Report for Goods Issued for a Project

Dear Friends,
                       I want a report for a goods issued for a project.can any body convey the T Code Please...
Regards,

use mb51 and select q-special stock and enter wbs no. for which you want to see the details.
if you have more than one wbs then also you can paste no.s of wbs in mb51
regards

Similar Messages

  • Different movement types for Goods Issue for different Order Types

    Hello Experts,
    Can we maintain different movement types for Goods Issue for different Order Types at the time of automatic creation of reservations?
    Thanks and regards,
    Satyajit

    Satyajit,
    Folow the link given,
    Re: How to add new movement types when creating reservation?
    Hope this helps you.
    SmanS

  • Fund for goods issue for reservation

    Hello Gurus,
    I would appreciate if someone would tell me how to handle this issue.
    I am doing a GI 201 for Reservation and this is the error message I am getting. For other plants I am able to post except this one. Value BLANK / SPACE is invalid for account assignment element "fund"
    Thanks,
    Syed

    Hi,
    If you need report for getting po list based on the purchase group then you can use ME2N report .But before doing good issue the user need to check this report .
    Thanks & Regards,
    Renuga.A

  • BDC for Goods Issue for movement 261 MIGO, Capturing Mat Doc No.

    Hi All
    I want to post Goods Mvmt for order fir mvmt 261 using BDC ( transaction MIGO ). However I need to get back the material Document no. which is generated after this posting and store it in Z table.
    Can I get that material in BDC recording or do I need to add a select statement for this. Material document no is displayed just on status line below. How to get that ?
    Amol

    capture the MESSAGE after the BDC , there u will get the MAT.DOC.
    <b>  call transaction 'MIGO' using bdctab
                                        mode 'E'
                                        update 'S'
                                      messages into msgtab .</b>
    Regards
    Prabhu

  • MB1A : FI doc for Goods Issue

    Hi,
    When i enter Goods Issue with Tcode : MB1A betwen 2 plants i have two FI Docs created automatically, i want to know when we maintain the accounts used in these docs.
    Please what's the path IMG or Tcode to do that?
    Regards.

    Hi,
    GBB is for Offsetting entry for inventory posting.
    U can assign ur GL accounts to that particular valuation class for such material u r making goods issue.
    How does the system find the relevant accounts?
    When entering the goods movement, the user does not have to enter a G/L account, since the R/3 System automatically finds the accounts to which postings are to be made using the following data:
    o Chart of accounts of the company code
    If the user enters a company code or a plant when entering a transaction, the R/3 System determines the chart of accounts, which is valid for the company code. You must define the automatic account determination individually for each chart of accounts.
    o Valuation grouping code of the valuation area
    If the automatic account determination within a chart of accounts is to run differently for certain company codes or plants (valuation areas), assign different valuation grouping codes to these valuation areas.
    You must define the automatic account determination individually for every valuation grouping code within a chart of accounts. It applies to all valuation areas which are assigned to this valuation grouping code.
    If the user enters a company code or a plant when entering a transaction, the system determines the valuation area and the valuation grouping code.
    o Transaction/event key (internal processing key)
    Posting transactions are predefined for those inventory management and invoice verification transactions relevant to accounting.
    Posting records, which are generalized in the value string, are assigned to each relevant movement type in inventory management and each transaction in invoice verification. These contain keys for the relevant posting transaction (for example, inventory posting and consumption posting) instead of actual G/L account numbers.
    You do not have to define these transaction keys, they are determined automatically from the transaction (invoice verification) or the movement type (inventory management). All you have to do is
    assign the relevant G/L account to each posting transaction.
    o Account grouping (only for offsetting entries, consignment liabilities, and price differences)
    Since the posting transaction "Offsetting entry for inventory posting" is used for different transactions (for example, goods issue, scrapping, physical inventory), which are assigned to different accounts (for example, consumption account, scrapping, expense/income from inventory differences), it is necessary to divide the posting transaction according to a further key: account grouping code.
    An account grouping is assigned to each movement type in inventory management which uses the posting transaction "Offsetting entry for inventory posting". Under the posting transaction "Offsetting entry for inventory posting", you must assign G/L accounts for every account grouping,
    that is, assign G/L accounts.
    If you wish to post price differences to different price difference accounts in the case of goods receipts for purchase orders, goods receipts for orders, or other movements, you can define different account grouping codes for the transaction key. Using the account grouping, you can also have different accounts for consignment liabilities and pipeline liabilities.
    o Valuation class of material or (in case of split valuation) the valuation type
    The valuation class allows you to define automatic account determination that is dependent on the material. for example: you post a goods receipt of a raw material to a different stock account than if the goods receipt were for trading goods, even though the user enters the same transaction for both materials.
    You can achieve this by assigning different valuation classes to the materials and by assigning different G/L accounts to the posting transaction for every valuation class. If you do not want to differentiate according to valuation classes you do not have to maintain a valuation class for a transaction.
    Offsetting entry for stock posting (GBB)
    Offsetting entries for stock postings are used in Inventory
    Management. They are dependent on the account grouping to which each
    movement type is assigned. The following account groupings are
    defined in the standard system:
    - AUA: for order settlement
    - AUF: for goods receipts for orders (without account
    assignment)
    and for order settlement if AUA is not maintained
    - AUI: Subsequent adjustment of actual price from cost center
    directly
    to material (with account assignment)
    - BSA: for initial entry of stock balances
    - INV: for expenditure/income from inventory differences
    - VAX: for goods issues for sales orders without
    account assignment object (the account is not a cost
    element)
    - VAY: for goods issues for sales orders with
    account assignment object (account is a cost element)
    - VBO: for consumption from stock of material provided to
    vendor
    - VBR: for internal goods issues (for example, for cost
    center)
    - VKA: for sales order account assignment
    (for example, for individual purchase order)
    - VKP: for project account assignment (for example, for
    individual PO)
    - VNG: for scrapping/destruction
    - VQP: for sample withdrawals without account assignment
    - VQY: for sample withdrawals with account assignment
    - ZOB: for goods receipts without purchase orders (mvt type
    501)
    - ZOF: for goods receipts without production orders
    (mvt types 521 and 531)
    You can also define your own account groupings. If you intend to
    post goods issues for cost centers (mvt type 201) and goods issues
    for orders (mvt type 261) to separate consumption accounts, you can
    assign the account grouping ZZZ to movement type 201 and account
    grouping YYY to movement type 261.
    I hope u got the explanation what u wanted.
    Assign points if useful
    Regards,
    Jigar

