Storage Location valuation level

Hello all,
We are using moving average price (MAP) at plant level valuation. We have several Storage Locations assigned to the same plant. We have several Client non-valuated goods-receipt at Storage location. That increases the quantity, but not the value. Therefore, of course those actions
changes the MAP. We are not using batches or WM module.
How can we not change the MAP without using batches? Is that possible to put a valuation level at storage location?  
Can anyone help us to solve this problem?
Thank you in advance very much!
Best regards,
Pedro Grabulho.

No you do not have to change OU which is plants in your case.
1. The procedure is to activate split valaution using OMW0(zero) t-code, which is active in your case, I guess.
2. Define Global Valuation Type. You can define Storage locations here or it can be any thing else. Use T-code OMWC. (BTW, every time you add one storage location, you have to make appropriate changes here also, It is not like your storage location becomes valuation type)
3. Define Global Valuation Categories.
4. Attach Categories to OU. (OU can either be Plant or Company code, there is no 3rd option). You can atttach in one or more OU(plant)where you want it active. 3rd & 4th steps are in the same T-code OMCW.
5. Using the MM01 now extend the material to the newly created Valuation Types. (Accounting 1 view)
Thanks,
Ashish

Similar Messages

  • Stock valuation down to Storage location level

    Dear all,
    System setup for stock valuation is till Plant level. And understand that's how data stored in table MBEW and MBEWH until plant level only.
    Eventhough that is system standrd, is that possible to get the stock valuation until Storage location level?
    For eg: In MB5B, there is opening stock, closing stock and the material movement posting. I need to get opening and closing stock for each storage location.
    Could you please comment if there are tables store these data? Kindly comment.

    Hi Afshad Irani,
    Thanks for your reply. Understand from the previous post that stock valuation for storage location can be done via table MARDH or report MC.9, but this tools are excess base on period/month basis.
    My case, i need to report storage location stock for both (1)last month 06.2010 and (2)yesterday's stock 06.07.2010. So i can use MARDH table to report (1)last month stock for each storage location. While for (2) yesterday stock, table MARDH isn't help.
    Could you please advice further?

  • Stock report in BW (valuated stock and Storage Location level)

    Dear All,
                Regards.We got an situation here,
    Case 1:  R3 (MB5B) (Both "Storage loc" and "Valuated stock" shows the same Stock Qty)
    1).The BW Stock Report shows values the Correct Values for "Receipt Qty" and "Issue Qty" with the Correct  "Quantity total Stock" aswell.
    Case 2 :   R3 (MB5B) (Stock is different between "Storage Loc" and "Valuated Stock")
    1).The BW Stock Report shows the  "Quantity Total Stock according to VALUATED STOCK Level(MB5B),but  the "Receipt Qty" and "Issue Qty" according to STORAGE LOCATION Level(MB5B) .
    We followed the "How to Handle Inventory "Doc with the proper sequence of Loading of Infosources and Compression.The data is sitting fine at the cube level.
    It would be great if someone can throw some Light on this issue,on how the Query shows a COMBO of both Valuated stock and Storage Location stock....Held up with this issue for quite sometime..Had a look at the   Oss Note (589024)...........
    Manythanks
    Arun

    HI,
    In Inventory we have two quantity fields given to satisfy the requirement.
    Valuated stock Qty - 0VALSTCKQTY
    Storage Location qty - 0TOTALSTCK
    You can make use of them based on your requirement. Hope this helps for you.
    Thanks,
    Arun

  • Valuation at Storage Location Level

    Dear Experts ,
    We need to transfer Stock from Storage Location to another Storage Location. MVT 311
    The problem is that we want the system to create Financial Document during this step, And as we know valuation is on Company Code or Plant Level .
    So What help us to execute this is it profit center or Business Area or what ?
    Please Advice

    Hi,
    Try this,
    You can follw this following process for Stock Transfer between Depots (locations):
    Material should exist in both the plants (Delivering & Ordering),
    Internal customer should be assigned to the ordering plant ( MM -> Purchasing -> Purchase Order -> Setup stock transport order -> assign the internal customer to the ordering plant and assign the Sales area of the internal customer)
    T-code : OMGN
    Assign its Sales area to the delivering plant
    Assign the document type and Delivery type NB and NLCC
    Assign the Supplying plant --> Receiving Plant --> NB
    Take the delivering plant and assign the sales area.
    Vendor master has to be created and assign the supply source ( Delivering Plant).
    Create a purchase order ME21N (Purchasing Document type UB)---> Save
    Delivery - VL10 B ---> Calculation rule (appropriate) --> Assign the purchase order number here and execute.
    Select the Delivery creation line and do the back ground process.
    Start the log display and see the delivery document number by the documents button
    Go to VL02N --> do picking and PGI --> Then do the MIGO with respect to the delivery document.
    Subsequently yopu can also issue stock transfer Invoice (which is treated as Proforma Invoice & not posted in accounts) for records or to be given with vehicle.
    Hope this helps...
    Regards
    KK

