Similar Functionality as VF31 or VL71 for Sales Orders

Hi Experts,
VF31 and VL71 is for mass processing of outputs for Delivery & Billing documents. Is there similar functionality for sales orders?
Regards
Lawrence

Hi Lawrence,
There is no tcode, but you can mass process outputs for sales orders using the program SD70AV1A

Similar Messages

  • T Code for doing mass output for Sales order like VL71 for Delivery

    Hi
    Can anyone let me know what is the t code for the sales orders for which despatch time was set as "3- using own transaction"
    Muthu

    Hi,
    Though there is a program, there is no output for sales order similar to VL71 for delivery. Sales order is the only transaction for which there is no tcode for this purpose.
    You can do the following.
    Go to SE38 give program name SD70AV1A and execute
    Now give ur selection criteria and save this as a variant.
    Now you can schedule a job at regular intervals using this variant.
    This will enable that if you maintain the output record as 3(using own transaction), the output will be created in mass for multiple sales orders.

  • Function Module or BAPI to update Short text  for sales order item(vl02n)

    Hi All,
    I need to update the Short text for sales order item in vl02n transaction from an internal table with Delivery number and other relevant details .
    Does any body know any Function Module or BAPI which can accomplish this purpose .
    Or else writing BDC is the only option I have got ? .
    Please clarify .
    Thanking you in advance .
    With Regards,
    Suriya .

    Hi
    You can try using BAPI_SALESORDER_CHANGE if you want to change sales order
    Regards
    MD

  • Create and Change functionality for Sales order

    Hii All,
                Can any one please suggest me any Standard program or BAPI or IDOC for Sales order, it should cover create as well as change fuctionality of Sales order.
    this is very urgent to me.
    Suitable Answer will be Rewarded.
    Thankyou,
    Shobha.

    For change you can use:
    BAPI_SALESORDER_CHANGE         Sales order: Change Sales Order
    For create you have the following choices:
    BAPI_SALESORDER_CREATEFROMDAT1 Sales order: Create Sales Order
    BAPI_SALESORDER_CREATEFROMDAT2 Sales order: Create Sales Order
    BAPI_SALESORDER_CREATEFROMDATA Create Sales Order, No More Maintenance
    BAPI_SALESDOCU_CREATEFROMDATA with business object 'BUS2032'
    The difference between the create ones is the functionality you get e.g. create_from_data2 is the 'most powerful' but you also have to provide the most data. It just depends on what you want it to do.
    In terms of IDOCS:
    message type:
    SALESORDER_CREATEFROMDAT201 or
    SALESORDER_CREATEFROMDAT202 or
    ORDERS05
    Hope that helps,
    Michael
    Here is an example we use, you might want to populate additional fields or leave fields out in case you want different data to be transferred to the IDOC - however some fields are mandatory.
    create the order header structure
      ls_header-doc_type   = ls_screen-order_type.
      ls_header-sales_org  = gc_vkorg_aa01.
      ls_header-distr_chan = gc_distr_aa.
      ls_header-division   = gc_divis_aa.
      ls_header-purch_no   = ls_screen-po_num.
      ls_header-po_method  = ls_screen-po_source.
      ls_header-ship_cond  = ls_screen-ship_cond.
    create partner input table (sold to)
      ls_partner-partn_role = gc_role_sold.
      ls_partner-partn_numb = ls_screen-sold_to.
      APPEND ls_partner TO lt_partner.
    create partner input table (ship to)
      ls_partner-partn_role = gc_role_ship.
      ls_partner-partn_numb = ls_screen-ship_to.
      APPEND ls_partner TO lt_partner.
    items are added by looping at a table
        ls_item-material = <fs_upload>-matnr.
        ls_item-req_qty  = <fs_upload>-quantity.
      process the quantity, it needs to be three decimals, because it
      will be moved into a string in the BAPI and divided by 1000 before
      it is moved back into a number field (1.500 => 001500 => 1.5)
        ls_item-req_qty = ls_item-req_qty * 1000.
      truncate remaining decimal places if exist (1.2525 => 1252.5 => 1252 => 1.252)
        ls_item-req_qty = trunc( ls_item-req_qty ).
        price is taken from the file
          ls_item-cond_type = gc_cond_so_upld_price.
          ls_item-cond_val1 = <fs_upload>-price.
        condition one (price) is multiplied by 10 in the BAPI
          ls_item-cond_val1 = ls_item-cond_val1 / 10.
        no discount
          ls_item-cd_type2   = gc_cond_so_upld_disc.
          ls_item-cd_value2  = 0.
        ls_item-item_categ = ls_screen-item_cat.
          APPEND ls_item TO lt_item.
    then BAPI is called
      CALL FUNCTION 'BAPI_SALESDOCU_CREATEFROMDATA'
        EXPORTING
          order_header_in           = ls_header
          business_object           = gc_bus_obj
        IMPORTING
          SALESDOCUMENT             = lv_vbeln
          RETURN                    = ls_return
        tables
          order_items_in            = lt_item
          order_partners            = lt_partner.
      IF ls_return-type NE gc_msgty_error AND
         ls_return-type NE gc_msgty_abend.
      No errors where found
        CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'.
      ELSE.
      There was an error or abend
        CALL FUNCTION 'BAPI_TRANSACTION_ROLLBACK'.
      ENDIF.

