Rebate condition type updation in Invoices
Hi friends,
This is an urgent issue.
There is rebate condition type Z*** with 0.00% USD.
Invoices were created and Rebate Condition value is 0.00 USD in All the invoices.
Now user mainatined the Z*** values as 7% USD.
User wants to update all the previous invoices where this Z*** value is 0.00 USD.
Meaning all invoices should get update with 7% USD for Z*** condition Type.
There is any program to update these condition type value with new in all the invoices.
Please provide me solution ASAP.
Thanks & Regards,
Gopal.
Dear Customer,
if a condition is statistical, then the condition have no influence to FI.
These conditions are not trasfered to FI.
These condtions are only relevant for CO or statistics.
I hope that the information is helpful.
regards
Claudia
Similar Messages
-
Multiple rebate condition types in one invoice
I had defined multiple rebate condition types as Y000, Y001 and Y002, which are montly offtake rebate, distance rebate and yearly offtake rebate.
Y000 and Y001 can be in the same validity period and also will be applicable to the same invoicee.
When i create a rebate agreement for customer for Y000 and go for the settlement of the rebate it is happening fine.
But for the same customer, i had defined Y001 as a rebate agreement type for the same period and materilal.
The sales volume is not updated in the rebate agreement. Evenif I do VBOF the sales volume is not updated.
the error that comes while doing VBOF is :
"7000158055 Document number RCFL 7000158055 2011 was already assigned
7000158053 Document number RCFL 7000158053 2011 was already assigned
7000158052 Document number RCFL 7000158052 2011 was already assigned
7000158054 Document number RCFL 7000158054 2011 was already assigned"
Please help me to solve this problem.
Mrs. Swati PawarHello Swati,
the suggestion of JP is correct.
I explain it better.
- the document type of FI document created from SD depends on the customizing of billing type field TVFK-BLART. If it is blank, then by default is 'RV'.
- if the number range assigned to the account document type is External, then the FI document gets the same number of the SD invoice.
- transaction VBOF creates FI document referred to SD invoice. If it has external number range, and an FI document already exist with same number (created when SD invoice has been released to accounting), then the errof F5152 occurs.
SOLUTION:
in the selection screen of VBOF there is the field FI-Doc-type. Here you should specify the FI document type that should be created by execution of VBOF, and of course it must have number range internal.
Please try this.
Best regards,
Ivano. -
Rebate Condition Type cannot be reflected in sales order?
Hi Guru:
It seemed to be a issue? I set up the rebate agreement and ran the vbof successfully regarding this condition type rebate,and the retroactive billing also can view its rebate condition type as well as the accruals,and I believe the rebate settlement had been run too,credit memo to customer will be aslo routed to accounting side for sure,but I failed to see the rebate condition type and accrual value in the sales order based upon the retroactive all billings,please advise what I should do,thanks.Hi Klaas,
If I remember well, in the standard price determination there is a conditional formula that only shows rebate conditions in the invoice, therefore you should not see rebate conditions in the sales order.
That is standard functionality.
For a Customer I took out the formula condition in the pricing so he could actually see the rebate condition in the sales order, the reason was to had access to this information before end of month invoicing. The problem is that in case of changes in rebate agreement or in case of retrospective agreements the rebate condition is only updated in the invoice, not in the sales order.
Best Regards,
Franck -
Rebate Condition Type--Statistical in nature, but does it post to G/L ?
Hello All,
I've a Rebate Condition type, which is anyway statistical and relevant for accruals too.
So, once I've the rebate condition types are part of the Pricing Procedure and if I create an invoice... does it post anything to any G/L account?
Regards,
Raghu.Dear Customer,
if a condition is statistical, then the condition have no influence to FI.
These conditions are not trasfered to FI.
These condtions are only relevant for CO or statistics.
I hope that the information is helpful.
regards
Claudia -
Rebate agreements / Rebate condition type
Hi Experts,
Can anyone tell me how to process Rebate agreements/Rebate condition types in pricing procedure.Please help me by giving step to step description for rebate condition type and where to maintain condition records and how they function.
