Storage location wise opening, closing stock...date wise...report

Hi all Experts,
I am at client site and hav to provide a report containing opening, and closing stock (and issue qty if possible) storage location wise and date option wise.pls help
regards
vikas chhabra

Hi,
Use MB51 for date wise report
OR
Use MCL1, MCL5, MCL9, MCLD (If Warehouse Management you are using)
OR
You have to develop an own ABAP report.
Regards,
Biju K

Similar Messages

  • Storage location wise Opening/Closing Stock on posting date (mb5b)

    Hi,
    Report mb5b gives opening stock and closing stock as on date. In the selection screen, if we do not enter specific storage location then the opening/closing stock is displayed as sum of all storage location stocks for a given material.
    Where as if we enter storage location, it gives storage location specific output. (with Storage loc/batch stock radio button)
    My requirement is - without entering storage location in the initial screen, the system should display storage location specific opening/closing stock.
    To get this, presently I need to execute mb5b transaction individually for every storage location.
    Warm regards,
    MS

    Hi Madhavi
    This report you can have in T code MC.6 and another t code for opening and closing stock in t code MC.9
    Regards
    Vivek
    -- Reward if helpful
    Edited by: Supergene on Feb 28, 2008 3:17 PM

  • Opening Closing Stock in transit Report

    Hi,
    I have to get the ABAP development of Stock Report. Report would have following fields
    Opening Stock
    Opening Stock in Transit Quantity
    GR Quantity
    Purchase Value
    Sold Quantity
    Rejection Quantity
    Closing Quantity
    Closing Stock in Transit Quantity
    Consumption Quantity
    In Closing quantity , It should be without stock in transit quantity.
    Could you please help me to understand ,Exact Opening Stock ,Closing sock, In Transit Stock etc? How would these be calculated? from which tables all these data would come from. Thanks in advance.
    Regarda,
    Santosh

    SantoshArya wrote:
    Hi,
    >
    > I have to get the ABAP development of Stock Report. Report would have following fields
    >
    > Opening Stock
    > Opening Stock in Transit Quantity
    > GR Quantity
    > Purchase Value
    > Sold Quantity
    > Rejection Quantity
    > Closing Quantity
    > Closing Stock in Transit Quantity
    > Consumption Quantity
    >
    > In Closing quantity , It should be without stock in transit quantity.
    >
    > Could you please help me to understand ,Exact Opening Stock ,Closing sock, In Transit Stock etc? How would these be calculated? from which tables all these data would come from. Thanks in advance.
    > Regarda,
    > Santosh
    Hi,
    You can also check these standard reports before you proceed to develop a report..
    MB52 - List of Warehouse Stocks on Hand
    MB53 - Display Plant Stock Availability
    MB5B - Stocks for Posting Date
    MB5C - Pick-Up List
    MB5L - List of Stock Values: Balances
    MB5W - List of Stock Values
    MB5T - Stock in transit CC
    MC.9 - INVCO: Material Analysis Selection, Stock
    MC.A - INVCO: Material Analysis Selection, Rec/Iss
    MC.B - INVCO: Material Analysis Selection, Turnover
    You can also consider building a query report which wil also serve your purpose quickly...
    Regards
    Shiva

  • Reports of opening and closing balnaces (Date Wise)

    Hi all
              Here my ques is that
    i am not able to get opening balance of item day wise with  closing balance in excel reporting?
    Thanks & Regards
    Amit

    Hi,
          try inventory Audit report in SAP B1 Inventory Module. You will get some idea.
             inventory -> inventory reports -->  inventory audit report

  • Tables/FM for opening/closing stock for material on given posting date

    Hi All,
    I had requirement of find the opening/closing stock for material on given posting date. The values we can find out using TCode - MB5B.
    But I cannt use MB5B to extract data because I need to find detials for thousands of material.
    Can you please adivce if their is any FM or tables through which i can find this detial on any given date apart from current date.
    Thanks & Regards,

    Hi,
    [https://forums.sdn.sap.com/click.jspa?searchID=19631709&messageID=6593903]
    [https://forums.sdn.sap.com/click.jspa?searchID=19631709&messageID=6630975]

  • Opening & Closing Stock in transit

    Hi All,
    I Developed an abap report for Yield Statement with opening & closing Stock Quantities.
    How to Find opening & Closing For transit Stock for 641 movement.I mean how to display the current transit stocks date wise at plant level without SLOC.
    I Knew that current transit stock would be in Marc Table & previous closings in March Tables.
    I'm looking for the date logic with respect to displaying opening & closing dates of transit stock.Be it Date Wise Or Month Wise.
    Any help would be greatly appreciated.
    Thanks & Regards,
    Ravi S

    Hi Ravi,
    Please find the Link below hope they are very useful to you
    [Stock|Re: closing stock of a particular date]
    [Stock|Tables/FM for opening/closing stock for material on given posting date]
    Thanks
    kalyan

  • Where and how to find the storage locatation for the consignment stock

    where and how to find the storage locatation for the consignment stock (customer stock )  for more than one storage location .
    table :msku
    material no    -   werks - batch
    xxx                   sg11  - 200352ac
    table : mchb
    material no    -   werks  -lgort - batch
    xxx                   sg11   sg10   200352ac
    xxx                   sg11   gs11   200352ac
    note : each stock location having same batch no in different storage and my question how to find which link for msku to mchb .

