Rebate Agreements - Settlement by Individual Billing Document

We need to be able to create a single credit memo for each billing document being settled in an agreement. Does anyone know if this is possible?

Hi Peter,
I dont think that it is possible by standard or by any exit to do this. One way could be to create a program that checks the billing documents on which accrual has happened for the agreement and then this program internally creates credit memo request by calling VBO2, using partial settlement with the accrual amounts. All this credit memo requests can then be raised in one go by using VF04. This is the only alternative that comes to my mind.
Or else you can explore the product Vistex, approved by SAP for this situation, if they provide any such solution.
Regards,
Naveen Aggarwal

Similar Messages

  • Currency exchange rate differences in rebate agreement settlements

    Hi Experts,
    My customer has issue in Rebate agreements and final settlements.
    ISSUE:
    Rebate agreement currency is EUR
    Billing document currency is EUR
    Company code currency is SEK
    Initially ( Before final settlement)
    The accrual amount in sales volumen 3151.05 EUR
    the accrual amount in drill down 3152.05 EUR
    After Final settlement
    The accrual amount in sales volumen 2.62 EUR
    the accrual amount in drill down 3152.05 EUR
    The accounting documents shows after final settlement
    customer A/c 3151.98 EUR credit
    Expenses A/C 3151.98 EUR debit
    Accrual A/c 3149.43 EUR debit
    Expenses A/C 3149.43 EUR credit
    The difference of 2.55 EUR is due to currency differences.
    there is no retrospective rabte processing .
    Kindly give your expertise resolve the issue of currency exchange rate difference in customer currency.
    Immediate response is highly appriciated
    Thanking you
    With regards
    Murali
    Message was edited by:
            Murali Krishna Lanka
    Message was edited by:
            Murali Krishna Lanka

    HiI
    f you set this selection field then the settings in the ERD Setting column for this currency type are no longer relevant. The system calculates and posts exchange rate differences between order-related goods receipts and invoices not just for materials with standard price, but also for:
    Materials with moving average price
    Account-assigned transactions
    Planned delivery costs
    The valuation of the inventories or consumption is effectively done at the exchange rate for the goods receipt, and not at the exchange rate of the invoice. When you post the good receipts, the fixed exchange rate from the purchase order is not used, but the translation of the purchase order values to local currency is always done at the posting date of the goods receipt.
    If you are using the material ledger with actual costing, the system does not include the posted exchange rate differences at period-end closing in the actual prices of the materials.
    Regards
    Antony

  • Rebate agreement number link to accounting document (VBOF)

    Hi,
    When we run VBOF it updates the rebate relevant billing documents with the accruals and accounting documents are generated for the same. Is there any possibility to link an accounting document (line item) with a rebate agreement number? One billing document can come under the purview of N number of reabte agreements. Hence during VBOF one accounting document gets generated for updating the conditions of all these agreements if a chnage is present. THe accruals in provision account gets changed through a single accounting document but at different line item level in the accounting document for each rebate agreement. Hence is there a possbility to link the accounting document (line item) to a single rebate agreement number.
    Note: The client wants to know the history(time based on posting date) of credit/debits happening in the provisions account for a single rebate agreement.
    Your inputs are highly appreciated.
    Regards,
    Raj

    Any new developemnt?  I am trying to write a report to list such relationship between a billing line item with the accounting document.
    Thanks.

  • Rebate agreement settlement date

    Hi,
    I want to see the rebate agreement settlement date. Where can i find it?
    It happened in our system that Many closed rebate agreements have agreement status Open, though they were closed long back. We feel some thing might have happened to database & this status field has become blank.
    I have close such agreements that have the settlement date. Otherwise, i need to ask business to verify every agreement. Which is simply not possible as there are thousands of agreements of more than 8 yrs are also present in my list..
    Thanks for replying it.
    Srinivas

    Rebate Agreement
    - Overview of Condition record(Press f5 button from keybroad)
    - Select the condition rates
    - Select Rebate payment from menubar - then choose Rebate Document
    - Select Final Settlement option and press enter.
    - There you can see detials of the final settlement doc for the rebate agreement and you can get settlement date.
    You can use Table KOTE , KONV, KOMP.
    Further
    Table CDPOS
    with fields as
    - Field OBJECTCLAS as COND_B
    - Field VALUE_NEW as C
    - Field FNAME as BOSTA-Status of a rebate arrang
    - Field CHNGIND as U
    Regards
    JP

  • Rebate agreement settlement

    Hi thr,
    I settled a rebate, but later found out the rebate recipient is different.  I cancelled the credit memo but did not realize that I had to cancel the credit memo request.  So this morning another credit memo was created which I cancelled and the credit memo request I made its items zero.  I thought the funds would go back to the rebate but the rebate is still showing settled. 
    Could someone please let me know if after settlement a rebate credit memo is cancelled, will the money go back to the rebate? Where can I check as to where the money has gone?

