Restricting for creating the Billing Document without PGI in STO Process

We want to restrict creating the Billing Document  without PGI in STO Process
Delivery Type:NL
Item cataogory:NLN
Billing Type: JEX Profroma Invoice
I have check in VTFL
At Header Level, Routine - 003.  for normal sales process LF-F2
At Item Level , Routine  - 004
in VTFL-- NL-JEX
At Header Level, Routine - 009. 
At Item Level , Routine  - 010. here when i changed to 003 and 004 for NL and JEX
i am getting error after PGI when i am doing vf01 error is coming " document is not relevant for Billing"

Hi
Kindly do the belwo
1. goto the t code VOV7 item category determination and select the item category and put  the billing relevance as "A"
2. once the step 1 is completed then it will show the billing relevant status AS "A"in the delivery documnt at the item level
The above configuration  will be applicable in the new documents only
Regards
Damu

Similar Messages

  • How to create the billing document without reference

    Hi,
    I want to create a billing document in R3 without any reference with sales order or delivery.
    Aare there any FM or procedure to achieve this.
    If you cna send me the sample code it will be really helpful.
    Regards,
    sasi

    Hi,
    Iam trying to use the FM BAPI_BILLINGDOC_CREATEMULTIPLE
    But iam unable to create through this.
    If you have any sample code on this.It will be really helpful.
    My scenario is,
    I have an existing floe of data
    ie salesorder--delivery-billign document.
    But my requirement is to create two billing documents point to two different sales areas.
    Sincle we already created the billing document it will not allow to create one more billing document.
    Thats why iam lanning to create the billign document wihtout any reference.
    Please help me.
    Regards,
    sasi

  • Restriction for release of billing document to accounting

    Hi All,
    Need you inputs for meeting the below requirement.
    There is a requirement to control the release of billing document of a certain billing type to accounting based on certain users.
    The posting block has already been ticked at the definition of the billing type so that the release to accounting does not happen automatically. The release to accounting then will be done manually by users through tcode VF02. Here the requirement is that only certain users need to have the authorization to release the billing document to accounting through VF02 i.e not all users who have access to VF02 will be able to do this activity of releasing to accounting. These users can however release billing documents of other types to accounting.
    Is there any user exit wherein we can place an authorisation object for checking the user role?
    Note: When relase of billing documents is done via VF02 the tcode VFX3 get called in background.
    Regards,
    Rajkumar

    Hi,
    Try these ywo approaches- restrict the authorisation to VFX3 using basis roles. And try to fiddle with this field in vbrk using userexits- RFBSK. Try this exit
    USEREXIT_FILL_VBRK_VBRP (Module pool SAPLV60A, program RV60AFZC)
    Regards,
    Saurabh

  • Profit center document not generated after creating the billing document

    Hi,
    I have few billing document for which the accounting document is created, but no profit center document got generated. What could be the reason? The profit center is captured at the account assignment tab of sales order as well as at the item level of Invoice and in accouting document too. The only problem is it has not generated the "Profit center document".  Pl help. Thanks in advance.

    Hi
    When you save the billing document then the accounting document and Controlling document gets generated.
    A profit center gets captured and it can be used when we check the accounting  document. But make sure that for the G/L accounts profit center is assigned and in your controlling area details  also profit center is checked.While configuring controlling then the profit center should also be assigned . to the G/L accounts .So kindly check with the help of your FICO consultant wheather proper assignment has been done or not
    Regards
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  • BADI for Substitution of billing documents and PGI

    Do we have any BADI for billing documents or PGI ??

    Hi,
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  • Report for All the Billing Documents

    Hi,
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    Hi,
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  • GR for create the production order without material(co07)

    Hi all,
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    Dear Kumar,
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    again,their quantity will be entered in -ve and so 531 movement
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    Already our Forum member(Krishnamohan) has given clearly in his first reply.
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  • Error shown FM - Creating the Billing Document

    Hi All,
    I am creating the new Billing Document for last year Sale Order.
    "Sum of Invoice value differs from item value.  Confirm"   -  this message display shown at the time of saving the Billing plan.
    While saving the transaction the below error displayed with the following check box:
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    The corresponding status will be set, so
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    System not allow to save the transaction and show the same above message.
    Expecting the guidelines from the experts.
    Thanks in advance.
    Regards,
    GB