Thanks in advance experts,
Kanna Palle.Hi ,
find some notes on rebates.
in the billing document, the rebates are calculated as per the the accrual rates in rebates condition records. My question if the invoice is for Rs 100 and accrual rebate amt in invoice is rs 2. will the customer pay Rs 98 against this invoice of full Rs 100.
Ans --> Customer need to pay Rs 100 only , rebate amount will paied to the customer after completion of the rebate duration in between there will be partial settlement.
2) what happens during manual accruals. why a credit memo request is generated during manual accruals. what happens to accruals as per condition records.
Ans--> Manual Accruals
Use
Posting accruals manually can be useful in different situations such as:
Lump sum payments
Accruals correction
You can control at which time and for which amount the accruals should be posted.
You can build accruals for a particular condition record or reverse them in part or in full.
When you save the rebate agreement, the system will automatically create a credit memo request. The system uses this document to create a credit memo. When the credit memo is released, the accruals are posted to FI.
If you have posted accruals manually, but these have not been passed on to financial accounting, the manual accruals and manual payments in the rebate agreement are blocked.
3) what happens during partial settlement. do the accruals already poested gets reduced to the extent of amount of partial settlement. do manaul accruals have any role to play during partial settlement
Ans->Partial Settlement
Use
You can also partially settle a rebate agreement during its validity period. The amount to be paid can be limited in Customizing for Sales. Payments can be:
limited to the cumulative accruals of the condition record
limited to the amount that would be paid if final settlement were presently carried out
unlimited
You carry out partial settlement by using the manual payment screen within rebate agreement processing. On this screen you can specify the amount to be paid for each condition record.
The system will automatically create a credit memo request for the amounts specified.
It will also reverse the accruals with the credit memo if the rebate agreement type is configured accordingly. If the payment exceeds the recordu2019s accumulated accruals, the system will only reverse the accruals which are actually there.
The system gives you the opportunity to carry out additional partial settlements when previous partial settlements remain open in the form of credit memo requests or credit memos. The system always takes open documents into account when determining the maximum amount which you can pay.
When the system carries out final settlement for a rebate agreement, it takes all partial payments into account.
4) what happens during final settlement. do manual accruals have any role to play during final settlement i.e. do they get reversed and what happens to accurals posted as per rebate condition records.
Ans-->Final settlement
Use
When you carry out final settlement of a rebate agreement, the system automatically
calculates the rebate based on the sales volume statistics or the lump sum
deducts any previously paid rebates
It then creates a credit memo request, and proposes the end date of the agreement validity period as the billing date.
The system also reverses any accruals that have been posted.
Depending on Customizing, when the system creates a credit memo request, the document is automatically blocked for billing. After approving the credit memo request, the person responsible can remove the billing block. You can then create the final credit memo.
When you want to search for credit memo requests during sales order processing, you can use the match code F "Credit memo request for rebate".
You can carry out final settlement of rebate agreements
automatically
Manually
as a background task (in batch)
Settling Single Rebate Agreements
You can carry out settlement directly from within a rebate agreement.
Before you save the rebate agreement you can still carry out changes to the credit memo request:
The credit memo request is only saved when you save the rebate agreement.
Carrying out Final Settlement as a Background Task
If the volume of your sales rebate processing is high, you can collectively process rebate settlements as a background task.
The following reports are available:
RV15C001
RV15C002
Your system administrator can use these reports to generate a list of rebate agreements, based on various selection criteria, such as rebate recipient, status of the agreement, and so on.
Background processing can then be carried out later. I.e., after the regular posting periods.
After a list is generated, the rebate agreements can be analyzed or processed for payment.
For more information about settling rebates as a background task, see your system administrator.
Best regards,
venkataswamy.y -
Hi ,
I have created rebate condition type,access sequence and the rebate table where i use field "Material group 4" which was not in standard .So i added that field in the standard table by including ,And it works fine .I have done every step for making rebate config .
Ex.
Maintain subtotal 7 in pricing procedure .
Access Sequence 1(relevent for rebate).
Acc key :ERB,& ERU.
