Storage location bin

Hi all,
As per the requirement of client without using warehouse management can we do this
Component store has divided according to six product vertical. Then Each product vertical divided into almirahs.
Then almirah has divided into blocks or there are some crates.
Now the client wants to see his physical location & stocks as per the bin into the SAP system.
How we can handle this & meet the client's requirement.
If we use the warehouse management then how much config. & transaction has to be done.Cause i don't know regarding warehouse management
Regards
dinesh

Hi,
If you check in Material master in Plant/stor Locn. data tab you will see a 'stoarge bin' field. That field serves just as a label during MIGO to know where exaclty the goods are placed. This storage bin is Non WM field though. Try using this field by providing ur naming conventions for bins.
Amit

Similar Messages

  • Reg Storage location control when pulled materials via fixed bin replenishm

    We are Using Storagelocation Control Functionality in WM
    We have below Storage locations
    RW01 - Raw Material Storing
    PD01 - Materials staged for Production Lines
    I have setup RW01 as Standard Storage location and PD01 as 'not copied to TR'
    When i try to do bin to bin tranfer raw material to production lines From Bin in RW01 to Bin in PD01, TO has RW01 as expected, i Run posting change background job and this functionality is working fine
    We would be using Fixed bin replenishment strategy to stage materials for productions from raw materials storage
    I run LP21 for PD01, it has created TR but has storage location PD01 instead of RW01.
    PD01 shouldnt have copied as i have set 'Not to be copied to TR' for PD01
    Fixed bin replenishment doesnt support storage location control? does we need to go for customization ?
    Please help

    Please help
    Bin to Bin is working fine as per storage location control functionality set-up
    We have issue with fixed bin replenishment combined with storage location control
    Please share your inputs, Thank you
    While debugging we relaixed SAP doesnt check storage location control config at all while doing fixed bin replenishment, only custom solution to force system to check storage location control config and assign storage location is TR?
    Edited by: Sasi nagireddy on Jul 18, 2011 8:34 AM

  • Transfer stock from Storage Location to Bin

    Dear All,
    what is the procedure to transfer stock from Storage Location to  Bin  ( T.Code and Mov.Type)
    waiting for your Reply
    with best regards
    Suman

    Dear Kiran
    Thnaks for your reply
    Im doing Process as below...
    T.Code:LT01
    click on Transfer Order ( Header)  select WITHOUT REFERENCE
    WHNO: CWH
    MOV.TYPE:999
    MATL:
    QTY:PLANT:
    S/L
    NEXT SCREEN
    DESTINATION
    ST.TYPE:
    STORAGE SEC:
    BIN NO:
    AFTER PRESS ENTER SYSTEM GIVE BELOW ERROR MESSAGE
    "CANNOT FIND SOURCE STORAGE BIN"
    AFTER THAT IF I ENTERED 
    FROM
    ST.TYPE:
    STORAGE SEC:
    BIN NO:
    THEN SYSTEM GIVES ERROR MESSAGE
    STORAGE TYPE XXX DOESNOT ALLOW NAGATIVE STOCK FIGURES
    EVEN IN STOCK OVER VIEW MATL. IS AVAILABLE
    PL. CORRECT IF IM WRONG 
    with best regards
    Suman

  • Fixed "Default" Storage Bin per Storage Location

    Hi all,
    I have a Storage Location (1234) with only one Storage type (FIX) and one Storage Bin (FLOOR).
    What I want is all materials should go (when receiving) to this Storage Bin.
    I have configured the Putaway strategy for the Storage Type "F - Fixed bins"
    But it's not working. The system is always considers the Next empty bin strategy.
    I don't want to make the storage bin fixed per Movement type or per material...The same material can be maintained in different storage locations.
    Thank you
    Best regards,
    Kifah Yacoub

    Hi,
    a storage location never has a storage type.
    If you have a storage type and this has one one bin, why don't you use the strategy "Open storage". Then only that one bin is used. of course you need to allow "addition to stock" and "mixed storage" with all consequences.
    If you used "fixed bins", you also have to assign the bin to all the materials.
    Brgds
    Juergen