  • Valuated Stocks at Storage location Level

    Hi Gurus,
    Our client wants to develop a report on Quantity and Value of the Stocks at Storage location level. Is there any standard table/T.code where we can see this? We have tried in the Standard reports too.
    We have tried this getting from various tables like MARA,MARC,MARD,s031 & S032. But it is hitting the performance heavily. Please advice if anything can be done on this.
    with regards,
    Saakithyan

    Refer this link
    http://wiki.sdn.sap.com/wiki/display/ERPSCM/StockTablesandStockTypes
    check reports: MC.9 ,S_p00_07000139 also if it fits

  • MC.9  drill down at storage location level

    In mc.9  report  stock against plant xxxx  at storage location drilldown
    I see
    In total  valuated stock is 0
    But
    at storage location 0040 I see  423.686 as valuated stock
    and at storage location 5M06 I see  minus 423.686  as valuated stock
    Client need to have not stock at plant level.
    In total I see 0
    But client is bothering about valuate stock he is getting at storage location level.
    Thanks,
    Kiran

    Hi Jurgen,
    For plant xxxx there is nil stock in mc.9 report. only I see sloc  to sloc transfer of qty. for example sloc 0001 has qty + 100 & sloc 0002 has qty -100.
    Finance is asking to user that this + - qty should not show in mc.9 and asking him to get it removed.
    What should I suggest to user and finance.
    Thanks,
    Kiran

  • Report by month with Valuated stock and special stock by storage location

    Dear All,
    I need a report similar to MCBE with stock level (including "storage loc/batch Stock" plus "special stock(Q)") by plant and storage location.
    I try it with MCBE tcode, but i only get  "storage loc/batch Stock" in column named valuated stock. Also I can obtain that information in MB5B tcode, but I cannot get data by storage location, only plant.
    Does anyone know how can solve it?
    Thanks in advance,
    Sebastiá

    Hi,
    Use MC.9 T.code.
    click on "switch drilldown" and select storage location.
    Regards
    Hari

  • No Stock value at Storage location level in BW report

    I am facing problem in getting stock valuation at storage location level.
      The problem is that, in R/3 Stock valuation is done at plant level, when we do storage location to storage location movement , only stock quantity gets changed and no FI entry is getting generated . So there is no movement of stock values at all. when we load this transaction data into BW , obviously i will arrive with wroung value . so what to do in this case ?
    Thanks & Regds,
    Kavan

    Hi Kavan,
    Could you please explain the scenario & provide the Ds you are using.
    Thanks & Regards,
    Suneel

  • Stock valuation different for different storage location in same plant

    Hi SAP Gurus,
    Please provide me a detailed idea and solution for this.
    My client has simulated several transactions in MM.
    Say it has two storage location 1110 and 1120 under plant 1100
    Now in 1120 there are stock movements pertaing to a project (includes stock transafers from 1110 and issues made to project)
    Finally, the MB52 report is showing valuation of stock (unrestricted) at different rates for 1110 and 1120.
    My client is raising issue, saying the value should be same for stock under a single plant as valuation is done at plant level.
    Also, both the stock is under unrestricted category, so valuation should be same.
    What could be the issue?
    Any solution?
    The auditors will raise issue over this.
    Please help ASAP.
    Regards,
    Sumit

    Hi Sumit,
    In valuation using the moving average price (price control u201CVu201D), the system valuates goods receipts with the purchase order price and goods issues with the current moving average price.
    So, for Plant 1110 the rate could be the PO price used for procuring the material whereas for Plant 1120, it is the moving average price and hence the difference in rates.
    However the auditors would look after the Material Valuation at the Valuation Area level which is the Plant.
    Thanks,
    Ankur

  • Re:Valuation control at Storage location

    Dear Guru's,
    I have below requirement  :
    I want to control the Valuation of a material in Storage location or at material level. i.e that particular Raw material will be non-valuated or all the materials in 1 particular storage location are non-valuated materials
    I know that can be control at Plant/company code level ( Plant as valuated or not valuated )
    Also is it possible to mantain same raw material code as Valuated in 1 plant & non-valuated in other company code/Plant ?
    Kindly guide
    Regards,
    Ishwar

    Hi Ishwar,
    If you had mentinoed your business requirement then it would be easier for us to resolve your issue. However it wont be possible to have valuation control at Storage location.
    but you can have some alternative solution.
    1. Create New Material Type (say ZXX) which should have only Qty update Ticked ( Do not ticket Value update Checkbox).
    2. Create Material Code of Newly Created Material Type (ZXX) . These newly created Part code will not be valuated.
    Also is it possible to mantain same raw material code as Valuated in 1 plant & non-valuated in other company code/Plant ?
    It is very much possible to have Same part code to be valuated in 1 plant and non-valuated in Other Plant, Provided your valuation occurs at Plant level and not the company code level.
    Regards,
    S Anand

  • Set valuation type by storage location

    Is there a way to limit specific valuation types to a storage location?  We have reclaimed materials that we would like to assign to a specific storage location.  For example, we have storage locations 1 through 4 for new materials and storage location 5 for reclaimed.  Is there a way to restrict the receipt of reclaimed materials into storage location 5 only?  We do not want to see any reclaimed materials in storage locations 1 through 4.

    valuation only takes place at plant level, so you cannot restrict it at storage location level with standard customizing, you can only check this in a user exit.