  • Error while doing Good Issue for Production Order using BAPI

    Hi All,
    I am facing an error like 'u2018Content of order 1011907: MDT218AJ10 transferred to interface (IMSEG): T-86410-71".
    I have written the code as below. Please let me know what is missing when using the BAPI 'BAPI_GOODSMVT_CREATE'. What is the cause of this error ?
    *Action in Transaction (GM_CODE)
    *GM Code for Goods Issue for Production Order is 03
      gs_gmcode-gm_code = '03'.
    *Header Data
    *Posting date
      gs_header-pstng_date = sy-datum.
    *Document date
      gs_header-doc_date   = sy-datum.
    *Item Data
    *Material
      gs_item-material  = zptp_s_rf_migo_261-matnr1.
    *Movement Type
      gs_item-move_type = '261'.
    *Movement Indicator
      gs_item-mvt_ind   = 'F'.
    *Stock Type
      gs_item-stck_type = 'F'.
    *Plant
      gs_item-plant     = gv_plant.
    *Storage Location
      gs_item-stge_loc  = gv_str_loc.
    *Quantity
      gs_item-entry_qnt = zptp_s_rf_migo_261-menge2.
    *Unit
      gs_item-entry_uom = gv_uom.
    *ISO code for unit of measurement
      gs_item-entry_uom_iso = gv_uom.
    *Order Number
      CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
        EXPORTING
          input  = zptp_s_rf_migo_261-aufnr
        IMPORTING
          output = gs_item-orderid.
    *Reservation Number
      gs_item-reserv_no = gv_resv_num.
    *Reservation Item
      gs_item-res_item = gv_resv_itm.
    *Reservation Type
      gs_item-res_type = gv_resv_type.
      APPEND gs_item TO gt_item.
    Calling BAPI_GOODSMVT_CREATE to create the Material Document Number
      CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
        EXPORTING
          goodsmvt_header       = gs_header
          goodsmvt_code         = gs_gmcode
        IMPORTING
          goodsmvt_headret      = gs_headret
        TABLES
          goodsmvt_item         = gt_item
          goodsmvt_serialnumber = gt_serial
          return                = gt_return.
    Thanks in Advance.