  • Split storage locations into bin locations

    Hi,
    Is it possible to split storage locations into bin locations without using warehouse management?
    Regards,
    Shiyam

    Hi,
    You can set up as many storage locations as you need and so COULD have one storage location for each BIN (there is only a one-to-one relationship and so you can't use multiple bins in the same location without WM).
    But if you have lots of BINS then you should really be using WM.
    Steve B

  • Storage Location Control and ATP

    Hello Experts,
    I have activated the storage location control for the putaway process and is working fine for MM and WM perspective. The following are happening without any problem:
    1. Doing a GR to the virtual Storage Location and this storage location is blank in TR.
    2. The stock from the virtual storage location is considered in MRP while planning.
    3. TO creation from TR and doing putaway in real storage bin and Transfer posting 311 at IM level.
    The requirement is: The stock from the virtual storage location should not be considered in the ATP while creating a sales order. At the moment, ATP is considering this stock as available and confirming to a date immediately but in reality it should not up until the putaway is complete. And I think this is the sole purpose of having Storage Location Control in place.
    I did my research in this fourm and looked at the Warehouse Management Guide and it says "This means that for the duration of the putaway process, the stock for putaway is either not visible at all or clearly visible as stock that can not be picked, depending on the configuration of the availability check."
    Can someone help me understand what to check or uncheck in ATP? Or should I post this question in the ERP-SD forum?
    Appreciate you help.
    Regards
    Narottam

    Hi,
    I believe your mistake is here:
    "800 K15 0800 8001 411 check box is checked "
    The combination should read
    800 902 0800 8001
    The storage type is the interim storage type, that is where the posting shall happen. And if you leave out the check box it happens automatically.
    But why movement type 411? This usually should be 311.
    Best regards
    Juergen

  • Storage Location Naming Convention without WM!

    Dear all
    We are facing serious problem in our Storage Location for Raw Material.
    We have 4 types of Raw Material Seating (S), Panel (P), Metal (M), Wood (W). And they are all stored under Storage Location: RWSL.
    Requirement:
    Although we have visual guideline as to which industrial rack will store the type of Material, it is insufficient. We need a more refined storage location down to which BIN of the rack we will put the Raw Material.
    Due to limited time and resource, we cannot have WM implemented right now. Thus, we have come out with 2 alternative to overcome this problem:
    Alternative 01:
    We will use the Fixed Bin field in Storage Data 02 by putting the Bin number assigned to each Rack.
    E.g. For Seating material code:SEAT01, we will maintain the Fixed Bin as R12A01/A02, it means this Seating material SEAT01 will be stored at Rack 12, fixed bin A01 or A02.
    Question to Alternative 01: Will it cause problem in GR, GR, Transfer Posting and Stock Count?
    Alternative 02:
    Instead of going into details to put Fixed Bin field in Storage Data 2, we will abandan the existing Storage Location RMSL by introducing new format for Storage Location
    Here is the example of Alternative 02:
    For raw materials, we will use 4 digits location numbers, consistent with other Storage locations, the 4 digits storage location will start with u201CR _ _ _u201D to represent each location
    And,
    R _ _ _ is:
    R = Raw materials
    2nd digit = Division (S= Seating, P =Panel, W=Wood, M=Metal and W=Wood)
    3rd digit = Rack Number (A, B, C, Du2026 and etc.)
    4th digit = Rack Zone - each rack will broken down into zone, each rack can possibility have 2 to 3 zone. 1 Zone can be 1 colume of the Rack
    An example of a possible location and its meaning will be
    RSA1 = Raw materials warehouse, Seating division, Rack A, Zone 1
    RPB3 = Raw materials warehouse, Panel Division, Rack B, Zone 3
    The challenge of this is that instead of having 1 Raw Material Storage Location like RMSL, we will have a lot more storage locations each for division of Raw material due to the Rack Number we have as well as the Rack Zone.
    Question to Alternative 02:
    If we use this alternative, will it impact our future implementation of WM? From design wise, is it feasible?
    Please advise what is the best approach and the feasible design on it.
    Many thanks in advance.
    Edited by: Daimos on May 13, 2009 10:15 AM

