    FROM ORDR T0 INNER JOIN RDR1 T1 ON T0.DocEntry = T1.DocEntry
    INNER JOIN ODLN T2 ON T2.DocEntry = T1.TrgetEntry
    INNER JOIN DLN1 T3 on T3.DocEntry = T2.Docentry
    INNER JOIN OINV M ON M.DocEntry = T3.TrgetEntry
    LEFT OUTER JOIN INV1 L on L.DocEntry=M.DocEntry
    LEFT OUTER JOIN INV4 T on T.DocEntry=L.DocEntry and L.LineNum=T.LineNum
    LEFT OUTER JOIN INV5 J ON M.DocEntry = J.AbsEntry
    LEFT OUTER JOIN INV3 Q ON M.DocEntry = Q.DocEntry
    WHERE M.DocDate >= '[%0]' AND M.DocDate <= '[%1]'
    AND
    L.WhsCode='[%2]'
    GROUP BY
    T0.DocNum,T0.DocDate,T2.DocNum,T2.DocDate, M.DocNum,M.DocDate,M.CardName,M.NumAtCard,L.ItemCode,L.Dscription,L.Quantity,
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    Regards,
    Madhan.

  • Standard sale tax report

    Hello Experts,
    Please tell me the name of standard Sale Tax Reports and Standard Tax table also standard Sale Tax smartforms.
    Thanks
    Vishu

    Hi ,
    check KONV/P , KOMV tables based on the Condition Types.
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    RFKQST10
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    Message was edited by: Prabhu Peram

  • COMBINED DIVISIONS ON A SALES ORDER REPORTING WRONGLY ON MC+2

    Hi All,
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    SD expert, please help out!!!

    SAM
    I had a looked at both the SAP Notes provided. Doesn't really apply in my situation. The Sales order was for 10 qty. My PR for 10 qty and I have also done a MIRO for 10 qty. even my sales invoice was for 10 qty.
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  • Standard Extractor for Sales Overview report

    Hi Experts,
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    Thanks & Regards,
    Amit Naik

    Hi Sathya,
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    Report                          Possible fields
    On Time Delivery-     Month to date on time in full, Year to date on time in full
    Pick Performance-     Days from Pick List Receipt to Despatch
    Delivery Performance-     Days from Order receipt to despatch
    Costs-                          Total Cost per unit despatched,Labour Cost per unit despatched,Monthly spend vs budget by cost centre
    Stocks-                          Openshaw Stock Volume vs budget,Openshaw Stock Value vs budget,Stock Movement by product / range month on month,Stock Turn
    Returns-                          Volume and Value by major type
    Orders in Pick-     Volume and Value
    SMU-                          Outstanding Special Make Up Work
    PI -                          Percentage bins 100% accurate
    Space-                          Count of empty bin locations     
    Progress to Budget for month-     Budget, Forecast and latest estimate.,Invoiced to date, in pick, outstanding,Shortfall to find.
    Profit and EBITDA-     By Brand / Customer / Account
    Monthly pack     -                     Equivalent
    Outstanding PO's-     Volume and Value, by brand / category,Expected receipts this week,View of inbound scheduler (Empirica)
    Vendor Management-     Value of PO's with major vendors,Vendor on time delivery,Vendor Rejections / QC problems
    In Bound Carriage-     Cost of Carriage for month vs budget,Airfreights agreed,PO's Inbound
    Out of Stock Report-     Items where there is zero or projected to be zero stocks,Back Order volume value
    Progress-                          Number of designs in development,Number of designs late against Critical Path
    Thanks & Regards,
    Amit Naik
    Edited by: Amit Naik on Sep 20, 2010 9:28 AM
    Edited by: Amit Naik on Sep 20, 2010 9:35 AM
    Edited by: Amit Naik on Sep 20, 2010 9:38 AM
    Edited by: Amit Naik on Sep 20, 2010 9:43 AM