  • Function module which uses both BAPI's for sales order create and change

    Please name the function module which uses both BAPI's for sales order create and change.
    BAPI_SALESORDER_CREATEFORMDAT2
    BAPI_SALESORDERCHANGE

    Yup.
    you must write a piece of code for this.
    with if else condition.first check if SO is exsist than use second FM to change it else create new SO from first FM.
    logic somethig like this.
    Amit.

  • Need function module for Sales order overall status

    Dear Team,
    Our requriement is we need to capture sales orders overall status 'compleated' in header and item datat details.
    Could you please let me know what are function modules available for to get the over all status for sales orders, (header and item)
    Thanks & Regards,
    MK.

    Hi MK,
    Use any of this FMs.
    C1CE_VBUK_READ
    SD_VBUP_READ_WITH_VBELN
    WCB_VBUK_READ
    Note that the values are in table VBUK and you can do a select statement from that table to get what you need.
    Regards,
    Peter

  • Function module unit costing for sales order

    hello all!
    is there a way to create a unit costing for sales order using a function module? i found module K_UNITCOSTING_CREATE - has anyone used that before?
    best regards,
    matthias

    hello!
    i have no master data as basis for unit costing. instead i would like to use information from sales order conditions in unit costing.
    best regards,
    matthias

  • Function module/ Bapi for Sales order change

    Hi Experts,
    I require to have a Bapi/ function module to change a existing sales order to insert value in the field VBAP-SOBKZ.
    Please suggest.
    Thanks,
    Shibaji.

    HI,
    I have identified this Bapi but this Bapi does not contain the relevant field to update. Can you suggest any other Function module/ Bapi to update the field.
    Thanks & Regards,
    Shibaji

  • Tcode for Sales Order Output(collective processing)

    Hi
    What is the tcode or program to print sales orders collectively, similar to VL71 for deliveries & VF31 for invoices.
    Regards
    Uma

    Hi Uma
    There is no such T code for sales order print.
    You can use SE38-> run RSNAST00 program for sales order output (collective processing).
    try and revert.

  • Update Delivery Text - As done for Sales order using RTEXT-SELKZ

    Dear all,
    We have to update the delivery header texts. But could not find the exact field name for the BDC .
    The similar field name for Sales order is RTEXT-SELKZ.
    Thanks in Advance,
    Regards,
    Vivek K

    Hello,
    if you need to update delivery header texts ,then you can get text data from input file .& then find out what's the text id where you have to insert text data.
    Text id,object,language,Text name ,these 3 fields can help you from delivery.
    Delivery-> display->header-> select particular text-> presss details icon->goto->header.This path will give text id ,object name details of the required text.
    Then use function save_text to load this data for each delivery .
    Hope this helps.
    Thanks.