    Hi, here is the Pro and Co of both approaches:
    Method 01: Use existing SLOC and add the Storage Bin info
    e.g. SLOC: STM1
             Storage Bin: RSC3, where RS = Rack Seating, C3 = column 3
    Pro 01:
    It will cause less effort as we only need to use LSMW for material master to add in the Storage Bin data for all material of SCM.
    Pro 02:
    I have tested out that in TCode MIGO, apart from SLOC, the pertaining Storage Bin data also appear.  Based on my discuss with Xian Chen, sometimes they use MB1C(GR), MB1A(GI) rather than MIGO due to speed issue, I will need to check the field status if can have Storage Bin field APPEAR, if can, it will solve the problem
    Con 01:
    The Storage Bin information will only appear in MMBE (Stock Overview) but will not appear in the standard SAP Inventory Report (e.g. MB52 Warehouse Stock). To view it from SAP Inventory Report, we may need to customize the standard report to show the new field Storage Bin. It needs Abap effort.
    Con 02:
    We must have a very good naming convention for Storage Bin. And again, in the above example, if a material is put in SLOC STM1 at Storage Bin RA A1 or C4, it will set a very rigid rule in the future if we need to change it, as I fear that one the Storage Bin has been used up. It will not allow us to change (need to do testing to find out)
    Con 03:
    Do we have the time to define all the Storage Bin for each SLOC? Operation wise, the store personnel needs to design it
    Method 02: Use the new SLOC
    Pro 01:
    RSA1 = Raw materials warehouse, Seating division, Rack A, Zone 1. More organized. Easy to tell the material is at which  Rack and which Zone of the Rack.
    Assumption:
    01. we must not have too many rack for one Seating division and also not too many Zone for each
          Division, else it will cause confusion
    02. 1 material should stick to 1 Rack 1 zone as much as possible, else later the PP consultant will 
         have hard to to perform GI due to too many SLOC assigned to a material.
    Pro 02:
    In report wise, we are able to show the SLOC in inventory report. No need to enhance the existing inventory report as we do not use Storage Bin.
    Con 01:
    If there are too many SLOC creation due to it. It may cause problem for PP perform GI as too many selection available for a material. This can be avoided if stick to the General Rule that one material is tied with one SLOC.
    Edited by: Daimos on May 16, 2009 5:07 AM

  • Storage location and post.chge storage location not in the same warehouse

    Hi All,
    We have HU managed Storage Location, and in this Storage Location we have SUT managed Warehouse, Now while Goods Receipt we have to create inbound delivery, which is working fine and i can see my stock in Goods receipt area,, later on whicle creating Transfer Order to putaway in a bin i have a error message "Storage location and post.chge storage location not in the same warehouse" please help me with this error message. Thank you for all your inputs.
    Regards
    Samuel

    Hi Nagesh,
    Thank you for the input. I am receiving Stock from vendor and while creating Inbound delivery i created the Handling Unit and also packed it and i could also post it (PG Receipt). Now when i am creating TO i have that error message. The Storage Location where i am receiving is 9001and i have also maintained the partner Storage location,,, its like this Plant(1000)-SLoc(9001)-Partner SLoc(9002).... now the Storage Location 9002 is not HU managed,, the reason i gave this Storage location is, initially i gave 9001, but system said "Storage Location 9001 and 9001 must have different management systems". So now kindly tell me what is the purpose of the partner Storage location and which storage location should i give, as my partner Storage location across "1000-9001-????" thank you again for ur inputs.
    Regards,
    Samuel

  • Storage Location

    Dear all
    Storage Location wise Identification in SAP (Storage bin Activation), we have already started physical stock taking storage bin wise and we would like to incorporate in SAP, How we can do it
    Regrads
    Manoj

