Split valuation SAP Retail POS Aggregated sales

Hello,
Using IDoc WPUUMS01, I'm trying to upload aggregated sales into my SAP Retail system.
We are using split valuation for Retail (normal stock and promotional stock).
The error that keeps coming on is: Enter valuation type (100000017)
being (100000017) the material number
The same error happens when I put the action (promotion) number or not in the IDoc.
The logistic team has already made a goods receipt for both normal stock (RNORMAL) and promotional stock (RAKTION), for the same plant wich I'm testing with.
I've read from help.sap that if the action code (promotion code) it's entered in the IDoc, SAP should recognize that and when posting the material document it should take the goods from the promotional stock (RAKTION) and if not (enter the action code) then SAP would take the goods from the normal stock.
[http://help.sap.com/saphelp_46c/helpdata/en/12/085012470311d1894a0000e8323352/content.htm]
Is this process automatic? should we do something else? Please let me know if there's any further customizing we should consider
Kind regards,
F.Chavez

Hi ,
Just want to understand from you that Ru posting the goods movement from the WPUUMS or ru processing the Goodsmovement separately from WPUWBW?
Base rule for  split valuation is when ever a goods movement happens,system will demand Valuation type ((normal stock (RNORMAL) and promotional stock (RAKTION)) whatever may be the type of movements.
it is like Goods movements against Article/Site/Storage location/Valuation type.
Incase of receipts we can control this at  item level(delivery tab).
Incase of issues(Sales-GM251) system will check for the valuation type.
Please check the inbound idocs are having the content of valuation type .ISR should get aggregated details based on Valuation type.
Regards,
Ramakrishna Nuthalapati

Similar Messages

  • SAP Retail: Creating reference sales pricing

    Hi, I am looking for help in creating article reference sales prcing and store reference sales pricing.
    Article reference sales pricing:Price of Article# B should always be 10% less than article# A.
    Site reference pricing: Price of article# B in Store# S1 should always be 5% less than article# B in Store# S2.
    Please let me know if you any idea on this.

    That approach would effectively duplicate the implementation of BAPI_SALESDOCUMENT_COPY, wouldn't it?
    As there is a lot more data involved than just VBAK/VBAP (e.g texts, partners, conditions, schedules) this is not only a lot more effort it's also harder to get it right, especially since there might also be copy control customization which has to be take into account.
    Nevertheless I tried it and it isn't working in my case.
    I' have to create a debit memo request (BUS2096) out of a sales order (BUS2032), and BAPIs SALES_ORDER_CREATE* only handle BUS2032.

  • Layout change in ITS for SAP Retail Store

    Hi,
    We need to change standard layouts provided in SAP Retail store for Sales Invoice, Stock transfer note etc.we are using WAS 6.40 version.
    The requirement is to add some additional fields in the layout that gets displayed as standard in web.
    Please advice how to go ahead and do this.
    Regards,
    Senthil

    hi senthil
    If you want to customise your HTML templates they must be mixed mode enabled.
    HTML templates customisation is explained in the following help page.
    http://help.sap.com/saphelp_erp2005vp/helpdata/en/7f/3176f4c99b11d3963300a0c94260a5/frameset.htm
    You need to know HTMLbusiness for customising the templates.
    check these links for more information
    http://www.sapdesignguild.org/resources/webapp_cookbook/index.html
    http://help.sap.com/printdocu/core/Print46c/en/data/pdf/BCFESITSHBLR/BCFESITSHBLR.pdf
    regards
    Prasad