  • Workflow for Sales Order Release via Status Profile

    Dear all,
    i want to make a workflow for sales order which have 4 User Status in One status profile.
    Once Event triggered for sales order
    1.   Mail should go to main authority with sales order number.
    2.  Once authority will do some changes in the required field then he/she changes
         the user status-1 from defauts as per line Item and mail should go to department no-1 (Head authority).
    3.  Once again same changes in sales order but now user status-2 from user status-1
         as per line Item and mail should go to department no-2 (Head authority).
    4.  Once again same changes in sales order but now user status-3 from user status-2
         as per line Item and mail should go to department no-3 (Head authority).
    5.  Once again same changes in sales order but now user status-4 from user status-3
         as per line Item and mail should go to department no-4 (Head authority) .
    and parrally for each changes of Status mail should also go to User (Event Creator).
    6. Finally mail sholud go to User as you are permitted to do next business transaction for this sales order
    Please tel me the process as i am very new this topic and i am always going to stuck in Binding.
    please help me out.
    Thank You

    Hi Neeraj,
    First of all start with SWELS and SWEL T-Code to check if any standard event is getting triggered or not. If event is getting triggered, then use the same event to trigger the workflow; otherwise create a custom event of BO and use the same to trigger the workflow.
    Hope you are aware of T-Code SWO1 and delegation of BO. The BO used for your requirement will be BUS2000115.
    As you want the workflow to get triggered only for one status profile and one of its status, so use check function module. There set the condition for you status profile and status.
    The FM which you will be using the most is CRM_ORDER_READ. To read the status, you can also use CRM_STATUS_READ_OW.
    Now simply make the approval steps in the workflow using activity. In the activity, you can use the standard method USERSTATUSPOPUP to send the workitem for approval. In each step use the same activity with different agents as approvers.
    Just go with these things and let me know if you get stuck up somewhere.
    Regards,
    Guddan

  • Copy 0CO_OM_WBS_5 to get variances for Sale Order / Item

    Hi ,
    I copied the existing 0CO_OM_WBS_5 extractor and modified it with a logic to bring the Result Analysis numbers for Sales Orders. But when trying to create a normal generic datasource with the FM  it is not allowing and giving me an error "E_T_DATA is not present in the the Function Module " The same is not available in standard datasource FM as well for 0CO_OM_WBS_5  .Do we need to maintain any table for mapping the datasource with FM and Extract Structure specific to the CO-OM Extractors.
    Help will be greatly appreciated.
    Regards,
    VSK

    Thanks.

  • Down Payment processing for Sales orders using Milestone Billing Plan

    Hi,
    The business scenario is as follows.
    The delivery for the sales orders are to be created only after the pre payment( a percentage of the total sales order value) is made by the customer.
    Hence the sales orders while creation are blocked for delivery creation using credit block by means of a userexit.
    The credit manager checks the blocked sales orders using VKM1 transaction and verify if there are any payments made by the customer to cover this pre payment to be made.
    If it is enough to cover then he releases the sales order manually for delivery creation.This is a complex process since there are too many sales orders and the payments made by the customer may not match the amount to be paid(it can be greater or lesser).The customer just pays a huge amount which is to be distributed among the sales orders for pre payments.
    Later, when the invoice is created, the customer account is cleared manually using F-32 transaction for the oldest open invoices.
    Here again there is a huge manual effort involved since he need to distribute the amount against the invoices using oldest open item principle.
    As a solution we are planning to implement "Down Payment processing for Sales orders using Milestone Billing Plan".
    Is this the right solution?
    Can you please give the steps in detail to implement this functionality for above scenario?
    We are using SAP 4.7 version without Project Systems.
    Thanks in advance.
    Regards,
    Ragesh

    Hi Ragesh
    Check the links where you will get the entire down-payment configuration
    [https://forums.sdn.sap.com/post!replydownpayments ]
    Regards
    Srinath

  • How to configure rescheduling for sale order quantities

    kindly explain how to configure rescheduling for sale order quantities that are created last month. kindly explain. i am in urgent.
    regards,
    g.v.shivakkumar