    Hi,
    U can use fixed storage bin concept by using lean WM.
    Regards,
    Ramakrishna

  • Storage Location or Storage type

    Hi Experts ,
    Here is the complete scenario .....
    <b>W1</b> -- Warehouse1 which has Supplies and Pharma
    <b>W2</b> -- Warehouse 2 which has Supplies and Equipments
    <b>W3</b> -- Warehouse 3 has Pharma only
    <b>W1 and W3 are in one Physical structure with partition
    W2 is across the road...</b>
    1. Supplies move from W2 to W1 when supplies go low in warehouse 1 (W1) this is <b>done almost daily</b> .
    2. Supplies from W1 are moved to W2 if there is any overflow or supplies come in excess which happens <b>few times a week</b>.
    3. We have  <b>3 shipment points</b> where they perform shipping and receiving each for W1,W2 and W3.
    4. we have 6 staging spots for staging of international shipments on W1
       and we have about 10 staging spots in W2 ....We need to know the exat location of where the shipping pallet is located for compliance purpose (Inspection )
    5. Most of the receiving is done in <b>W1 (about 85 %) </b>where it is inspected , arranged and then put away is done accordingly ....
         If the shipment contains only equipments or Beds then its received  in W2.
    6. When there is an<b> overflow of Pharma in W1</b> then some of the supplies in W1 are removed and put in W2 so that they get space for Pharma storage .....
    7.  Warehouse 3 (W3) has high value  Pharma, basically used for domestic shipments (in US) or the pharma products which dont have space in W1.
    8..  Moving of Pharma products for storage  from <b>W3 to W1  happens rarely</b>;
    9.  Moving from W1 to W3 happens <b>almost daily</b> ..cause when ever the products get over in W3 then they move it from W1.
    10.  Picking for international shipments takes place from W3 and W1 and are shipped from W1 in big Pallets.
    11.  When they receive the product in Big pallets in W1 some pharma products go to W1 and some in W3 , depending on the value .
    12.   Some times the domestic Shipments are in  large quantity so its taken  from W3 to W1 and staged for shipment in W1.
    13.  Domestic (within US) shipments is done through Fed Ex ....which is <b>done daily ....</b>
    My Question is will it be wise to
    <b>OPTION 1:</b>make these 3 warehouses into <b>3 storage locations.</b>..(1 plant >3storage locations>1 warehouse )or
    <b>OPTION 2:</b> is it wise to make these 3 warehouses into <b>3 storage types ......</b>  (1plant --->1 storage location --->1 warehouse -
    >3 storage types -->1 section under each storage type )
    Will there be any problem to define <b>shipping point,carry physical inventory,stock transfers and work with RF devices</b> in future if i choose<b> option 2 </b>
    Your Advise is precious to me ....Please do let me know the <b>pros and cons</b> .....for options ..above ....
    Regards
    Albert

    Hello Albert,
    It's always suggested to have very simple organization structure so we can avoid extra transaction.
    Now in your case, if you define three Plant/SLoc/warehouse then you are going to end up with more and more transactions at inventory level and followed by warehouse transactions.
    I suggest to have one Sloc and one warehouse for this kind of organization and maintain different storage type for each physical location. This will reduce the IM level transactions. Now when moving material from one facility to another facility you can maintain one more storage type for the Transport Equipement (i.e. Cart/Forklift etc) so when you move from W1 to W2 at that time you can do bin to bin transfer.
    Also you want facility for overflow in one facility so this can be achieved with allowing two storage type for putaway.
    for different kind of Supplies and pharma, I am sure you will plan different material type for them so that will help to get reports for each category.
    Hope this helps.
    Regards
    Arif Mansuri

  • While doing delivery batch is showing in two storage location

    Dear All,
    I have following senario in WM:
    First I will create Packing order for my End product, here batch will generate.
    For this Material Quality is active that is Insp type 04.
    Here i will do LT10- I will transfer to Final Bin that is Finish Goods storage location say SL01.
    After this i will go for QA32 and here I will cleare the quality and transfer to FG storage location SL02.
    Now i will check the stock for the batch. but here i am observing the stock for the batch one is with stock indicator with 'Q' and one more stock without 'Q'
    Now I want to delivery the material how i can delivery? here i am getting that material in two starage locations SL01 and SL02.
    here which one i should consider for delivery.
    Please guide.
    Thanks in advance.

