Reg. Stock account instead of consumption account

Dear Experts
Pls consider my below scenario
When PR and PO creating material is posted to consumption account automatically,but our company needs to be posted stock account with account assignment category E. I am struggling for 6 months no one is given correct answer. I hope that any one of you can solve my problem.
Thanks in advance
Rajakumar.K

Not answerd

Similar Messages

  • Reg.Stock account should  be posted instead of consumption account

    Dear Friends
    Kindly consider our scenario...
    In our production and development system..When create Purchase order with account assignment category E the material account goes to Stock account instead of consumption account like that
    the implementation team has configured. But now I am doing ECC 6 configuration in which I want to configure like the same that is material should go to stock account when I put E. Pls help me.
    Thanks in advance
    Rajakumar.K

    check OBYC settings for any changes occured while assigning

  • Reg.Stock account instead of consumption account when PO creation

    Dear Experts
    When I create Purchase order with account assignment(E) the material account should go to stock account.But as per sap system it goes to consumption account.
    I have posted this quesition morethan 20 times in different different ways,nobody answer this quesition.
    In OME9 I did my possible changes there is no gain.
    In our production server and development server that is working as I expected,our implementation team
    has configured like that. I want to configure the same setting in ECC6 also.
    Help me.
    We want stock of material not consumption stock. That is what account is created  while create without account assignment and item category that account should come.
    Thanks
    Rajakumar.k
    Edited by: Raja Kumar on Mar 11, 2009 2:05 PM

    HI Raja,
    Hope you can make use of the accout modification VKA in the account assign category in
    t.code - OME9.
    For the same accout modification you can configure the
    Valuation modif/General modification/Valuation class combination for your
    debit and credit GL accounts.
    This is specific for the Transaction GBB under chart of accounts - INT.
    Cheers
    Arun.

  • Reg.Stock account instead of Consumption account during PR creation

    Dear Priyanga
    I hope that you would solve my problem, what is that.
    When I create Purchase requisition, in Account Assignment tab - G/L account field ,G/L of consumption is posted automatically,but what we want,Stock account should be posted. This is only my problem,Pls help me.
    Note: our implementation team has implemented like I said.Now I am doing the same settings in ECC 6.0.
    Thanks in advance
    Rajakumar.K

    check OBYC settings for any changes occured while assigning

  • Reg. Stock account purchase with sale order

    Dear Friends
    We want to purchase Row,semifinished and Accessories material with stock account against sale order (E). If we purchase without any account assignment mean the material goes to stock account base on their material type whereas If we use E the material account goes to consumption account,how to divert the account from going consumption to Stock account. Pls help me.
    Thanks
    Rajakumar.K

    HI,
    First I want to Let you know that it is standard setting that when ever you procure with Blank account assignment category ,it Goes to the Stock account that is defined in the T code OBYC--
    in the trsaction key BSX.
    But know you are saying that you are using a account assignment category E.
    Which says cleary that it has to a Sales order comsuption account.
    KNow the question is wheter the you are able to See the Stock in MB52 under Special stock indicator E
    or after GRN it is going to the consumption directly.
    it happens completly depending on the acount assignment category setting
    SPRO--> MM --> Purchaing (OLME) > Account Assignment> Define Acc asign.
    in this for the account Assignment E check ..the below
    Consumption Posting -- ?  ,if it E ..then it is for sales Order.
    Account Modificaition--?  it would having some Key..
    this KEy is the one against which GL the consumption should GO..(here you can change your GL if required)
    it is maintained in OBYC-- Trasac - GBB> and in that gainst the key eg --VKA ..the GL is maintained .
    and the other thing is Special stock indicatoe -- ? -- if it is E ..then it is allocated to Stock.
    Hope so i am clear .on what to be done
    Regards
    Anjanna

  • Reg. Stock account with sale order (E)

    Dear Friends
    How to purchase row,semifinished and accessories material against sale order (Acc.assignment cat.E)
    If I purchase without account assignment mean materials are posted to it's material type correctly,but when I use E the material account goes to consumption account. How to prevent the material from going to consumption account and should come to under Stock account. Pls help me
    Thanks
    Rajakumar.K