  • POS DM: Stock updates in SAP Retail

    Hi!
    We are implementing SAP Retail (ERP 6.0 EHP4 stack 3), SAP PI (Netweaver PI 7.1 SP 8) and SAP BW (NetWeaver 7.0 ehp1 stack 4, incl BI content 704, SP 3 ) for a client. Their POS system is a 3rd party system, i.e. not SAP POS, and it does not contain any stock information.
    This issue concerns stock updates in SAP Retail using POS DM:
    On the busiest day of year, my client has 347 000 POS transactions in total from all stores, and in one year they have 30 mill POS transactions. My client requires that SAP will provide them with near-realtime information on stock availability, as this is an important way of providing good customer service. The stock information should be available in SAP Enterprise Portal and SAP Retail Store, as well as standard SAP gui transaction. In addition, the webshop (external system) should have as accurate information about stock as possible, at least it should be updated once every 30 minutes.
    My client also has a requirement to be able to create purchase orders during office hours (store opening hours), based on MRP runs. This means they must have as accurate stock levels as possible for running MRP. Stock levels are also used in ATP checks, when deciding whether to pick customer orders from store inventory/stock or to create purchase requisitions.
    All these requirements have led us to believe that the best way to solve this, is alternative A:
    - to update stock continuously during office hours, using WPUBON to create material documents, one for each POS transaction. Sales and tenders will be updated in SAP Retail using WPUUMS and WPUTAB.
    Some challenges this will create:
    a)     It will create 347 000 WPUBONs on the busiest day of year, all within 10-12 open hours.
    b)     If we have same amount of material docs and FI docs, they will use 30% of the available 8 digits within their number ranges per year.
    c)     The idocs will fail if there are article locks simultaneously. (However, this can be handled by updating products only at night time (using batch jobs) and using batch job to handle failed idocs)
    Edited by: Øystein Emhjellen on Jan 4, 2010 2:15 PM

    Alternative B:
    - we have considered to use WPUUMS and WPUTAB, updating stock levels only once a day. The solution we then must use for taking into account actual sales data is described in SAP Note 1088886 - Using the interface for online stock queries. If we choose this, we need to check during the day for each article any sales, to reduce stock in reporting/screens, ATP checks and in MRP runs. We must also create a program to check for articles sold before sending stock data to webshop (external system). (As we do not know which articles have been sold, we must create our own version of RFC - /POSDW/SALES_QUERY_RFC, to enable that the article number does not have to be specified. Rather, the article numbers (and sold quantities) have to be returned to ERP based on what was actually sold.)
    We consider this alternative more risky, due to the need for changing behaviour of standard programs for MRP and ATP check. It will also create a number of RFC calls between SAP ECC and SAP BW.
    My questions on this issue are:
    i)     Will alternative A be preferrable, if hardware requirements are handled?
    ii)     Do you see any additional challenges related to alternative A?
    iii)     Will alternative B be adviceable, concerning the program changes/enhancements involved?
    iv)     Are there standard implementations of SAP ECC, that includes the use of RFC - /POSDW/SALES_QUERY_RFC. I.e. standard programs in SAP ECC that uses the information from this RFC call?
    Thanks for any advice !
    Best regards,
    Oeystein Emhjellen

  • SAP Retail - XI - POS Interface

    Hi,
    Can anybody share the document of
    SAP Retail - XI - POS(Point of Sale)
    Here POS is the third party system
    Thanks in advance,
    Balaji

    Hi,
    Check these for Retail-POS
    https://websmp109.sap-ag.de/~sapidb/011000358700001136952007D/MasterGuide_Retail_Dec07.pdf
    http://help.sap.com/erp2005_ehp_03/helpdata/EN/12/08414a470311d1894a0000e8323352/frameset.htm
    Regards
    Seshagiri

  • SAP Retail Billing from POS

         Hi all,
    I have a quich question. A POS performs a sale and it comes in SAP through Idoc. The inventory movement posted is an MM material document with 251 movement.
    How the billing document is supposed to be posted? Directly through an FI posting or something else?
    BR

    Hi Ali,
    as it's been already more or less clarified above, both POS billing and goods movement types are defined in the POS inbound profile in SPRO >Sales & Distribution > POS Interface > Inbound.
    There you make the decision whether to post individual receipts using WPUBON (> Control Sales as per Receipts) or aggregated sales using WPUUMS (> Aggregated Sales Control). There you define, in the Processes sub-screen, parameters for Billing & Inventory Management, movement types and billing document types with correspondning pricing procedure.
    Both these message types trigger billing and post goods issue during inbound processing by assigned function module.
    That's all there is to it.
    Hope that helps.
    Cheers,
    Tomas

  • How to check the sales stock of an article in SAP Retail

    Hi SAP Leaders,
    I just want w how can i check the sales stock of an article in SAP retail.
    I have to archive the sales stock of an article. IN WSE1 , it showed the article cannot b be archived as there are open sales stock. HOw can i check the sales stock of an article in SAP Retail and archive it finally.
    Regards.
    SS

    Hi sumi,
                 pls check Material Stock ALM_ME_090_CUST_USER and * ACBAPI01 EXIT_SAPLACC4_001 Accounting: ... material master (Retail) * MGV00003 ... Enhancement for article master: IDoc ... Changes in the Workflow Parameters ... 41. PROACT Stock and sales data * ... EXIT_SAPLWPUE_105 Check.
    Regards
    Sridhar

  • In SAP Retail, How can a sale Org be assigned to a purchase Org?

