SNP - considering vendor discount in Optimizer

Dear colleague,
         Can some body provide me with the information if i need to consider the supply discount given by the vendor in the optimizer to maximize the discount amount in the total cost.
Thanks
Sandeep

>
kiran badgujar wrote:
> Hi,
> Our vendor is offering doscount; however business requirement is to have base amount same for calculation of discount as well as for tax in PO.
>
> Please suggest best possible solution to achieve this.
>
> Regards,
> Kiran
This can be accomplished in calculation schema. Suppose your base amount is step 1, your discount is step 2 and tax is step 3, so in from to fields of discount and tax you mention 1, this way both conditions will be calculated on step 1 which is base amount.
Hope I am helpfull
Edited by: Afshad Irani on Apr 29, 2010 4:37 PM

Similar Messages

  • Vendor discount

    Dear MM consultants,
    I had a sitution as followsThe client reqt is as follows
    Vendor discount is to be displayed in MIGO and miro , same to be reported every month.
    I have done following
    In MEK1 created a ctype rl01 and assigned 5% for vendor
    i created a GL account say 111111 by copying a std on in FS00
    I created a new accounting key and accural key and assigned the same in RL01 Ctype, accural is activated in control data, condition class is negative one for rl01
    When i creat a po , vendor discount is considered 5%
    when i do migo for 10 $ fi doc are as follows
    Inventory 9.5$
    GRIR acc 10 $
    111111 ac  0.5$
    is the above is correct
    When i do miro posting are as follows
    Vendor 10$
    GRIR 10$
    the above is not correct since vendor will get full amount
    request u to put ur suggestions or if u have any alternate pl give me the solution
    waiting for reply
    guru

    Hi,
    Why dont you can make use of the standard discount conditions which are available in the standard Pricing Procedure. What is the functionality behind creating a new G/L account for this ?
    If you want it to capture it for the reporting purpose. You can very well get the value by developing a Z report with the following logic. For a PO in the EKKO table get the KNUMV and pass it to the KONV table to get the respective discount condition and display its value.
    Regards,
    RitiG

  • COPA - Third Party Drop Ship Returns - Vendor Discounts

    Hello -
    This is challenging so I hope some of you can help me please!
    Can anyone explain to me how vendor discounts work in copa as they relate to third party drop ship returns?  We use net vendor invoices where discount is taken at time of vendor posting and offset by clearing account.
    We have several scenarios where we cannot reconcile FI and COPA for COGS account because of the discount on the vendor credit memo.
    An example:
    We have created the sales order and purchase order for the process.  Then we do a migo and a miro from the vendor. 
    The vendor document has a discount of 1%, so if it costs $100, here is the accounting:
    MIGO -
    dr. cogs 100
    cr. gr/ir 100
    miro
    dr. vendor discount clearing 1
    cr. cogs 1
    dr. gr/ir 100
    cr vendor 100
    then we bill the customer.
    Copa at this point gets hit with 99 debit to cogs value field (100 -1 =99)
    then we process the customer credit memo request.
    Then we process the vendor miro credit.
    dr. cogs 1
    cr. vendor discount clearing 1
    dr. vendor 100
    cr. gr/ir 100
    At the time the vendor credit memo is posted, sap inserts a new copa line-item on the customer billing document with $1.00 debit to copa.
    then we reverse migo
    dr. gr/ir 100
    cr cogs 100
    And then we bill the customer credit memo, which creates another copa document that credits copa with $99.00.  why doesn't this create a copa document of -$100.  this would help tie out copa and fi.
    If you go through and look at all cogs postings on FI side, the credits and debits = 0
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    therefore, fi and co don't tie.
    please give me any ideas that might help me.