    HI,
    First I want to Let you know that it is standard setting that when ever you procure with Blank account assignment category ,it Goes to the Stock account that is defined in the T code OBYC--
    in the trsaction key BSX.
    But know you are saying that you are using a account assignment category E.
    Which says cleary that it has to a Sales order comsuption account.
    KNow the question is wheter the you are able to See the Stock in MB52 under Special stock indicator E
    or after GRN it is going to the consumption directly.
    it happens completly depending on the acount assignment category setting
    SPRO--> MM --> Purchaing (OLME) > Account Assignment> Define Acc asign.
    in this for the account Assignment E check ..the below
    Consumption Posting -- ?  ,if it E ..then it is for sales Order.
    Account Modificaition--?  it would having some Key..
    this KEy is the one against which GL the consumption should GO..(here you can change your GL if required)
    it is maintained in OBYC-- Trasac - GBB> and in that gainst the key eg --VKA ..the GL is maintained .
    and the other thing is Special stock indicatoe -- ? -- if it is E ..then it is allocated to Stock.
    Hope so i am clear .on what to be done
    Regards
    Anjanna

  • Reg Gl account balance varies with Stock accounts(materials)

    Hi All,
    I got an issue to be solved.IN MB5L The G/L account Balance and the Stock accounts(Materials) varies. The client wants to have a report:
    What are the reasons for which this variance occured?
    What are the possibilities to solve this problem?
    I have to ask them what kind of report they do need
    want to.
    Kindly revert back asap
    Thank you

    The reasons are like this:
    a. Manual entries into the stock accounts
    b. there have been movements where the system has done only material documents and no corresponding accounting documents have been created.
    eg of a situation: You  have V price set for the material. But you never maintained any price in the Material master. Then the system will not throw an error, it just creates the materil document without creating the accounting document
    at the time of initial upload, there is high opportunity of such errors.
    rectification:
    a. develop a query linking the material document header and the BKPF reference field.
    b. develop a query to list down the accounting document header information posted in these accounts. the reference procedure should be MKBF (i do not remember exactly?) But it fills with a particular value if its from MM. Check for all the documents that have been posted to these accounts without this parameter in the header. Here you go..
    Regards
    Anantha

  • Stock account currency field in MB5L report

    Hi!
    can any one tell me in MB5L report for field materials currency and stock account currency, from system will pick up the values?
    I think materials currency field will pick up from GL accounts?
    But stock account currency, from where it will pick up value?
    regs,
    ramesh b

    Hi!
    both are not GL account balances.
    I have studied the report and understood.
    the material currency field: just it will take total stock avialable * std price/MAV price ( it will be equal to value in material master, MB5B, MB51 )
    the stock account currency field: it will take GL account balance via valuation class ( OBYC setting BSX)
    Here for example if you select only one material in MB5L report , it won't show the GL balance pertaining to that material, it will simply show the total GL balances that means system won't check material number existed in line items ( BSEG table).
    any way thanks for your inputs.
    regs,
    ramesh b

  • Clearing of Change in Stock Account at the time of GR for Subcontracting

    Dear,
    We have created a PO with Item Category "L" for subcontracting.
    At the time or GR system has posted below accounting entries:
    GR/IR clearing account 500 -
    External service account 500 +
    Stock account: end product 950 +
    Change involving stocks 950 -
    Stock account: comp. 450 - (components cost)
    Consumption account 450 +
    I want to know how to clear Change in Stock Account.
    Please advise.
    Regards,
    Vivek

    Hi:
            As per my understanding this happens when MIGO is done in case of a subcontracting PO
    Stock-CS/RM                                     Dr
    GR/IR Clear RM/PM/CS                             Cr
    Inventory Change Sub-Cont RM     Dr
    Ext Serv Sub-Cont                             Dr
    Stock-CS/RM                                             Cr
    Sub-Cont Cons RM                             Dr
    Upon MIRO
    Ext Serv Sub-Cont                             Cr
    GR/IR Clear RM/PM/CS             Dr
    Inv Change Sub-Cont RM     Dr
    Vendor                                            Cr
    Duties                                      Dr
    Stock-CS/RM                                   Cr
    Hence Inventory change account is cleared as soon as MIRO is done. Hope it will clear your understadning
    Regards

  • Stock account difference between GR and IR

    Hi Friends,
    PO is created for some quantity and price.
    No taxes and discounts are maintained so net price is equal to gross price.
    While doing GR, stock account is debited with different value instead of net price in PO.
    However IR is done with proper value.
    In a nutshell, for the same qty, GR value is different from PO price.
    Thanks in Advance.
    Raju

    Hi,
    Check the Accounting View of the Material and the Price control used.Whether it is Standard Price or Moving Average Price.Accordingly the system will behave.
    Dhruba