  • Opening and closing stock at storage location level

    Dear all
    I need a std report which will give the opening and closing stock at storage location level, Or should I go for dev. if yes please guide me.
    Regards
    Samuel

    Hi,
    check if you can use S_P00_07000139 report, select "Display stock movement by plant (with amount) and further select Sloc from layout.
    Regards,
    Vikas

  • Opening and closing Stock report at Storage location level- date wise

    Dear all
    Is there any standard report to view opening and closing stock at storage location level? ( we have MB5B which resets the entry screen if we enter SLOC details).
    Thanks
    Sam

    Do  I have the option of  selecting Storage Location wise opening and closing stock on a particular date or period, that is what I have requested? Is it possible, evenafter selecting storageloc/batch stock and entering all the SLOCs in the selection creen, the report output does not contain any SLOC, and using ctrl+F8 or display variant does not have SLOC as a field also.
    pls gudie
    sam

  • Opening and closing balance values at storage location level

    Dear all,
    I want to know opening and closing balance values and receipts and issue values at storage location level for certain period.
    I tried with MB5B, it is not giving value at storage location level, it is giving quantities at storage location level and values at plant level. But requirement is: please see below example:
    All values are in USD          
    Storage location:      1001     1002
    Opening Balance:      2000     3000
    Receipts:                           1000      2000
    Issues:                            2000     3000
    Closing Balance:      1000     2000
    Please help in this regard (I want value of the stock only, not qty)
    Regads,
    Veerappa
    Edited by: Chinna Veerappa on Jul 27, 2010 5:27 PM
    Edited by: Chinna Veerappa on Jul 27, 2010 5:28 PM

    vlauation is at plant level (MBEW table) the storage location level does not carry values (table MARD).
    You may have to develope your own ZMB5B  program and calculate yourself what is not stored in SAP.

  • MCHB,MARD - Stock available at plant level and storage location level

    Hi ,
    How to determine how much stock available at Storage location level and Plant level. (Lot is not maintained).
    In MCHB-Stock at lot level is shown.
    In MARD-Stock at Storage Location level is shown lncluding
    the stock maintaned at the lot level.
    If i want to know the stock which is not maintained in Lot, i.e, Stocks directly maintained at Storage location / Plant.
    Do I need to subtract the MCHB Value from MARD Value ?
    Is there any other way available to find the stocks which is not maintained at lot level.
    Regards
    Prasath

    Hi prashant,
    What do u mean by stock maintained at SL level without batch level.  Do u mean that some materials are subjected to batch management and some or not?
    If that is the case, for all batch managed materials, u can see the stock at batch level and also same is summed up at SL level.  But still what ever u are getting from MARD table isstock at SL level only.
    If u have activated batch management for any material, it will always be shown at lot level also.
    hope this clarfifies query
    award points if found useful

Maybe you are looking for

  • ZCM 10.3 beta to 10.3 possible?

    We've had to resort to uisng the ZCM 10.3 beta in order to get Windows 7 support. This is very annoying as we get sporadic email form Novell tell us how easy it is to migrate to Windows 7 using ZCM. The beta version is working well for us however we

  • Any progess on the DRM error when changing versions; machines etc?

    Hi folks, I've recently changed PCs and having downloaded Digital Editions to the new machine, I can no longer open a .pdf that lives on a network drive that was bought and downloaded via my old machine (I get the oft-reported DRM error). Having look

  • Oracle Data Integrator 11g

    Hi Folks, We have data in EXCEL sheet. Our requirement is to Export the data which is available in EXCEL sheet to ORACLE TABLE with out installing MS ODBC Driver in ODI 11g. Could any one suggest how to do this. Thankyou.

  • Process AGREEMENT_CREATED not assigned to number type in version AGREEMENT_

    HI: Create a contract, error: Process AGREEMENT_CREATED not assigned to number type in version AGREEMENT_CREATED . Everyone, please help me. Thank you! Sarah

  • Encore CS3 crashes when changing disk drives

    Burning a compilation from Premiere CS3 to Encore CS3 using Export to Encore. When Premiere finishes encoding and launches Encore to create DVD image, Encore keeps defaulting to my CD-R drive and not my DVD-R drive. Each time I have to cancel the ope