    Hi
    The accrual would not get posted back to the rebate once you create the final settlement request. The system makes the rebate non editable after this and changes the status to D (settled). The way out is as follows:
    1. Make credit memos item as zero and then post the credit memo for zero.
    2. Create a new rebate agreement with reference to the old one. Everything (conditions, recipient, validity, customers) would get copied.
    3. Once copied save it and run VBOF. The accruals would be re posted once again. (No manual accruals can be reposted though- only accrual through actual invoices).
    4. Settle the rebate for the correct amount.
    Regards
    Indranil

  • Determine profit center during Rebate Agreement Settlement - MEU2

    Hi ,
        We are processing vendor rebates settlement using Tcode - MEU2 , the profit center getting assigned to FI document line is  common profit center and not the one specifically assigned to the material being processed in the Setllement document  .
    If I process vendor invoice or any other GI /GR document for this material profit center is being correctly determined .
    Please let me know where I might be going worng or any additional configuration I need to do to achieve this .'
    Thanks & Regards
    Milind

    hi krishna,
    you might be wrong
    no where in CMR you will maintain profit centre.
    please select sales general plant data view also which contains profit centre so it appears in the credit memo.
    or
    else you need to go to SM30 - update profit centre field PRCTR there in the tables directly.
    hope this clears your issue.
    balajia

  • Rebate Agreements for Archived Billing Docs

    Can anyone help me with how to find Rebate Agreements associated with ARCHIVED billing documents.  I know table M-VMCFB will give me billing docs and rebate agreements, but archived billing docs aren't on there.  There must be a way to find the info as I can drill down on individual billing docs in VF07 to get the rebate agreement number for an item.  But how do I do it for a list of archived billing docs?
    Thanks for your time.

    Hello Friend,
    Run the T.code VFRB.

  • Rebate Agreement / Billing

    Is it possible to create Rebate Agreement in crm and Billing in ecc? also with an eye to the rebate settlement..

    Hi Manish
    System will ask to recreate the billing index if any billing documents are there for that sales organization.So you have to run the report RV15B001 which will be for the payer also.
    It will update the old billing documents of that sales organization also
    Regards
    Srinath

  • Creating a Rebate agreement doc for multiple co codes

    Hi,
    To enable settling one rebate agreement across multiple company codes.
    We have a scenario, to accomodate on Rebage agreement type for multiple company codes,
    and to do the settlement for the billing documents created in these multiple company codes.
    I think it is a standard processes, but how to execute this to get the results,pls suggest.
    Regards
    AK

    Hi Franck,
    Thanks for your prompt feedback,
    Further to the issue I would like to clarify couple of other issues related to
    the processing of one Rebate agreement for multiple company codes.
    1. This is a client requirement, which need to be addressed through
    enhancements since standard possibility is ruled out, we have tried with this scenario but sales area is a mandatory entry while creating the agreement type (Tcode-VBO1).
    2.  If it is feasible could you please provide the configuration steps for the scenario or any enhancements related to this scenario for implementing.
    Kindly explain what do you mean by IMHO?
    Regards
    AK

  • Accounting document not cleared when billing document is cancelled.

    Hi,
    In ECC 6.0 when we cancel a billing document through vf11 in vfo3 we find the status as accounting document not cleared.
    The general process is manually going to f-23 and clear customer line items of that invoice. After doing this the status become accounting documet is cleared.
    My requirement is how to cancel the billing document without getting this message (accounting document not cleared) and not clearing the customer line items manually.
    Can it be done through user exit/enhancement or by copying requirement vofm.
    Please suggest.
    Thanks
    Edited by: sumesh on Jul 29, 2009 6:33 PM

    They directly want the accounting document to
       be cleared when billing document is cancelled.
    Though you can achieve this with the help of ABAPer, why dont you consider having a Posting block for your billing type so that as and when the billing documents are generated, you can release it via VFX3 in bulk or VF02 for individual billing document release to FI.
    In order to achieve this, go to VOFA, select your billing type and execute.  There you can see a field "Posting block" where maintain a tick there and save.  With this control, first of all, you can ensure that before releasing F2 billing documents to FI, it is not cancelled.
    thanks
    G. Lakshmipathi

  • Problem with Rebate agreement

    We have a problem with Rebate agreement settlement.
    Generally when the finall settlement of Rebate is completed ( with status D - D means final settlement ), the liability should be zero. However, after we made final settlement, still some amount is showing as liability when we looked at the sales volume of the rebate agreement.
    Please help us to fix the issue.
    Thanks in advance for the help.

    Hello,
    Please review the Note 392683.
    Regards,
    Raghavendra YN

  • Collective Billing Document for Resource-Related & Order-Related Items.