    Hi, All
    In SAP Retail, How can a sale Org be assigned to a purchase Org? This cannot be found in IMG.
    Thanks.
    Best Regards
    Jiande Ding

    refer to:
    assignment of sales organization to purchasing organization

  • Split Valuation in IS Retail

    Hi All,
    Can we activate split valuation in IS retails server ?
    I did all the config and while creating new article i entered valuation category. How to create different valuation types for this article ? When i tried to create new val type using MM41 for this articel, system is giving error as Article is already created.
    How to do this ?
    Is there any difference between ECC & IS Retails for split valn ?
    Regds,
    CB

    Hi,
    Split valuation can be done in IS Retal. To do split valuation you need to some configuration settings and need to maintain the valuation category in article.  valuation type characterizes one of the possible types of stock for a certain valuation category. Default valuation types can be defined for a valuation category.
    This affects the valuation type that is to be entered in a purchase order. If you want to carry out split valuation for an article, you enter a valuation category in the accounting data of the article. This defines which valuation types can be specified.
    The cogig steps for split valuation are same in ECC and in IS retail.
    Valuation type need to be defined in SPRO,MM, VALUATION AND ACCOUNT ASSIGNMENT, SPLIT VALUATION, Under this          1. activate split valuation 2. define valuation types 3. define valuation categories 4.Assign val.types to val.catagories with plant combination. I hope this will resolve your issue. Thanking you.

  • Sales BOM Split Valuation Routine

    Hi,
    I do have Sales BOM, I do have split valuation in place.  How to Standard cost a Material which has only Sales BOM and do not have a routine etc.  In procurement alternative, what are the necessary entries I have to make, if this is to be costed.?
    Kindly clarify.
    Ashok

    Hi
    IMG > Controlling > Prod Cost Contr > Cost Obj Contr > Prod cost by sales order > Control of sales order related > Req Classes & req Type
    In Req class - You have fields like Costing ID, Costing method, etc which would determine whether SO cost estimate is to be run or not
    Also, you have field VALUATION in req class - which specifies whether to valuate the inventory based on SO cost estimate or not
    The Link is Account Assignment Category assigned to Req class; req Class to Req Type AND
    Req Type is either assigned to SD item category OR to PP MRP Group / Strategy group
    Hope this helps
    Regards
    Ajay M

  • Reports at POS & SAP Retail System

    Hi Experts
    What are all reports run POS and SAP Retail System at end of the day..
    How the reports are run at POS and SAP System?
    Thanks for your time
    vijaya

    Hi Experts
    What are all program run in POS & Retail System at EOD
    Regards
    Vij

  • IS Retail - POS sales and return movement type issue

    Hi,
    We are facing issue whlile doing POS sales and return, when sales transaction data transfer to ECC from POS its create Idoc and material document.
    When I look the material document for sales its showing movment type 252 instead of 251, as same in return material document 251 instead of 252,
    When I look the cofiguration settings are perfect in SPRO.
    How to resolve this issue and what changes need to be done
    regards
    Satish

    Satish,
    Check following IMG settings;
    IMG - Sales and Distribution - POS interface - inbound - Aggregated Sales Control
    IMG - Sales and Distribution - POS interface - Inbound - Movement type-dependent control of sales as per receipt
    Bye - Muralidhara

  • Business process reg. SAP in retail or multichain sales

    Hi,
    Can u tell the business process reg. SAP in retail or multichain sales ?
    RAAJ