    Hi
    Referred this note and it is relevant to Version.
    Any other guidlines??
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  • Creating Billing Document Without Reference

    Hi all,
    I'm trying to create a billing document without reference to any order or delivery, using the function module BAPI_BILLINGDOC_CREATEMULTIPLE. In the internal table field BILLINGDATAIN-ORDBILLTYP i'm using FX (Billing from External Transact).
    I'm getting the error VF(027): Delivery type  cannot be invoiced with billing type FX.
    Does anyone know how to avoid this? Is there any configuration missing in the standard billing type FX?
    Thanks in advance,
    Nuno A.
    Edited by: Nuno Miguel Pires Afonso on Feb 9, 2009 4:30 PM

    Hi,
    You have to enter sales document type in DOC_TYPE field, Now system will not give error.
    These are the minimum fields you have to maintain in BAPI.
    Sales area,DOC_TYPE,ORDBILLTYP,BILL_DATE, sold to party,ship,bill to party,payer, plant,material and quantity.
    and in CONDITIONDATAIN maintain condition type,value and currency.
    Regards,
    Chandra

  • Not to allow to save the billing document in the back date if FI period clo

    Can anybody help me please. My FI period for october is closed. But there are still some open delivery documents in billing due list for October. So now let say on 7th december if i will make the billing documents by giving the date 30.11.2007 logically as FI period is closed it will allow to save the billing document but will not pass to accounting.
    So this normaly happening in my industry endusers are creating the billing documents in the back date even after the period close so all the documents come into VFX3.
    So can any body help me? Can we have any check if the FI period is closed for a perticular months if we will try to make the billing documents in the closed period it will not allow to generate the billing document rather saving the documents and blocking for accounting.
    Reggards.
    Laxmikanta Das.
    09958119889.

    Dear laxmikanta
    I also not come across the situation what you said and hence dont have much idea about authorization group.
    However, on going through the F1 help, it says
    <b>Procedure</b>
        If only a limited set of users is to be able to post in a particular
        posting period, proceed as follows:
                 o   Add the posting period authorization (authorization object
            F_BKPF_BUP) to the authorizations of the selected users. Assign an
            authorization group (e.g. '0001').
                  o   Enter the account type '+' for the posting period variant to which
            the restriction is to apply. Enter the period(s) whose use is to be
            restricted in the first period, those which are available to all
            users in the second period, and the authorization group (e.g.
            '0001') in the last column.
    <b>Examples</b>
        A posting period can be successively restricted. If, e.g. 10 users have
        the posting period authorization with authorization group '0001', and 3
        of these 10 users also with authorization group '0002'.
        If the period is only to be accessible to the 10 selected users the
        authorization group '0001' is entered in the posting period variant.
        Access can later be restricted to the remaining 3 users by entering
        '0002'.
    From the above, I feel your requirement can be met.
    Thanks
    G. Lakshmipathi

  • Not allow to save the billing document in the back date if FI period closed

    Hi ,
    We have a requirment in which end user should not be able to create the billing document if the billing date lies in FI posting period which has been closed.
    As of now the users are being able to create the billing documents even if the Billing date lies in the closed posting period but the sccounting document does not gets generated.
    Now we want to block the billing document creation as well.
    Please provide some pointers to the above scenaio. Thanks..

    hello,
    Has your query been solved.
    if not , here is the solution.
    go to the program RV60AFZZ. This is the exit for billing.
    In that there is a form called
    FORM userexit_number_range USING us_range_intern.
    in the form you have to write the code.
    variables to pass for the function module.
    DATA: lv_buper  LIKE  t009b-poper,
            lv_gjahr  LIKE  t009b-bdatj.
    CALL FUNCTION 'DATE_TO_PERIOD_CONVERT'
          EXPORTING
            i_date               = syst-datum
            i_periv              = 'V3'
         IMPORTING
           e_buper              = lv_buper
           e_gjahr              = lv_gjahr
    in lv_buper you will get the last posting period which is open ie the posting period month.
    based on lv_buper you get , you can write your validations.
    You have to remember that the posting period which u get is based on the fiscal year.
    hope that helps.
    reward if useful.
    cheers,
    Ravi Kiran.