    hi,
    did you look at message ?
    System says, there are differences between the interface data and the order data. It can be anything. I think you should check
    data in the interface . 
    this is the long explanation of your message :
    Diagnosis
    When calling the function module MB_CREATE_GOODS_MOVEMENT or the BAPI GoodsMovement.CreateFromData (BAPI_GOODSMVT_CREATE) to post a goods receipt for a production order, there are differences between the interface data and the order data.
    Example: The order was created for plant 0001, but plant 0002 is passed on in the interface.
    The system checks this for the material and the order item.
    System response
    Due to this difference, the system cannot post the goods receipt.
    Procedure
    Check the data in the interface (IMSEG-WERKS, IMSEG-AUFNR). If necessary, correct the plant or the order number in the interface.
    << Moderator message - Point begging removed >>
    Edited by: Rob Burbank on Feb 6, 2012 11:24 AM

  • BAPI or FM to get material goods issue for a prod order

    Hi
    I need a FM to get the material goods issue for a prod order. Please let me know.
    Thanks and regards
    Harish

    Hi Harish,
    use FM <b>BAPI_GOODSMVT_CREATE.</b>
    have a look at this thread ..
    FM for good issue for production order
    Regards,
    Santosh

  • Extractor for goods issue

    Can anyone send me the name of the extractor for goods issue? Does it comes under SD? or MM fullfillment? 
    Thanjs
    Raj

    Hi RajMani,
    What exactly is your requirement?
    Check with your business or functional team for the source tables from where they want the report to be built.
    based on the source tables we can suggest you the exact data source you need for your requirement.
    Regards
    KP

  • Transaction codes for goods issue,Initial inventory,purchase contract......

    hi experts,
                can any one know the transaction codes for  Goods issue,Initial Inventory,
    purchase contract,billing data and the table name in which inactive vendors and active vendor are available.
                          thanking you

    Hi,
         mb5b, mb51  for goods issue
    MI01  for Initial Inventory
    ME31K for Purchase Contract
    MIRO for Billing data
    in SAP easy access
    under Financial accounting >Accounts payable-> information systems-->masterdata report
    you can display blocked vendors also as a list there using those reports.
    the vendors which are blocked are inactive vendors
    <b>Reward points</b>
    Regards

  • RF Interface for Goods Issue - IM Level

    Hi Experts,
    We have a requirement for barcode. Standard RF is not having any interface for GI transaction at Inventory Management level. Only at WM level, for confirming TO we have STD RF interface. We want to introdue RF interface at IM level thru development but for this the pre-requisite should be the TO generation.
    For example when I create any reservation against cost center, Maintenance order, Project etc. The system should able to generate a TO in backgroud. This should happen before actual GI, i.e. just immediately after creating a reservation.
    Appreciate if you can let me know whether it can achieved thru configuration settings or any other parameters.
    Pls suggesst.
    Regards,
    Venu

    Hi Venu,
    There is a work around you can follow if RF scanning is not available at IM level.
    You must be scanning the RF or Barcodes before issuing them to cost center or project or production order at the end of scanning you must be getting a scanfile with material its EAN/UPC Numbe, batch number and quantity. You can use this file and using some suitable BADI for Goods Issue. I guess by this you will avoid unnecessery Zdevelopment and even GI will be automated.
    Hope it helps
    Regards
    Shrinivas

  • Goods Issue for GR qty to Production

    Hi
    While doing goods receipt for a Standard Purchase order (no a/c assignment), we receive goods into stock. But, if there is open Production order (material is due for goods issue to production order) or open Sales order (but delivery yet to be created), then GR stock qty should comedown this extent as a goods issue to direct production / Sales and Balance qty should come into Stock.
    Is this possible is in standard SAP with Inventory Management transactions? Please let me know your suggestions on this scenario.
    Best Regards,
    Suresh

    Please see the documentation below by SAP
    Manual and Automatic Reservations
    The R/3 System supports manual and automatic reservations. Manual reservations are entered directly by the user. Automatic reservations are generated automatically by the R/3 System. There are two types of automatic reservations:
    Reservations for orders, networks, WBS elements:
    When an order, a network, or a project is created, the components from the warehouse are reserved automatically.
    Stock transfer reservations:
    If reorder point planning is used at storage location level and the available stock on hand falls below the reorder point, the system generates a stock transfer reservation in the plant for the replenishment quantity.
    <b>You cannot manually process automatic reservations. For example, it is not possible to change reservations for an order directly. You have to change the components in the order. The system then updates the reservation automatically</b>.
    <b>What are the Results of a Reservation?</b>
    When a reservation is entered, the following events occur in the system:
    The system creates a reservation document, which serves as proof of the request.
    In the material master record, total stock and unrestricted-use stock of the material remain unchanged. Reserved stock is increased by the reserved quantity.
    In MRP, available stock is reduced by the reserved quantity. This is visible in the current stock/requirements list. The reservation causes an entry to be made in the requirements planning file.