    Hi,
    Try the table MARD: Storage Location Data for Material, where in the field LABST will give the stock field, against a given material/plant/Storage Loc.
    Regards,
    JLN

  • WBAdmin BMR backup says "There is not enough free space on the backup storage location to back up the data."

    We're doing nightly BMR backups of a small 2012 R2 Hyper-V host via wbadmin to 2TB USB disks, via
      wbadmin start backup -backupTarget:z: -quiet -noverify -vssFull -include:e:,c: -allCritical
    (where E: contains the sole VM).
    We are using the same backup system on other similar Hyper-V hosts running 2008 R2 and 2012, with no problems. However, with this 2012 R2 host, after a few months of no problems the backups started failing with:
      There is not enough free space on the backup storage location to back up the data.
    This made no sense, and continues to make no sense:
    The 2TB backup disks are only half full (>1TB free), with 600GB of unallocated shadowstorage.
    There should be room for many more backups on these disks. Each currently contains 11 to 13 backups, with the initial full backup having required about 600GB and each subsequent backup only requiring another 20GB to 40GB.
    There is over 40GB free on the C: drive and 300GB free on the E: drive; free space on the host volumes is not an issue.
    Increasing the shadowstorage limit on the backup disks to unbounded doesn't resolve the issue.
    This is not a problem of a RECOVERY partition that's too small, and SystemState backups always complete successfully.
    The first workaround we found was to temporarily reduce (not increase) the shadowstorage allocation on the E: drive (containing the VM) and then increase it back (with the end result of deleting old shadow copies).
    This worked reliably, but looking for a root cause led us to uninstall the Windows Updates installed mid-September (in particular the Aug 2014 and Sep 2014 roll-ups), which preceded the start of this problem. But instead of resolving the problem the uninstalls
    made it worse, in that our workaround stopped working.
    We reinstalled the Windows Updates, and then tried setting backup performance to normal, in case the problem was related to VSS on the host volumes, but the errors continued.
    At this point the only way we've found to work around the error is to delete 1 or 2 of the oldest backups on the destination disk, via
      wbadmin delete backup -backupTarget:z: -deleteOldest
    after which the new backup will succeed.
    But, again, this makes no sense, as the destination disks are only half full, and even if space was an issue wbadmin should delete old backups as required. And this same system is working fine on 2008 R2 and 2012.
    Any suggestions?
    Thanks,
    John

    Hi John,
    Please check run the command below to check if the space required to complete the backup causes the snapshot storage space to become less than 1/8 of the target size.
    vssadmin list shadows /for=x: will list the shadow copies on x: and creation time.
    WSB will not shrink the diff area to less than 1/8 of Target volume size as we do not want to lose all past backups just to accommodate this one.
    For more detailed information, please refer to the article below:
    Windows Server Backup automatic disk usage management
    http://blogs.technet.com/b/filecab/archive/2011/03/14/windows-server-backup-automatic-disk-usage-management.aspx
    V. Backup, Restore and Disaster Recovery
    http://social.technet.microsoft.com/wiki/contents/articles/1846.v-backup-restore-and-disaster-recovery.aspx?Sort=MostUseful&PageIndex=1
    Best Regards,
    Mandy 
    We
    are trying to better understand customer views on social support experience, so your participation in this
    interview project would be greatly appreciated if you have time.
    Thanks for helping make community forums a great place.

  • Consignment opening and closing Stock Period wise details

    My requirement to get the opening and closing stock of particular customer with particular
    material period wise. If there is no transaction for a period  for particular customer
    and particular material , ( which table store the entry without transaction for that particular customer
    and particular material ) then how to get the openning and closing of that customer
    for that particular material. I have checked MSKU and MSKUH tables for this, but this is not fulfillg my requirement
    Thanks.

    I need to develop a report based on consignment stock.....
    MSKU AND MSKUH TABLES STORE THE ENTRY OF CUSTOMER AND MATERIAL WITH PERIOD WISE. I want opening and closing stock of customer with particular material for particular period.The
    problem is  if there is no activity of a particular material with  that particular customer for particular period then how to get value . I have to get the value based on selling price thats why not using MB51.....
    Thanks......