    Are you talking aobut storage locations or storage bins?
    First I will create Packing order for my End product, here batch will generate.
    For this Material Quality is active that is Insp type 04.
    I guess this posts the receipt into Q status in storage type 901 with dynamic bin of the packing order.
    Here i will do LT10- I will transfer to Final Bin that is Finish Goods storage location say SL01.
    So you move your goods while they are in Q-status.
    After this i will go for QA32 and here I will cleare the quality and transfer to FG storage location SL02.
    Now i will check the stock for the batch. but here i am observing the stock for the batch one is with stock indicator with 'Q' and one more stock without 'Q'
    QA32 resets the Q-status at IM level.
    If you have not yet changed the status in WM too, then you transfer just unrestricted use stock to your final bin, hence you have your batch in to different bins, one with with q status and one with unrestricted use status.
    You have to execute LU04 to process the status transfer as well in WM.  This will then clear the situation. Best is to o this before you move stocks.
    Now I want to delivery the material how i can delivery? here i am getting that material in two starage locations SL01 and SL02.
    here which one i should consider for delivery.
    you can only consider unrestricted use stock in the bin where the material physically resides.

  • Cycle count error "HU 100201 not in an HU-managed storage location" in LX26

    Hi,
    I get the following error message "Handling unit 1000020118 is not in an HU-managed storage location" When i try to initiate a cycle count for a bin through LX26 Tcode. Kindly advice about the cause of the problem and how I can fix it.
    Thank you for reading

    I am not sure but it probably is not, sorry looks like i posted this on the wrong forum

  • Has anyone picked materials from one storage location but confirmed TO to different storage location?

    The business does not want to use MRP areas to segregate materials between service part and production. What they want to do is separate service parts on deliveries at our shipping storage types (915/916) from MRP view. This requirement is primarily for our international shipping area. We may pick parts for an international shipment and the parts will sit on the delivery - not goods issued because we don't want to invoice - for up to 3 months. During that time, MRP sees the inventory so replenishment is not done in a timely fashion or parts may get stolen from the shipment for a production requirement because the inventory is seen.
    Could one solution be to create a non-MRP relevant storage location (say 1200) and place the shipping storage types in this storage location?  Then when the transfer order creates, the system would show the source to be from the MRP relevant SLoc (1100), stype (130), bin (A-01-A), - these are examples - with the destination to be to non-MRP relevant SLoc 1200, stype 915, bin (dynamic using the delivery number) 0080745298? Has anyone had this type of request or know of a way to satisfy the business requirements without different MRP areas? They also do not want to have two transfer orders - one with a 601 movement and one with a 311 movement.
    Any known solutions or outside-the-box thinking would greatly appreciated.
    Marla

    I don't have the solution, just some critical questions and hints
    Even a non-MRP relevant storage location can be warehouse managed.
    The stock is shown in any stock list as long it is not goods issued, no matter if it is stored in a
    non-MRP relevant storage location.
    Stock that is picked for a delivery is not available for others, it is reserved. A delivery is a MRP element and hence should be taken into consideration in the planning run.
    A non-MRP relevant storage location will only solve your planning issues if you move the material there if it is not yet picked  and allocated to a delivery.
    Do your thieves really use SAP to check if the stock is there, or do they just see the stock in the warehouse? As said, the non-MRP relevant storage location will not solve this issue since the stock is still visible.

  • How to change the storage location using BAPI_OUTB_DELIVERY_CHANGE

    Hi !
    I want to do batch split in the delivery using BAPI_OUTB_DELIVERY_CHANGE.
    Can anyone tell me how to pass/change the storage location of each batch item.
    Is there any other BAPI that can do the batch split and populate the storage location also for the split batches?
    Regards,
    Firoz.