    Hi Valerio,
    Have you found any solution for your issue?
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    Let me know if you have come across any clues?
    Thanks.
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  • Vendor Discounts in SAP

    Hi,
    What is the difference btw cash discount and trade discount?
    In SAP how the vendor discounts are provided in both FI and MM.
    I know that the discount will be calculated through payment terms.
    But in purchase order, in condition tab, I can see the price breakup, discount, taxes etc.I guess it is from pricing procedure.
    So my question is, discount will be calculated from payment terms in both FI and MM
    or is there any other procedure to calculate the vendor discount in SAP.
    I need 1 more clarification. What is the purpose of pricing procedure and why the discount will be included in pricing break up.
    Will the discount which is there in pricing proceedure, appeare in the books of accounts?
    I need to prepare a functional document for vendor discounts in SAP.For that i want these clarifications.
    Pl answer me.
    Thanks
    Radhika Eluri

    Hi,
    Cash discount is given when the vendor is paid according to the payment terms. If the vendor is not paid within the date mentioned in the payment term, the cash discount is lost. This is not reflected on the invoice.
    Trade discount is given based on the deal finalised. This discount is given on the price of the material and the net payable is reduced in the bill itself.
    Based on the above explanation - normally cash discount is calculated at the time of payment and based on the payment terms while trade discount being a component of invoice, is calculted based on the pricing procedure.
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    please revert for further clarification.
    Thanks and Regards,
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  • Vendor Discount postings

    Hi,
    When I am posting an Invoice and entering the discount in the payment tab and post the invoice it does not post the discount to any account.Ideally it should post the discount to some account.
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    What could be the reason ?
    I have a separate GL acct(193000) for vendor discounts.
    Do I need to have further assignment with respect to this GL account in FI ?/
    2.
    I want to change the exchange rate at the time of entering vendor invoice.But the field is greyed cant change.
    Any suggestion ?
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    Regards,
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    Hi Ashok
    Thank you very much for your prompt reply.
    Let me try to explain. Payroll deducts amounts from employees, ex. housing, garnishee's etc. Those deducted amounts are send to FI to the relevant Vendor account. AP will then pay the vendor one global amount for all the amounts deducted from the different employees.
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    Payroll executes program RPCIPE00 that creates one document in FI.
    CT's Attorney ABC and DT's the payroll clearing account. FI-AP will then pay Attorney ABC via F110 on behalf of the employees.
    Sometimes the business will have an agreement with these type of vendors to take a discount if paid early.
    Hope this helps.
    Louise.

  • Vendor discounts

    Can someone please explain me what account should be established "Cash discount taken" or "Cash discount lost" if the vendor discounts are tracked at gross. And which account "Cash discount taken" or "Cash discount lost"  to create if the vendor discounts are tracked at net.
    Please also explain why would that the particular cash discount account be established for each tracking type (net and gross).
    Explain with example
    Thankyou very much

    Hi,
    As per my knowledge, Cash Discount received & Cash Discount allowed are the two concepts are related to Profit & Loss account (Vendors & Customers.) Generally when we make payment to Vendors we go through Payment Terms T.Code OBB8. As per the Payment terms we do business with Vendors & Customers.
    Payment Terms Like if a Bill of Rs.1,00,000/- Invoice from Vendor - if we make payment within <10 Days discount received 3%, >10 - <20 days 2% and >20 - <30 Days No Discount received as well as payment received from customer. the same terms we can use othwise we may create based on our company wish, it is also configure in OBB8.
    For this We have to Create 2 GL Accounts in FS00
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    2)Cash Discount Received - Income Group - Vendors
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    Select Accounts Give the Co.Code Account Number which you created in GL Master Expenses Group
    Select Posting - Select Debit & Credit Check Box
    Save
    T.Code OBXU - Cash Discount Received
    Select Accounts Give the Co.Code Account Number which you created in GL Master Income Group
    Select Posting - Select Debit & Credit Check Box
    Save
    Then Whenever you make a payment & receive we select payment terms which we areated in OBB8 then it allows entry to post cash discount Allowed & Received, it comes in blue font. double click on it enter + Save.
    If useful don't forget to reward.
    Thanks & Regards,
       Muralikrishna

  • Vendor discount value from FB65 to COPA is getting updated in wrong value filed

    Hi Experts,
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    Regards
    Sambasiva

    Hi Samabasiva,
    Do you mean system is posting the discount value in FB65?
    May I know what Accounting Entry is posting with discount for Credit Memo?
    And also is there any Exit or Substitution Rules are Implemented.
    Regards
    Srinu

  • How to handle vendor discounts based on the qty / value procured.