  • Material type Wise Opening /Closing

    How Can I get a report of Material Type Opening/Closing Balance?

    Hi Biswajit
    R u not getting the desired result using MC.9.
    and as for MB5B only option i can see is first we get a list of material for a material type from MARA, then select those material and enter into MB5B report.
    regards
    Yogesh

  • Inventory opening and closing stock with value report

    Hi All,
    Is it possible to get details of both opening and closing stock with value of each items of last financial year (2009-10) in inventory report?
    Mizan

    Hi..
    you can  try this query
    Declare @FromDate Datetime
    Declare @ToDate Datetime
    set @FromDate =
        (Select min(S0.Docdate) from OINM S0 where S0.Docdate >='[%0]')
    set @ToDate =
        (Select max(S1.Docdate) from OINM S1 where S1.Docdate <='[%1]')
    select * from
        SELECT T0.itemcode,
        min(T0.Dscription) as 'Item Description',
        min(B1.ItmsGrpNam) as 'Item Group', W1.Whscode, C1.Location,
        (isnull((
            Select sum(isnull(inqty,0))
            from OINM O1
            where O1.itemcode=T1.itemcode
            and O1.Warehouse=W1.Whscode
            and O1.docdate<@FromDate ),0)-
        isnull((
            Select sum(isnull(outqty,0))
            from OINM O1
            where O1.itemcode=T1.itemcode
            and O1.Warehouse=W1.Whscode
            and O1.docdate<@FromDate),0)
        ) as [Opening Stock],
        isnull((
            Select sum(isnull(inqty,0))
            from OINM O1
            where O1.itemcode=T1.itemcode
            and O1.Warehouse=W1.Whscode
            and O1.docdate>=@FromDate
            and O1.docdate<=@ToDate and O1.inqty>0
            and O1.transtype in (20,18)),0
        ) as [Purchase Quantity],
        isnull((
            Select sum(isnull(outqty,0))
            from OINM O1
            where O1.itemcode=T1.itemcode and O1.Warehouse=W1.Whscode
            and O1.docdate>=@FromDate and O1.docdate<=@ToDate
            and O1.outqty>0 and O1.transtype in (21,19)),0
        ) as [Purchase Return Quantity],
       isnull((
            Select sum(isnull(outqty,0))
            from OINM O1
            where O1.itemcode=T1.itemcode and O1.Warehouse=W1.Whscode
            and O1.docdate>=@FromDate and O1.docdate<=@ToDate and O1.outqty>0
            and O1.transtype in (13,15)),0
        ) as [sale Quatity],
        (isnull
            Select sum(isnull(inqty,0))
            from OINM O1
            where O1.itemcode=T1.itemcode and O1.Warehouse=W1.Whscode
            and O1.docdate<=@ToDate),0
            isnull((
                Select sum(isnull(outqty,0))
                from OINM O1
                where O1.itemcode=T1.itemcode and O1.Warehouse=W1.Whscode
                and O1.docdate<=@ToDate),0)
        ) as [Closing Stock]
        FROM OINM T0
        INNER JOIN OITM T1 ON T0.ItemCode = T1.ItemCode
        INNER JOIN OITW T2 ON T1.ItemCode = T2.ItemCode
        INNER JOIN OITB B1 ON T1.ItmsGrpCod=B1.ItmsGrpCod
        INNER JOIN OWHS W1 ON T2.WhsCode = W1.WhsCode
        INNER JOIN OLCT C1 ON W1.Location=C1.Code
        Group by T1.itemcode, T0.Itemcode, W1.WhsCode, C1.Location
    ) a
    where (a.[Opening Stock]
            +a.[Purchase Quantity]
            + a.[Purchase Return Quantity]
            +a.[sale Quatity]+a.[Closing Stock]
           ) !=0
    Regards,
    Bhavank