    Hello László,
    in a nutshell BPM Netweaver is focussing on so called edge-processes (usually
    SOA-based and often workflow related). These edge-processes a thought to enhance exisitng core business processes and should provide the fast competitive edge versus competitors. Examples would be also xApps. For this Netweaver provides process modelling tools, where you can get exectuable code through the integration between CE and PI. The monitoring part for these processes is mainly targeting business end-users and business manager.
    Business Process Monitoring with Solution Manager focusses on core business processes which are realized with the "conventional", "old"  SAP Architecture, e.g. Order-to-Cash or Procure-to-Pay. You get a combination of technical monitors (average response times of transactions, background job runtimes, monitors for IDOC or qRFC processing) and application related monitors (you get more than 200 pre-configured application monitors out-of-the-box like number of overdue customer orders or outbound deliveries or number of deliveries with goods issue posted but no invoice). The target group here is the support organization of the customer, from Basis-Support over application support on IT side to process owner on business department side.
    Overview presentations can be found under
    https://service.sap.com/bpm --> Media Library --> Customer Information -->
    "Business Process Monitoring - Part 1 & 2".
    Or look under https://www.sdn.sap.com/irj/sdn/nw-processmonitoring
    In the end BPM Netweaver and BPMon SolMan are complementary for different purposes and different target groups.
    Best Regards
    Volker

  • Retail POS Liability Transfer

    Hi Everyone,
    Kindly Anybody let me know what is liability transfer concept in Retail POS implementation.
    as my client is implementing legacy POS to SAP.
    i dont know what exactly a liability transfer is and as a FI Consultant what i need to do in that.
    Kindly help me ount in this
    thanks inadvance.

    Hi Venkat
    Interaction with POS means :-
    1. SAP IS Retail - exchanges data with POS - ( th'o POS Outbound )
    i.e All the master data from IS Retail gets downloaded to POS. For E.g - Article data - like EAN, Price, Tax, Merchandise Category Data etc.
    2. Similarly - Once the day end happens - POS Inbound can be configured to send data Back into SAP Retail ( For Relevant Postings ) -  For e.g - Aggregated Sales Data, payment List etc .
    Both 1 & 2 are Mandatory Activities for Data Exchange to happen.
    Every Store -  will have Partner Profiles ( POS Outbound & POS Inbound )
    Further details are available @ http://help.sap.com/saphelp_erp2005vp/helpdata/en/0f/7af634b576bc4ee10000009b38f83b/frameset.htm
    Hope the above information helps.
    Award points accordingly.
    Best Regards,
    Andy

  • Retail pos   intaraction

    hi
    anybody explain about intaraction with retail POS
       what is that and why we need in sap
    regards
    venkatareddy

    Hi Venkat
    Interaction with POS means :-
    1. SAP IS Retail - exchanges data with POS - ( th'o POS Outbound )
    i.e All the master data from IS Retail gets downloaded to POS. For E.g - Article data - like EAN, Price, Tax, Merchandise Category Data etc.
    2. Similarly - Once the day end happens - POS Inbound can be configured to send data Back into SAP Retail ( For Relevant Postings ) -  For e.g - Aggregated Sales Data, payment List etc .
    Both 1 & 2 are Mandatory Activities for Data Exchange to happen.
    Every Store -  will have Partner Profiles ( POS Outbound & POS Inbound )
    Further details are available @ http://help.sap.com/saphelp_erp2005vp/helpdata/en/0f/7af634b576bc4ee10000009b38f83b/frameset.htm
    Hope the above information helps.
    Award points accordingly.
    Best Regards,
    Andy

Maybe you are looking for

  • Windows 8.1 will not get Forefront Client Updates from WSUS

    Recently I noticed that my Windows 8.1 clients were not getting updates from WSUS 3.2.  After some searching I found it was an issue with HTTPS and the solution was to disable HTTPS or enable TLS.  So I enabled TLS on the Server 2008 R2 WSUS server a

  • How to handle Invalid characters in BI 7.0

    Hi , Due to lower case letters in ODS ,DTP got failed ,we have replaced with Upper case letters in PSA,but how to load failed request from PSA to data target thru DTP as here we don't get option to reconstruct the failed request from PSA.we have dele

  • Creating .pdf file from images organized in chronological order

    I have many sets of old scanned .TIFF files pertaining to corresponding documents that I would like to get organized into .pdf files. The problem is that these files were given random names when they were scanned into a proprietary database. However

  • Rewriting a Access SQL-query to get it working in JDBC?!

    The following select-query works for me in Access: SELECT * FROM aWoord WHERE Woord LIKE 'a[!f,p][!n][a-z][a-z][a-z]'; aWoord contains 6-letter woords starting with a. But when I use this in Driver driver = new JdbcOdbcDriver(); Properties info = new

  • Laptop won't start after cutting out during an update

    Dear All, My laptop cut out during a software update (I think the battery died, although the screen readout said I had plenty of life left) and since then it won't start up. When I turn it on it just goes to the grey screen with the apple logo and th