    Gurus,
    Due to the nature of our service related business our contracts are made up of fixed price (periodic) billing, hourly & cost+ mark-up (resource related) billing invoiced on monthly cycles.
    Our clients expect to see 1 invoice each month covering this combination.
    Production of billing documents is follows:
    A single sales order created with line items classified as either periodic or resource related.
    For the periodic items a billing plan is maintained in the sales order.
    For resource related items a debit/credit memo request is created using t.code DP91
    Running t.code VF04 with the Sales Order, Debit/Credit memo request number and billing dates returns 2 lines.
    Bililng date is entered in the default data tab to overcome invoice splits.
    When running collective billing - individual billing documents are created.
    What config or SAP notes are availble to make combining into a single billing document possible.
    Thanks in advance.

    Hi,
    You have sales order item and resource related debit/credit memo
    If you want to combine this then you have to set up proper copy control setting from SALES DOCUMENT to BILLING DOCUMENT
    T-CODE VTFA
    check at item level Data VBRK/VBAP, Maintain proper routine
    Kapil

  • Splitting of billing document

    2 identical sales orders with same terms of payment, PAYER and billing date need to be processed with separate invoices. User dont want to make changes in the sales oder.  Is there any way where we can process it automatically so that all the identical sales orders will get processed and system will generate individual billing document for each rather than processing it manually (using VF01)? Please help.

    Mohit,
    Below is an expample of billing split by Item category..
    Speak to ur ABAPer and check if he can modify to suit your reqt..
    In trx VTFA (if your billing is sales order based) choose your billing type and SO type, there select your item categories and there select the field VBRK/VBRP data. In that field you will see the currently used routine. With the help of your ABAP guy create a copy of that routine under a different number and add your lines of code. Let's say you use routine 001. 
    FORM DATEN_KOPIEREN_001.
    Header data
    VBRK-xxxxx = ............
    Item data
    VBRP-xxxxx = ............
    Additional split criteria
    DATA: BEGIN OF ZUK,
    MODUL(3) VALUE '001',
    VTWEG LIKE VBAK-VTWEG,
    SPART LIKE VBAK-SPART,
    END OF ZUK.
    ZUK-SPART = VBAK-SPART.
    ZUK-VTWEG = VBAK-VTWEG.
    VBRK-ZUKRI = ZUK.
    ENDFORM.
    This is how it should look after modification:
    Header data
    VBRK-xxxxx = ............
    Item data
    VBRP-xxxxx = ............
    Additional split criteria
    DATA: BEGIN OF ZUK,
    MODUL(3) VALUE '001',
    VTWEG LIKE VBAK-VTWEG,
    SPART LIKE VBAK-SPART,
    PSTYV LIKE VBAP-PSTYV,    <- New line
    END OF ZUK.
    ZUK-SPART = VBAK-SPART.
    ZUK-VTWEG = VBAK-VTWEG.
    ZUK-PSTYV = VBAP-PSTYV.   <- New line
    VBRK-ZUKRI = ZUK.
    ENDFORM.
    After this routine is created and activated place it as the default copy control routine instead of the old ones.
    Award some points if this is useful to u...
    Regds
    MM

  • Process 2 delivery order document become 2 billing document in 1 one time

    HI,
    is it possible to process 2 delivery order document become 2 billing document in 1 one time (just like collective billing document but the billing document will be create as many as delivery order document ?
    Thanks & Regards,
    Saiful arif

    Dear Arif,
    Please try with this option
    Go to VF04 transaction enter the selection data (To execute the delivery documents) then execute now system will execute the list of delivery documents which were not billed.You select dleveries those you want to bill then click on Individual billing document push button now system will create the invoices for the delivery documents,
    I hope this will help you,
    Regards,
    Murali.

  • Collective billing document

    Hi All,
    When  I create  two sale order(297,298) and two delivery (80001084,80001085) but i want to create single billing document for those delivery but the billing document create individual item not pick the other item.
    please help me to resolve this issue.
    Thanks,
    Suresh.M

    Hi,
    go to vf04, select all the delvieries for which u want to create collective billing and click on Simulation button which next to the Individual billing document. so that you will get the reason for the invoice split.
    If the process is export related, please find the below explanation for correctin of the issue.
    Normally in Export sales, By default export data both in delivery & billing will be differ.
    In Foreign Traded Data of Delivery / Invoice --> Organisation Tab --> Number of Foreign Trade data will have one unique number for each item of the delivery or invoice due to this Collective billing is not possible.
    Solution:
    1. In VTFL t.code --> Copy controls header details --> 1. Copy requirements should be 003 (by default it will be 003)
    2. Determ. export data should be B (redetermine the export data)
    So after you maintain the above fields, test it with new delivery & invoice.
    Please follow the above process definitely you will be clear on the issue.

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