Condition type : condition class :C.
and upto billing its works fine .and the rebate condition type is appear in billing document only (assigning req.24) .
But the issue is when i realease the billing document to accounting ,the rebate condition type got vanish .But when i create the billing and have a look by VF02 this condition type shows with proper value .
I got puzzle . Am i missing something for config .....
Need urgent halp ...........
Thanks in Advance .......
Regards,
Abhijit....Hi ravi
The infostrucuture S136 is related to bonus buy extension.So if you activate it and if you extend the rebate date then you need to update the infostructure S136.But it will be in updating mode only.
But one thing to tell is there is no link to activate Bonus buy in your problem
So in OMO1 double click S469 change to synchronous updating.then your problem will be solved
If you are working at any server , then first of all check it in the sandbox server and then work ,so that it wont affect the development server
Regards
Srinath -
Condition type used for invoice list
Hello Gurus,
following condition type used for invoice list, why do they exit in invoice list:
RL00 MW15. LR00 RD01Hi,
Please go through the below document
When you work with invoice lists, you need to be familiar with the following concepts:
Prerequisites for invoice lists
Relationship to Pricing
Structure of an Invoice List
Changing header and item data
Integration with financial accounting (FI)
Prerequisites
You can only process invoice lists if the following prerequisite data is defined by your system administrator in Customizing for Sales:
Condition type RL00 (factoring discount) must be maintained and, if required, also the condition type MW15.
An invoice list type must be assigned to each billing type that you want to process in invoice lists. The standard version of the SAP R/3 System includes two types of invoice lists: LR for invoices and debit memos, LG for credit memos.
Copying requirements must be defined (for example, the payer, terms of payment and other fields that must be identical in the documents to be included in the invoice list)
In addition, before you process an invoice list, you must maintain the following master data:
A customer calendar must be defined, specifying the time intervals or dates on which invoice lists are to be processed.
The customer calendar must be entered in the Billing Sales Area view of the customer master record.
Pricing condition records for the condition type RL00 and, if necessary, (e.g. in Germany) the condition type MW15 must be maintained.
Output condition records for condition types LR00 and RD01 must be created.
Relationship to Pricing
The system processes factoring discounts in invoice lists in exactly the same way as other kinds of pricing elements. The data for the factoring discount is stored in condition records. Controlling during document processing is carried out via condition types, pricing procedures and access sequences. This control data is defined in Customizing for Sales by your system administrator.
For further information, see Conditions and Pricing.
Structure of an Invoice List
An invoice list represents an individual billing document. It consists of a document header and document items. Each item represents a billing document that you have included in the invoice list. The header contains an overview of summary information, such as the net value of all documents in the invoice list, the value of the factoring discount, details of taxes, and so on. It also contains information on partners and output.
Changing Header and Item Data
You can change some of the header data - for example, the billing date - when you process the invoice list. You can change an item - either an individual or collective invoice - and display document details. However, you cannot change any data in individual billing documents once they are part of an invoice list.
It is possible, however, to make certain global changes to output in all items in an invoice list.
For further information on output, see Communication in Sales and Distribution Processing.
Integration With Financial Accounting (FI)
The documents that you want to combine within an invoice list must already have been billed and forwarded to Financial Accounting. Here the billing documents intended for an invoice list are blocked for normal dunning transactions.
The dunning block on FI documents is lifted as soon as you create an invoice list and transfer it to FI . The system then calculates the new dunning date for the invoice on the basis of the invoice list date.
In addition, the system enters invoice list numbers in the FI documents as reference numbers. Invoice list numbers can then be entered for incoming payments.
When you save the invoice list, the system automatically creates an accounting document for the factoring discount and possible taxes and posts it to the corresponding G/L account in FI.
Regards,
Murthy -
Table for Rebate Condition Types( Condition Records)
Hello All,
I need the table and the FM name which stores the values of the Key Combination of the Rebate Condition Type maintained in a Rebate Agreement.
If not, at least, give me the name of the FM which stores the values of the key combination maintained in condition records for pricing.