  • Reg. Account assignment on procuring externally

    Dear Sir / Madam
    How to assign a account for material on purchasing externally.In IMG screen.
    Raw material
    Finished Product
    Accessories for stock item
    Accessories for consumption
    Other process
    Yarn deing
    Please explain.
    Thanks
    Rajakumar

    Hi Raja,
    There are account assignment categories like K-Cost center,F-Order etc which we need to assign while creating a purchase order.If the material is purchased for a cost center then account assignment category is K, then system asks you to enter the cost center.
    If the purchase requisition is created from a production order from MRP the account assigment category automatically set by the system to F and the account assinment is done to the production order. We no need to enter any data.This is applicable for make to order sales order driven requirements also.
    Thanks and regards
    Muruegsan

  • Difference in Stock account , Custom clearing account

    Hi All.
    I found the amount difference issue when GR document is reversed. The background is as follows.
    1. Material is procured from import vendor for which PO order currency is CNY.
    2. The conditions maintained in PO are indian standard customes conditions.
    3. After GR was made , user realised error and reversed the material document.
    4. Upon reversal it is found that
                      a. Stock Account adjusted with amount greater than GR account docuement.
                      b. GR/ IR account is perfectly adjusted as in GR account document.
                      c. Custom clearing account adjusted with amount greater than GR account docuement.
    5. Exchange rate is maintained properly for CNY to USD
    Thanks in advance.
    Regards,
    Deepak Dalvi

    Thanks for the reply.
    POSTING date for GR and reversal document is same i.e today.  As I said in previous mail, the GR/ IR account is properly adjusted. Stock account and CENVAT account shows difference.
    Thanks & Regards,
    Deepak

  • MB5L Report Discrepacy for Material and Stock Account Currency

    I have found in the MB Report Discrepancy for Material and Stock Account Currency. Why is this happening? Why is there a variance between total price in materials and stock account? Anyone please help me. I'm abaper but now been pushed to do logistic. I need help for this issue.

    Hi,
    Here's some information from help. Variances can occur for the following reasons:
    You have entered postings to the stock account manually.
    The stock account includes not only stock postings, but also other postings. In this case, you should check the account determination in the Customizing for Valuation and Account Assignment. Make sure that the stock accounts are used solely for the transaction key BSX (stock postings).
    Check Account Determination - OMWB
    The account assignment for the stock accounts (transaction key BSX) was changed during productive operation; the respective stocks, however, were not deducted from the old account (movement type 562) and posted to the new one (movement type 561).
    Cheers !

  • Trading partner Data missing in FBL3N report for GL stock account

    Hi All,
    Can anyone help me identify the reasons why I am not able to view trading partner data when I run FBL3N t-code to view the line items of my GL stock account?
    Many Thanks in Advance for your help,
    Vignesh

    Hi ,
    When I am able to view the Trading partner details when I run customised program (which pulls data from customised table). May I know the reason why I am not able to find out the same details when I run FBL3N T-code?
    In the given case, I pulled out details of stock by trading partner by running a customised program. I expected the same by running FBL3N for Stock GL account. But the details of trading partner is missing for many line items
    Many Thanks in Advance for your help,
    Vignesh

  • SBO - How to use two different Stock Account within the same Item Group

    Hi,
    I'm currently stuck within one of my implementation.
    I'm deploying the same solution worldwide which worked pretty well until now. All the items are connected to an item group, with a unique GL account, supposed to book at the same time the good receipt and the good issue (Balance-Sheet Account = 14xxxxx).
    My new unit is willing to use two different GL accounts when performing its stock entry (let say 14xxx10) and another GL account for the good issue, let say 14xxx20.
    Do you have any clue so i can please them and keep using at the same time the item group ?
    Thanking you in advance
    Stephane

    Hi,
    In fact, we use the GL account as the HQ Account (Reporting Account) while the "Export Code" will be used to store the local GL Account (greek account).
    As such, we can, somehow handle two different chart of accounts.
    In my reporting, i'm only using a single GL account for stock movements, while my greek counterparts want to handle two different accounts.
    Threfore, i have only two solution since there is normally a one to one relationship between a HQ account and a local account that are :
    1 - Duplicate the HQ accounts
    In that case, i do respect anytime the one to one relationship. I've got one HQ account for one local account. But how can i put this since i can only handle one single stock account.
    2 - I keep my single stock account like this but i won't be managing the possibility to get two different Export Codes.
    Regards
    Stephane

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