    Hi all,
    BAPI_OUTB_DELIVERY_CHANGE  can be used to do batch split and updating storage loaction against each item of an outbond delivey.
    I have done that in the folllowing way:
    1 > Firstly i have updated the storage location for each delivery item using 'BAPI_OUTB_DELIVERY_CHANGE' passing some mininal parameters.
       Fetch the item details from LIPS table based on the outbound delivery and pass the corresponding fields to item_data, item_control  and item_data_spl parameters and passed into intenal table li_lips.
    Loop at li_lips inti lw_lips.
        lw_item_data-deliv_numb           = lw_lips-vbeln.
        lw_item_data-deliv_item             = lw_lips-posnr.
        lw_item_data-material                = lw_lips-matnr.
        lw_item_data-fact_unit_nom      = lw_lips-umvkz.
        lw_item_data-fact_unit_denom  = lw_lips-umvkn.
        lw_item_data-base_uom            = lw_lips-meins.
        lw_item_data-sales_unit            = lw_lips-vrkme.
        lw_item_control-deliv_numb      = lw_lips-vbeln.
        lw_item_control-deliv_item        = lw_lips-posnr.
        lw_item_data_spl-deliv_numb   = lw_lips-vbeln.
        lw_item_data_spl-deliv_item     = lw_lips-posnr.
        lw_item_data_spl-pick_denial   = 'X'.
        lw_item_data_spl-stge_loc       = v_lgort.
    "(This would be your Storage Location which you want to be updated)
    Appending work areas into internal table to pass as parameter
        APPEND lw_item_data_lgort     TO li_item_data_lgort .
    Appending work areas into internal table to pass as parameter
        APPEND lw_item_control_lgort  TO li_item_control_lgort.
    Appending work areas into internal table to pass as parameter
        APPEND lw_item_data_spl_lgort TO li_item_data_spl_lgort.
    endloop.
    Passing the delivery no in the work area of header data
      lw_header_data-deliv_numb           = v_delivery_no.
      lw_header_control-deliv_numb       = v_delivery_no.
      lw_header_tech_control-upd_ind   = 'U'.
    Calling BAPI to change the Storage location
      CALL FUNCTION 'BAPI_OUTB_DELIVERY_CHANGE'
        EXPORTING
          header_data       = lw_header_data
          header_control   = lw_header_control
          delivery               = v_delivery_no
          techn_control     = lw_header_tech_control
        TABLES
          item_data           = li_item_data
          item_control       = li_item_control
          return                 = li_return_change
          item_data_spl    = li_item_data_spl.
    Calling BAPI to committ the task
        CALL FUNCTION 'BAPI_TRANSACTION_COMMIT' .
    2> Then i have used the same BAPI again 'BAPI_OUTB_DELIVERY_CHANGE' to do the batch split/update batch only(if required) and change the Actual Delivered Quantity.
    Here you have to pass the same thing along with actual delivery qauntity and different batches to do batch split.
    Here it is assumed that Batch numbers, actual delivered quantity are coming from an internal table i_lqua.
    Looping through Internal table to get Bin details
      LOOP AT i_lqua INTO w_lqua .
    Clearing work area before use
        CLEAR : lw_item_data, lw_lips, lw_item_control, lw_item_data_spl.
    Reading table comparing metrial number
        READ TABLE li_lips INTO lw_lips
        WITH KEY matnr = w_lqua-matnr BINARY SEARCH.
    If read is successful, passing values from table
        IF sy-subrc EQ 0.
    Passing the delivery details into Item level table
          lw_item_data-deliv_numb              = lw_lips-vbeln.
          lw_item_data-deliv_item                = lw_lips-posnr.
          lw_item_data-material                   = lw_lips-matnr.
          lw_item_data-batch                       = w_lqua-charg.
          lw_item_data-dlv_qty                    = w_lqua-verme.
          lw_item_data-dlv_qty_imunit         = w_lqua-verme.
          lw_item_data-base_uom               = w_lqua-meins.
          lw_item_data-hieraritem                = lw_lips-posnr.
          lw_item_data-usehieritm                = 1.
          lw_item_data-fact_unit_nom          = lw_lips-umvkz.
          lw_item_data-fact_unit_denom      = lw_lips-umvkn.
          lw_item_data-sales_unit                 = lw_lips-vrkme.
          lw_item_control-deliv_numb           = lw_lips-vbeln.
          lw_item_control-deliv_item             = lw_lips-posnr.
          lw_item_control-chg_delqty           = 'X'.
          lw_item_data_spl-deliv_numb        = lw_lips-vbeln.
          lw_item_data_spl-deliv_item          = lw_lips-posnr.
          lw_item_data_spl-stge_loc            = w_lqua-lgort.
          lw_item_data_spl-pick_denial        = 'X'
    Appending work area into internal table to pass as parameter
          APPEND  lw_item_data TO  li_item_data.
    Appending work area into internal table to pass as parameter
          APPEND lw_item_control TO li_item_control.
    Appending work area into internal table to pass as parameter
          APPEND lw_item_data_spl TO li_item_data_spl.
    Clearing work areas after use
          CLEAR : lw_item_data, w_lqua,lw_item_data_spl,lw_item_control,
                        lw_vbpok, lw_lips.
        ENDIF.
      ENDLOOP.
    Passing the delivery no in the work area of header data
      lw_header_data-deliv_numb           = v_delivery_no.
      lw_header_control-deliv_numb       = v_delivery_no.
      lw_header_tech_control-upd_ind   = 'U'.
    Calling BAPI to change the Batch/Batch-Split/Delivery Quantity
      CALL FUNCTION 'BAPI_OUTB_DELIVERY_CHANGE'
        EXPORTING
          header_data           = lw_header_data
          header_control       = lw_header_control
          delivery                   = v_delivery_no
          techn_control         = lw_header_tech_control
        TABLES
          item_data                = li_item_data
          item_control            = li_item_control
          return                     = li_return_change
          item_data_spl         = li_item_data_spl.
    Calling BAPI to committ the task
        CALL FUNCTION 'BAPI_TRANSACTION_COMMIT' .
    This is the only way which i found as better way to do the Batch split and updating storage location togetherly.
    I hope this code will help you.