Regards,
Raghu.I'll give an example,what am looking for..:
I've a Condition Type: ZBAX for ex. it has a key combination: Sales OrgCustomerMaterial.
I maintain condition records as:
For CU70/21100043/3456 the value of the condition record is say 100 euro.
My question is where will I get the values CU70/21100043/3456 ?
FYI..in T685 the defintion of the Condition Type is stored. in SAP, no T-table is meant to store condition record values.
KONA contains data on Rebate Agreements i.e. RA no, Rebate Recepient etc..
I know that KONP stores the accrual %, scale base, scale values etc..
but, I want to know where are the values for the key stored? Or, the FM that would fetch me these details?
I hope am clear..
Regards,
Raghu. -
Add Non-rebate Condition Types to Rebate Credit Memo
Hi guys,
I have a requirement as follows. The client wants to make some deductions from their customers rebate settlement credit memo as follows:
Customer's sales volume = 52,000,000.00
Rebate value due is 5% = 2,600,000.00
DEDUCTIONS
10% Withholding tax due on Rebate value = 260,000.00
Management fee of 0.75% of turnover = 390,000
5% Vat on Management Fees = 19,500.00
* Payable to the Customer = 1,930,500.00 (This is the value to be credited to the customer's account).
I don't have a problem with the withholding tax. However, for the other deductions the issues I have are as follows:
1. Condition types that are not rebates or taxes do not show on the the rebate credit memo B1. The analysis says that they have been manually removed. How do I get it to show?
2. Output tax (MWST) is always added in the invoice, however in this case the customer wants the output tax to be deducted. Can this be done?
Thanks for your help
Regards,
OlufisayoHello Swati,
the suggestion of JP is correct.
I explain it better.
- the document type of FI document created from SD depends on the customizing of billing type field TVFK-BLART. If it is blank, then by default is 'RV'.
- if the number range assigned to the account document type is External, then the FI document gets the same number of the SD invoice.
- transaction VBOF creates FI document referred to SD invoice. If it has external number range, and an FI document already exist with same number (created when SD invoice has been released to accounting), then the errof F5152 occurs.
SOLUTION:
in the selection screen of VBOF there is the field FI-Doc-type. Here you should specify the FI document type that should be created by execution of VBOF, and of course it must have number range internal.
Please try this.
Best regards,
Ivano. -
Rebate Condition Type based on Calculation
I am trying to create a rebate condition that is based on the calculation of Average Invoice Price of group of products. However, I am not able to select the Calculation type based on Formula. Please let me know if someone has come across the same issue.
For example, Rebate of $2/unit of Product A is given to a customer only if
Averrage Invoice Price of Product A, Product B and Product C is greater than $135 -
Doubt on condition type updation in PO
> I give the conditions in PO at item level in condition Tab.
Example
Pb00 - gross price- 1000
RA01 u2013discount on gross- 10% 100-
Sub total 900
FRB1 u2013frieght 200
Total 1100
After I done G.R, purchase history will updated as single line for rs 1100. In that purchase history, I need to update freight( FRB1) and discount (RA01) condition types also with seperat lines. Is it possible?Hi,
Once you do GR following entry will get posted
Stock A/c - 1100 INR
GR/IR Clearing - 900 INR
Freight Clearing - 200 INR
So in PO History you will get line items for GR/IR Clearing value as "GR" as well as Freight Clearing value as "DCGR" both. But not for Discount. -
Condition Type in an Invoice for Output tax
Hi,
In our Invoice we have different condition types for Output tax. These are the condition types :- MWST, IDM2, ZVLT and IDM3. All thse condition tpye refer to Output tax, although only MWST holds the actual value. But there is certain setting (i guess structure ikomv) which is sending all the condtion types in the IDOC. As the remaining conditon types are not required it is further giving an Error in XI. Please tell us which is the transaction that configures these condtions and also the required changed in our configuration.
regards,
Milan ThakerI think this can be handled by adding a filter by condition type in the distribution model. See transaction BD64.