    Hi,
    Short text
    Rescheduling sales and stock transfer documents: by material
    Description
    The 'Rescheduling' program (SDV03V02) processes sales document items that are contained in the item directory for the material. It takes into consideration open items and schedule lines from stock transfer items, stock transfer scheduling agreements and purchase order requests (items only), referred to hereafter as stock transfer documents, for the materials.
    All sales documents for the material that are still open are selected. This means that the material index must be activated for at least all sales document types, whose items may have requirements. All stock transfer documents or items for the material that are still open are also selected. Open in this case means for example, that there is no deletion indicator, that the item from a stock transfer purchase order request cannot be labeled as completed or that the quantity delivered and posted to goods issue for the item in a stock transfer purchase order is the same as the amount ordered. An availability check can only be carried out if a checking rule is assigned to the document type - if this is not the case, the document or document item is not checked.
    Checking rule 'A' is used as a basis for rescheduling sales orders (exceptions to this are rush orders  they use checking rule B, and orders with individual customer stock; they use checking rule AE). Stock transfer documents use the checking rule that is assigned in Customizing for Purchasing. It is important that the scope of checks is consistent for both the stock transfer documents and the sales documents and that they do not exclude each other, as this can lead to incorrect test results. An example of an incorrect setting would be: The scope of check for checking rule 'A' checks delivery schedules for stock transfer purchase orders and stock transfer purchase requests, however the scope of check for the checking rule for the stock transport scheduling agreement does not.
    The items and schedule lines found in the selection are sorted according to 'Priorities' - document category, delivery priority, creation date of the item or schedule line (for stock transfer purchase orders and delivery plans) entered on the selection screen or according to the schedule line date of the earliest schedule line with order quantity, document number and item number and then transferred to the availability check. Priority 1 is highest priority and priority 5 the lowest. Stock transfer purchase order requests are sorted after stock transfer purchase orders and scheduling agreements, as they are less binding. This means that when you have identical sort criteria such as delivery dates, the stock transfer purchase order item is checked first and then the item from the stock transfer purchase order request.
    The preset option 'Unconfirmed documents required' only carries out rescheduling for materials for which there is at least one unconfirmed transaction.
    You can use the parameters 'Sorting criteria delivery date' to define whether sorting is carried out with the order quantity after the creation date of the item or the delivery date of the earliest schedule line.
    If you mark the 'Simulation' field, the checked documents are not saved. Instead a results list is generated and saved. However, the availability check for the corresponding documents continues as if saving has taken place already, that is, that the simulated list corresponds to the actual one.
    Under 'Options' on the selection screen, specify whether sales documents and/or stock transfer documents should be processed. For stock transfer documents you can enter whether stock transfer purchase orders and scheduling agreements should be processed at item or schedule line level:
    Processing at item level:
    All open schedule lines for the item are read and collected, then transferred to the availability check. To sort and prioritize documents, you do not need each individual schedule line. It is sufficient to have the item or data from the first schedule line. All open schedule lines for the item are processed and checked.
    Example of processing at item level:
    Sorting: Date (Delivery date first schedule line) - Document number - Document item
    Doc. cat. Doc. number  Doc. item  Doc. schedule line  Delivery date PO        4500000012      10               0001              26.01. PO        4500000012      10               0002              26.02. PO        4500000025      20               0001              28.01. PO        4500000025      20               0002              02.02.
    You can see that the second schedule line for document 4500000025/20 from 02.02 was processed after the second schedule line for document 4500000012/10 from 26.02. This is because all open schedule lines for an item are read and processed. The first schedule line from 4500000012/10 has the earliest delivery date, therefore it has priority.
    Processing at schedule line level:
    Each open schedule line for an item is entered in document sorting in accordance with the values entered under 'Priorities'. The availability check is carried out for each individual schedule line.
    Example for processing at schedule line level:
    Sorting: Date (delivery date first schedule line) - document number -document item
    Doc. cat.    Doc. number  Doc. item  Doc. sched. line  Del. date PO           4500000012    10             0001           26.01. PO           4500000025    20             0001           28.01. PO           4500000025    20             0002           02.02. PO           4500000012    10             0002           26.02.
    Here you can see that each schedule line was sorted according to its delivery date. Note that this type of processing requires more runtime due to the individual checks and more frequent saving.