    Hello
           How to handle vendor discounts based on the qty / value procured.
    a.       Scenario: you have entered into a contract with vendor that you will buy goods worth Rs 10000/- and if you buy goods worth more than 100000 the vendor says he will give a discount of Rs 5000/- @ the end of the year.  
    i)                    How to handle this sceneriou2019s with SAu2019s
    ii)                   What does STD SAP offer.
    Regards
    Sapman man

    Hi,
    For the discucount condition type, you have to maintain scales.
    Take Condition type -  Discount Value ( RB00)
    Discount Value ( RB00) - Means Fixed discount. For this condition type, you have to maintain Scale basis as Value scale 'B' in the condition type customization.
    Transcation : M/06
    Select your condition type RB00 and click on the details icon.
    In the Scales block, you have to maintain and save.Calculation type = Fixed amount
    Scale basis = Value scale 'B'
    For this condition type, you have to maintain scales in the inforecord.
    Transcation : ME12
    Select this condition type, click on the Scales icon. There you have to maintain like
    From : 10,0000            Rate: 5000.
    It means, if the document value is reached 10,0000 then discount is 5000rs. If the value islessthen the 10,0000 then no discount.
    Regards
    KRK

  • Early Settlement Vendor Discount

    Hello,
    From the 1st of April 2015, the UK VAT legislation has changed in relation to early settlement discount where the Vat charged has to be on full invoice cost. If invoice is paid early then a credit note will be sent from supplier to account for the VAT adjustment or a credit adjustment will need to be inputted on the vendor account. Is there a way in SAP to automatically adjust the VAT if an early settlement payment is made?
    Regards

    Dear sir,
    I tried all the sequence given by u
    i created a po 10$, discount.5 $
    in migo grir accounts says 10$, inven 9.5$ , my gl acc 0.5 $ pl note no sign
    I maintain negative sign in contion type of RL01
    In moro it is showing
    GRIR 10 $
    Vendor 10$
    I created own account key and accural key and assigned in RL01 Ctype of pricing proce
    I assigned the GL ac in obyc agaist the account key and accural key
    The posting keys are debit 40 and credit is 50
    pl note that i have to reports of vendor discount every month
    the above is clien reqt
    waiting for ur reply
    guru

  • Vendor Discount on Invoice

    Hi,
    On the vendor invoice we would like to change the cash discount tolerance amount. It only accepts 2% discount but we would like to remove the limit. Also we would like to be able to enter the discount as a dollar amount if paid within a certain time period.
    How can i proceed???
    Thanks
    KB

    Hi
    SAP Tcode OBA3 provide two options to create tolerence. First is percentage and second is amount. If you maintained tolernece in one second should be blank.
    In your case you need to remove tolerence limit maintained of 2% in OBA3. This will allow you to post the disount amount to vendor more than 2%.  if you want to maintain dollar limits only you can maintain dollar amount in OBA3 setting only.
    Thank you.
    Regards,
    Sachin

  • Query on MRP to consider vendor holidays

    Dear All,
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    Hi
    I have tried using planning calendar.However i could see that on using a planning calendar only the planning date and/or the delivery date falls as per the interval in the planning calendar but not the release date Also i could see that the planning calendar is usefull for grouping our requirements (using suitable lot size), and fixing the delvery date as, as per the planning calendar, but not the release date....Hence i believe planning calendar cannot be of use for my above requirement.
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  • Vendor Discounts based on Turnover with vendor

    Hi Friends,
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    Regards
    Krishna

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  • What is the purpose of vendor discount groups

    Pls explain the purpose of specifing a discount group for vendor.

    Is this question for SAP Business One?
    If not, please check the following and close your thread:
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  • AP Discount on Vendor Payment

    Hi FI Gurus,
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    Hi Themba,
    Please the check the document base line date in Payment terms.
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