-
Dear Experts,
I have created a condition type for material rebate and the same has been assigned to condition type grp in turn condition type grp is assigned to rebatye agreement type....besides the same(cond type) is included in the pricing procedure.....the issue is even after maintaining the cond record the values are not flowing moreover when I see to the condition type details in the order level( I
deliberately made the rebate cond type to flow in sales order) few settings got changed like scale type,calculation type,..etc...how come the settings may change other than what I have maintained...I could see my own settings exist in V/06 for the rebate cond type.....what would be the reason?.....thanks in advance.......Hi,
1st see in condition detial,maintain
Processing priority - Automatic entry has priorit or No limitation
Second,in price procedure V/08, if you maintained any requirement in requirement coloumn in front of rebate condition then remove that.
Kapil -
Copy Rate from MM Codition Type to SD Condition Type for SD invoice.
Hi,
I want to copy the rate of conditon Type (P101) from STO to one of the condition type in SD proforma Invoice, this proforma Invoice is created based on the delivery document for the above said STO.
How this can be done.
Thanks
SaviHi Priyanka,
Thanks for clue, I tried same as said by u. but while maintaining value in condition type following error is coming.
<b>Entry A EF P101 does not exist in T685 - check your entry
Message no. 00058 (I checked cond.type is there & working fine for MM)
Diagnosis
Input values must be defined in Table T685. The value or values 'A EF P101' are not specified in this table.
<b>Procedure
Check whether the input is correct and correct if necessary.
Procedure for System Administration
If this is not an incorrect entry, check the system settings and change them if necessary.
If there is a connection to the Customizing system, you can maintain the system settings by choosing Customizing in the Performance Assistant or Maintain Entries (F5) when displaying the help in a modal dialog box.</b></b>
I think along with this some additional settings may be required with in both of condition type i.e. source condition type & Target condition type.
Please look in to the same & advice.
Thanks
Savi -
Bringing the nor rebate condition type in rebate credit memo request.
Dear Gurus,
Is it possible, to bring the discount condition type say Zxxx(which is not a rebate relevant)
in the rebate credit memo request.
In the credit memo request, while doing price analysis I can see the condition type Zxxx with the message condition record found and manually removed.
For the condition type I do not check the Delete Indicator.
I don't know why it is happening..
Kindly suggest me with your valuable thoughts.
I need to bring the non-rebate relevant condition types in the rebate credit memo reqquest.
Thanks & Regards,
Venkatesh.S.P.Hi Gurus.
Follow my business scenarie:
This is GAS & OIL company, in this business, they work with price including taxes, we are now implemented a rebate solution, but the accrual values follow the same business rule, including tax.
At the moment to create a credit memo request for rappel, the system trasfer only tha rappel condition type with the final settlement value and calculate the tax condition type..
In the credit memo pricing procedure, I need to split the net value by formula.
this is my pricing procedure configuration:
level Cnd Ty Level Subto Form
15 0 BO02 Price
600 0 Sales Total B I
710 0 MWIG tax 600 600 G
730 0 NTPS Net Value 988
810 0 Net Value 730 730 B 4
820 0 tax 710 710 B
840 0 T O T A L 810 830 B A
Formula 988
FORM FRM_KONDI_WERT_988.
XKWERT = XWORKI - XWORKG .
XWORKG = 0.
PERFORM XKOMV_KBETR_FROM_KWERT USING XKWERT.
ENDFORM.
This is my result in the rebate credi memo:
Header Net Value 100 usd
cnd ty descrip Value curre quan um cond value
BO02 Rappel 100 USD 1 UN 100-
MWIG tax 16,000 % 16-
there are our expected result:
Header Net Value 84 usd
cnd ty descrip Value curre quan um cond value
BO02 Rappel 100 USD 1 UN 100-
Total Rappel 100 USD 1 UN 100-
MWIG tax 16,000 % 16-
NTPS Net Value 84 USD 1 UN 84-
tax 16 USD 1 UN 16-
T O T A L 100 USD 1 UN 100-
The problem is , the system never execute the formula 988
There are a possibility to get this...a user exit, formula..that we can use..
Please. any information we are appreciate.
regards
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