    The results of rescheduling are saved, as long as the program was not started in simulation mode. When calling up from the 'Sales' area menu or when directly starting via the development environment, the iniator is informed via a dialog box that he has just started a process that changes data. He can then decide whether or not he wants to continue.
    Checking procedure for stock transfer documents:
    An availability check of stock transfer documents in rescheduling is carried out in accordance with the check carried out when manually creating a document. If, however, the required quantity for a schedule line is not available on a particular date and will not be ready until later, new schedule lines are created for the stock transfer purchase orders and scheduling agreements, containing the relevant data. New items are created in this case for stock transfer purchase order requirements. The total sum of schedule line quantities for a processed schedule line corresponds to the schedule line quantity of the original schedule line.
    First example: Using a stock transfer purchase order item with a schedule line:
    a) Status of item before rescheduling run:
    Del. date  PO quantity   Confirmed quant  Confirmed del. date 23.07.      50 items       0 items              -
    ==> This now affects the stock/requirement situation:
        - Goods issue is posted for the material in the delivering plant on the 23.07.
        - A purchase order of 10 items was created for the material in the delivering plant. Delivery is expected on the 29.07.
    b) Status of stock transfer purchase order item after rescheduling run:
    Del. date PO quantity   Confirmed quant   Confirmed del. date 23.07.     40 items      40 items            23.07. 29.07.     10 items      10 items            29.07.
    ==> The first schedule line was changed in accordance with the results of the rescheduling availability check. Only 40 of the 50 original items could be delivered on the 23.07. Therefore, a new schedule line is created for the rest on the 29.07. for 10 confirmed items.
    Second example: Same output situation as the above example.
    ==> There is now a change in the requirement/stock situation:
    A purchase order for 10 items is created for the material in the delivering plant. Delivery is expected on the 29.07. A further purchase shows another 40 planned items on the 30.07.
       Status of stock transfer purchase order item after rescheduling run:
    Del. date PO quantity  Confirmed quant  Confirmed del. date 29.07.     10 items       10 items          29.07. 30.07.     40 items       40 items          30.07.
    ==> The first schedule line was changed in accordance with the result of the availability check for rescheduling. The original delivery date is set to the date confirmed in the ATP check. A new schedule line is created for the remaining 40 items, that are available on the 30.07.
    Note:
    Any set fixed delivery date and quantity indicators and creation indicators for schedule lines or items are 'inherited' by newly created schedule lines. Assuming that the original schedule line was fixed in the above example (since it is created manually), this indicator is also set for the newly created schedule line.
    If shipping scheduling is activated for a stock transfer document type, this is also implemented for newly created schedule lines, with the exception of route schedule determination. This means that in the current version of the program no route schedule has been determined for a schedule line containing a route schedule for which new schedule lines may need to be created.
    The results of the run are issued in the form of a list, which is also saved, so that the results can be controlled at a later date. This is done using the function 'Evaluate rescheduling', but it is only a good idea to do this after the first rescheduling has taken place. You can restrict selection requirements but these can however affect the runtime. You can use this function to analyze the saved list until the next rescheduling run, which writes over the result. If you start rescheduling in the background, a spool file with the result list referred to will be created in the corresponding setting. You can see this in spool management.
    Output
    A list of changed documents, a list of documents in which an error occurred during processing and as a result were not changed, can be called up via the menu 'Edit - Error log'. If in a subsequent evaluation a restricted selection is carried out, a note appears at the end of the list to say that not all document items are displayed.
    You can set the scope of the list under the menu option 'List' in the list display. You can view improvements, deteriorations and the whole list. Before the documents can be included in one or either of the restricted lists, the date or quantity has to have changed so that the item can be contained in both the list of improved or deteriorated documents.
    You can use the interface for changing transactions and the order list to navigate. Use 'Back' to exit the list and 'New selection' to return to the selection screen.
    Recommendation
    You should only start this program occasionally and use very restricted selectin criteria during working hours as it requires enormous system resources.
    Note
    The columns for 'New date' and 'New confirmed qty' only contain entries if the dates or quantities have changed.
    As the system only runs the change check (dates/quantities) per line in the original list, an item whose backlog has increased in the list of improvements. This occurs, for example, if the whole quantity can be delivered at once but at a later date. In this situation, the system determines an increase for the line when it compares quantities.
    Regards,
    Amrish Purohit