  • Vendor Payment Performance Report

    Hi,
    I am in the process of developing a report which should show details of Project, Service orders and purchase orders information. If end user inputs project/SO/PO/Vendor in the selection screen of the report, they are expected to see service orders and their related costs information. In the drill down they would like to see related Purchase orders information of the service orders including PO Quantity, PO Value, Invoiced Quanity, Invoice value, Invoice creation date, Invoice posting date, Invoice due date(Invoice date + Vendor Payment terms), Actual payment date to Vendor, Blocked invoices, Reason for blocking, Vendor info. Is there any Business Content reports, cubes, extractors availabe to serve my purpose ?  If this requirement can't be developed in one report please suggest what is the best way of doing.
    Eg of Report Result data:
    Selection screen can have Project, Service Order, PO, Vendor, Year & Month
    Report Results:
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    WBS1      1001      5000 GBP        
    (5000 GBP contains 2000 GBP spent on labour cost + 3000 GBP spent on material which will  be paid to different vendors)
    If we drill down using Purchase Order it should show PO details for 3000 GBP and show blank for 2000 GBP
    Project    SO        PO     POValue   InvoiceValue    IVdate   IVPaiddate    IVDuedate    Vendor
    WBS1     1001    2000   -
    WBS1     1001    P123   1000          1000               1.8.09     16.8.09       15.8.09         CP
    WBS1     1001    P234      500           500               15.7.09    15.8.09      15.8.09         BP
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    Hi,
    You can create a report on this, but first have to findout in which all the tables your fields existing. Based on this you can build a report in r/3 or a FM which you can use it in Generic DS.
    Hev you gone thru standard Purchase DS which available in r/3 side. Just check them it might suits your requirement.
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    Pra

  • Sales Analysis Report - Items -- blank result

    Hi,
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    HI Gordon,
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  • Open sales orders report

    Hi,
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    Thanks

    Hello,
    Does anyone know of any open sales orders report ? VA05 ? Table join between VBAP-VBAK ?
    If your basic requirement is find out the open Sales Order then you can look out for the below standard report:
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  • Open Sales Order Report

    Hello..
    my client wants to have the open sales Order report in following format :
    ======================================================================================================
    Customer Name | Item 1 code  | Item 2 code  | Item 3 code  |  Item 4 code  |  Item 5 code  |  Item 6 code  | Item 7 code  |
    =======================================================================================================
    Jack Inc.......................987.................865.....................654.................543.......................739..................543...................987
    Colt Inc.......................237.................213.....................799..................321.......................875...................187...................122
    IOUU LLC...................127.................535.....................654..................777.......................211...................345...................777
    =====================================================================================================
    .................................1351..............1613...................2107.................1641.....................1825.................1075..................1886
    =====================================================================================================
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    rekha
    Edited by: Rekhatiwari on Dec 16, 2010 10:46 AM
    Edited by: Rekhatiwari on Dec 16, 2010 10:47 AM

    Hi,
    Try this:
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    (Select SUM(isnull(T1.quantity,0)) from RDR1 T1 WHERE T1.DocEntry = T0.DocEntry AND T1.ItemCode = '[%4\]') Item3,
    (Select SUM(isnull(T1.quantity,0)) from RDR1 T1 WHERE T1.DocEntry = T0.DocEntry AND T1.ItemCode = '[%5\]') Item4,
    (Select SUM(isnull(T1.quantity,0)) from RDR1 T1 WHERE T1.DocEntry = T0.DocEntry AND T1.ItemCode = '[%6\]') Item5,
    (Select SUM(isnull(T1.quantity,0)) from RDR1 T1 WHERE T1.DocEntry = T0.DocEntry AND T1.ItemCode = '[%7\]') Item6,
    (Select SUM(isnull(T1.quantity,0)) from RDR1 T1 WHERE T1.DocEntry = T0.DocEntry AND T1.ItemCode = '[%8\]') Item7
    FROM ORDR T0
    WHERE T0.docdate between [%0\] and [%1\]
    That might be the only way close to your requirement.
    Thanks,
    Gordon

  • Vendor Master Change Report

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    Hi,
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