  • Shipment cost condition not copied in the billing document

    hi
    I have created shipment for the delivery and compelted the shipment cost as well , however when i create the billing document the shipment cost conditions are not copied in to the billing document.
    i have already set up pricing source as F in copy control from Delivery to billing document ,
    what are the other settings to be done to copy the shipment cost condition types to billing document  ?
    Regards
    Dinesh

    You migth include it on copy control frome delivery to invoice.
    Regards,
    RP

  • Excange rate should trigger in the billing document as per the billing date

    Hi Folks,
    I have a below scenario.
    Today I have created the Sales order and after 2 days I am creating the billing document. In the billing document the  exchange rate is triggering as per the sales order date, but I want  my billing document should be pick up the exchange rate as per the billing document  date.
    Please help me on this issue.
    Thanks
    ANGKS.

    Hi,
    Thanks for all your replays, but still my requirement is incomplete.
    Once again I am explaining here.
    Step 1. I created the sales order on 01/01/2009 and Delivery.
    Step 2. I created the Invoice on the same day that is 01/01/2009 the system calculates the exchange rate from the sales order pricing date which is on 01/01/2009.
    Step 3. I have created the Intercompany Billing document after 2 months i.e. march.
    Mean while my exchange rates are changed.
    My Intercompany billing document should pick up the exchange rate as per the billing document date. This is for the march.
    But the problem is: My intercompany billing document is picking the exchange rate as per the pricing date in the sales order which is 01/01/2009.
    As mentioned my intercompany billing document should calculate exchange rate for March.

  • Diffrence between the billing document and Invoice list

    Dear all,
    I have that we create the billing document from vf01 but there is invoice list also which we can create from vf21,so i wanted to know that whats the diffrence btw the these both?
    Thanks & Regards,
    Mohsin

    Billing represents the final processing stage for a business transaction in Sales and Distribution. Information on billing is available at every stage of order processing and delivery processing.
    This component includes the following functions:
    Creation of:
    Invoices based on deliveries or services
    Issue credit and debit memos
    Pro forma invoices
    Cancel billing transactions
    Comprehensive pricing functions
    Issue rebates
    Transfer billing data to Financial Accounting (FI)
    The invoice list lets you create, at specified time intervals or on specific dates, a list of billing documents (invoices, credit and debit memos) to send to a particular payer.
    The billing documents in the invoice list can be single or collective documents (collective invoices combine items from more than one delivery).
    The standard version of the SAP R/3 System includes two types of invoice lists:
    for invoices and debit memos
    for credit memos
    If you wish, you can process invoices, debit memos, and credit memos at the same time. The system automatically creates a separate invoice list for credit memos.
    A payer may be the head office of a buying group, which pays all the invoices for goods that are shipped to individual members. The group payer takes responsibility for paying the invoice lists and then collecting payment from the individual members. In return for these services, the group payer usually earns a factoring or del credere discount.
    Depending on the tax structure of the payer's country, the payer may be liable to pay taxes on factoring discounts that he earns. In Germany, for example, factoring discounts are taxed at the standard rate of 15%. During invoice list processing, you can reimburse the payer in advance for this tax liability by creating special condition records.

  • Two price discount A & B , Discount B only active in the Billing document

    Dear Gurus
    we have 2 discount , A & B,
    In the sales order , the  user is only see the Discount A,
    when create the billing document, we hope the Discount B has active,
    Example :
    in sales order :
    PR00 = 100
    MWST = 17%
    Discount A = -10%
    Total = (100-10) *1.17 = 105.3
    In the Billing
    PR00= 100
    MWST = 17%
    Discount A = 10%
    Discount B = 2%
    Total = (100-10-2) *1.17 = 102.96
    in the price procedure , I'd set the "Discount B "  requirement = 24 ,
    But in the testing , seems the Discount B is not active ,
    How to setting to let this Discount B active ?
    Thanks.

    Hi ,
    You can check in following sequence :
    1. First verify the condition records are all set fine. Check the validity dates of condition records vs. the date you are creating the invoice.
    2. Check the pricing analysis option so that you can see the reason why the values are not coming .
    3. Also , on which value you want to calculate the disc B ? Is it on value after disc A or on value after tax ? Verify the relevant  steps coorectly in pricing procedure .
    Hope this helps. !
    BOL ..

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