  • User exit for additional data B for sale order item .

    Hi., all
    my client requirement is
    (  This business requirement will make the Last Price for a given item be visible during order entry.  )
    u2022Retrieve & display during order entry, the most recent unit price given to a customer for a specific item, from the Billing data.
    . Display the Last Price under Additional Data B Screen
    add new field (last extended price) in additional data b screen.
    after that 1.     Using the Sales Order Material Number (VBAP-MATNR), Sales Order Sales Organization (VBAK-VKORG), Sales Order Distribution Channel (VBAK-VTWEG), Sales Order Division (VBAK-SPART), Sales Order Sold-to Number (VBPA-KUNNR for VBPA-PARVW=u2019AGu2019) to access the Billing Items By Material Index Table (VRPMA) and specify a billing date (VRPMA-FKDAT) of less than 60 days from current Sales Order requested delivery date (if specified at header VBAK-VDATU or at the schedule line level (VBEP-EDATU).  This will result in all the billing documents where the Sold-to bought the item but isnu2019t completely refined as of yet.  Retain the billing document (VRPMA-VBELN), item (VBPMA-POSNR), and billing date (VRPMA-FKDAT) in a temporary table to pass to number 2 as the input.
    2.     Use the billing document (VRPMA-VBELN) and item (VRPMA-POSNR) to read the Sales Document Partners Table (VBPA) where the partner function (VBPA-PARVW = u201CSHu201D) and the Sales Order Ship-To (VBPA-KUNNR for VBPA-PARVW=u2019WEu2019) to select ONLY billing documents that are for that given ship-to location.  This filters out only billing documents relevant for that ship-to location. 
    3.     From the resulting list of billing documents, select the most recent date (VRPMA-FKDAT) which will refine the search for the last Billing Document (VRPMA-VBELN) and item (VRPMA-POSNR).
    4.     Using the most recent Billing Document (VBPA-VBELN), access the Billing Document Item Table (VBRP). To result in the Last Extended Price as VBRP-KZWI1.
    5.     This price will be an extended price which needs to be calculated as a u2018unit priceu2019.  For this billing item, select the sales unit (VBRP-VRKME) to determine if the sales unit is in cases or eaches. 
    a.     If the unit of measure is in cases, then simple math is required to divide the Last Extended Price (VBRP-KZWI1) by the billing quantity (VBRP-FKIMG).  Standard rounding should apply when .005 results in a .01.
    how to achive this ?

    Hi Chakravarthy,
    use the Exits provided in SAPMV45A -includes MV45*ZZ and screen exits as well 8309 8310 8459, 8460. Just be sure to
    use zznnnnnn include in the SAP provided forms instead of coding directly in the forms.
    You can check below user exits:
    MV45ATZZ :For entering metadata for sales document processing. User-specific metadata must start with "ZZ".
    MV45AOZZ:
    For entering additional installation-specific modules for sales document processing which are called up by the screen and run under PBO (Process Before Output) prior to output of the screen. The modules must start with "ZZ".
    MV45AIZZ:
    For entering additional installation-specific modules for sales document processing. These are called up by the screen and run under PAI (Process After Input) after data input (for example, data validation). The modules must start with "ZZ".
    MV45AFZZ and MV45EFZ1:
    For entering installation-specific FORM routines and for using user exits, which may be required and can be used if necessary. These program components are called up by the modules in MV45AOZZ or MV45AIZZ.
    Reddy

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