  • Multiple receivng storage locations on Reservation (movement type 311)

    Hi
    We have a requirement where we create a reservation document either using BAPI or BDC (MB21). At the time of creation we require to maintain different receiving storage location on the reservation. Currently SAP allows to maintain receiving storage location on the header field RKPF - UMLGO only and then copies the same value on all line item field (RESB-UMLGO)..The line item field is not editable or set as I/O field therefore working on finding a user exit or BADI to update fields RESB - UMLGO in background. Has any one had this requirement and in case yes can you please advise how was this addressed.
    Thanks
    Lokesh

    Hi,
    If my understanding is correct. You want to transfer post a stock of material from one storage location to another ( IM perspective ) and from one bin to another bin belonging to different storage types but same plant ( WM perspective ).
    As this transfer posting does not involve any Sales order what is the logic behind the selection of movement type 311 E.
    I hope you can very well make use of 311 movement type for the transfer posting in IM which will lead to the generation of a PCN in the WM side. On confirming the same you will be able to do the reflection of Transfer posting in WM side also.
    I would suggest you to follow the above steps.
    1) First check the transfer posting 311 E which you have already completed a PCN in the background. If it is availble, just try to confirm the posting Change notice which will clear off the negative entry and a correponding postitive entry in the receiving storage type.
    2) In case if the system have not generated the PCN, then better to cancel the material docuemnt and re do the transfer posting to carry out the process from the start with the movement type 311 which will yield a PCN which can be confirmed to see the stock in the required storage type and in the respective bin accoring to the strategy set.
    Regards,

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