  • Different GOGS GL account for goods issue

    Hello SAP export,
    The F&A department requests to generate different COGS GL account based on Customer Account Assignment Group when goods issue (or billing). Customer Account Assignment Group field name is KNVV-KTGRD. The solution is NOT possible at T-CODE OBYC (with GBB transaction (MM FI configuration for goods issue) because we are using the same materials. (All materials are with same valuation class in MATERIAL master).
    I had posted this question in SD forums but the export suggests me to post in FI forum.
    If you know any workable solution, please help.
    Great thanks in the advance!

    Hi,
    Check the link for how to have default a G/L account on a Purchase Order account assignment for an inventory item & how to post to a separate G/L account for  inventory item by having GR posting
    http://www.bluemarlinsys.com/ns/0603-03.asp
    OR
    you can have a thought of having different valuation grouping codes where you can have different G/L posting with respect to plant for same materiel
    valuation grouping code........valuation area
    0001......................................P001(plant-1)
    0002----
    P002(plant-2)
    Regards,
    Biju K

  • Smart form for Goods issue

    I am facing a problem with smartform. I am creating a smartform for good issue
    This is the smartform Z_SMB40_MMGI1_L and this is the print program Z_SMB40_M07DR
    For ME application i have assigned the output type wlb1 and the above said form in nace.
    I am picking the document number from mb51 based on the movement type 309
    in mb02 for each document i am trying to assigning the output type wlb1
    i was able to assign the output type for only one document number for rest it is showing warnings and also for few documents i am receiving error
    Express document "Update was terminated" received from author "xxxxx"
    how do i assign for all documents at a stretch (in which t code).
    in mb90 i am trying to view the form but it is throwing the error
    START_FORM is invalid, OPEN_FORM is missing,
    even though i have removed the script name.
    can u please help me out by providing the corresponding print program and smartform for above said scenario
    <MOVED BY MODERATOR TO THE CORRECT FORUM>
    Edited by: Alvaro Tejada Galindo on Dec 23, 2008 3:47 PM

    Hi,
    Go to Nace .The application for Goods Issues is
    ME - Inventory Management -> select and click on output types ->select wa03 output type and click on processing routines here you can find the form name and the driver program name.So while printing select wa03 as the output type.
    <REMOVED BY MODERATOR - REQUEST OR OFFER POINTS ARE FORBIDDEN>
    Regards,
    Harini.S
    Edited by: Alvaro Tejada Galindo on Dec 23, 2008 3:46 PM

  • Goods issue for plant maintenance order

    Goods issue with ref to plant maintenance order( Componenets of the order) is not possible in transaction code MIGO. Error message " MIGO is not possible for the refurbishment order".
    Goods issue for the same order can be posted with transaction MB!A.

    hi santhosh
    kindly check the order type .i think you are using MB1A for refurbishment process.but it is not possible.only maintenance order can be posted via MB1A
    follow the procedure for goods issue in refurbishment order.
    Choose Logistics ® Plant maintenance ® Maintenance processing ® Completion confirmation ® Goods movement ® Goods movement.
    The entry screen for a goods issue appears.
    Choose the pushbutton For order.
    Enter the relevant order number in the dialog box and choose Continue.
    An entry screen appears.
    Choose Copy.
    The Maintain Serial Numbers dialog box appears.
    Choose Reference document.
    Enter the order number in the Refurbishment order group box and choose Execute.
    A list appears with the planned serial numbers for the refurbishment order.
    Check the selections of serial numbers, for whose material you want to post a goods issue, and choose Copy.
    The serial numbers are copied into the Maintain Serial Numbers dialog box.
    Choose Exit window.
    The goods issue is posted.
    regards
    thyagarajan

  • BAPI_GOODSMVT_CREATE goods issue for tmovement type  261 not updating costs

    GMHEAD-PSTNG_DATE =  SY-DATUM.
            GMHEAD-DOC_DATE   =  SY-DATUM.
            GMCODE-GM_CODE    =  '03'.   "03 - MB1A - Goods Issue
            GOODSMVT_ITEM-MOVE_TYPE   =   '261'.
            GOODSMVT_ITEM-ENTRY_QNT   =   '1'.
    I am using BAPI_GOODSMVT_CREATE for goods issue, instead of MB1A.
    it is updating the data correctly.
    The only issue i am having is that, it is not calculating the material costs.
    The actual costs for material cost from IW32 is $0.00
    I can see all the data updating correctly from MB02.
    Please let me know what might be the issue regarding costs.

    How did you solve it?

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