  • Opening & closing stock like in tally in sql

     i have multiple table . i want to calculate opening and closing stock like in tally in sql with fifo method.
    i have make query.
    select   dd.Date,dd.VoucherNumber,dd.Name,dd.OpeningBalance OpeningBal,
     dd.OpeningQty,dd.OpeningRate,
    InwardQty=sum(case when dd.Amount >0 then dd.Quantity else 0  end), 
    InwardRate=sum(case when dd.Amount >0 then dd.Rate else 0  end),
    InwardValue= sum(case when dd.Amount >0 then dd.Amount else 0  end),
    OutwardQty=sum(case when dd.Amount <0 then dd.Quantity else 0  end ),
    OutwardRate=sum(abs(isnull((case when dd.Amount <0 then dd.Amount else 0  end)/ nullif((case when dd.Amount <0 then dd.Quantity else 0 end),0),0))),
    OutwardValue=  Sum(abs(case when dd.Amount <0 then dd.Amount else 0  end)),
    ClosingQty=dd.OpeningQty+ sum(case when dd.Amount >0 then dd.Quantity else 0  end)-sum(case when dd.Amount <0 then dd.Quantity else 0  end ) ,
    closingRate=dbo.fnGetClosingRate(dd.OpeningBalance,sum(case when dd.Amount >0 then dd.Amount else 0  end),
     Sum(abs(case when dd.Amount <0 then dd.Amount else 0  end)),dd.OpeningQty+ sum(case when dd.Amount >0 then dd.Quantity else 0  end)-
      sum(case when dd.Amount <0 then dd.Quantity else 0  end )),
      ClosingAmout=(dd.OpeningQty+ sum(case when dd.Amount >0 then dd.Quantity else 0  end)-
      sum(case when dd.Amount <0 then dd.Quantity else 0  end ))*(dbo.fnGetClosingRate(dd.OpeningBalance,sum(case when dd.Amount >0 then dd.Amount else 0  end),
     Sum(abs(case when dd.Amount <0 then dd.Amount else 0  end)),dd.OpeningQty+ sum(case when dd.Amount >0 then dd.Quantity else 0  end)-
      sum(case when dd.Amount <0 then dd.Quantity else 0  end )))
       from 
       SELECT  [Transaction].Date, [Transaction].VoucherNumber,
       Items.Name,OpeningBalance,ItemOpening.Quantity as OpeningQty,ItemOpening.Rate as OpeningRate,
      SalesItem.FirstQty as Quantity, SalesItem.Rate ,
      SalesItem.Amount 
    FROM  ItemOpening INNER JOIN
                   Items ON ItemOpening.Items = Items.Oid INNER JOIN
                   SalesItem ON Items.Oid = SalesItem.Item INNER JOIN
                   Sales ON SalesItem.Source = Sales.Oid INNER JOIN
             [Transaction] ON Sales.Oid = [Transaction].Oid 
            --where [Transaction].Date>='2012-05-19' and [Transaction].Date<='2012-05-31'
            --and Items.Name='Bidi: 96/19x20x80 HL'
            -- group by Items.Name,[Transaction].Date,SalesItem.Rate,
            -- SalesItem.Amount
                union all
       select  [Transaction].Date,[Transaction].VoucherNumber, Items.Name,
       OpeningBalance,ItemOpening.Quantity as OpeningQty,ItemOpening.Rate as OpeningRate,
       PurchaseItem.FirstQty   ,
       PurchaseItem.Rate,
    PurchaseItem.Amount 
    FROM  PurchaseItem INNER JOIN
    Purchase ON PurchaseItem.Source = Purchase.Oid INNER JOIN
    Items on Items.Oid= PurchaseItem.Item inner join 
    ItemOpening on ItemOpening.Items= Items.Oid inner join
    [Transaction] ON Purchase.Oid = [Transaction].Oid
    --where [Transaction].Date>='2012-05-18' and [Transaction].Date<='2012-05-31'
    --and Items.Name='Bidi: 96/19x20x80 HL'
    ) as dd  where   dd.Date>='2012-04-01' and dd.Date<='2012-04-05'
    and dd.Name='Bidi: 96/19x20x80 HL'
     group by dd.Date,dd.VoucherNumber,dd.Name,dd.OpeningBalance,dd.OpeningQty,dd.OpeningRate,dd.Rate
      order by dd.Date
    but it is not give correct output. its giving result .
    Date
    Name
    OpeningBal
    OpeningQty
    OpeningRate
    InwardQty
    InwardRate
    InwardValue
    OutwardQty
    OutwardRate
    OutwardValue
    ClosingQty
    closingRate
    ClosingAmout
    4/1/2012
    A
    62909.22
    22
    2859.51
    0
    0
    0
    10
    3584.8
    35848
    12
    2255.1
    27061.2
    4/5/2012
    A
    62909.22
    22
    2859.51
    0
    0
    0
    20
    3584.8
    71696
    2
    -4393.39
    -8786.78
    4/5/2012
    A
    62909.22
    22
    2859.51
    20
    3360
    67200
    0
    0
    0
    42
    3097.84
    130109.28
    expected format as
    Date
    Name
    OpeningBal
    OpeningQty
    OpeningRate
    InwardQty
    InwardRate
    InwardValue
    OutwardQty
    OutwardRate
    OutwardValue
    ClosingQty
    closingRate
    ClosingAmout
    4/1/2012
    A
    62909.22
    22
    2859.51
    0
    0
    0
    10
    3584.8
    35848
    12
    2255.1
    27061.2
    4/5/2012
    A
    27061.2
    12
    2255.1
    0
    0
    0
    20
    3584.8
    71696
    -8
    0
    -8786.78
    4/5/2012
    A
    -8786.78
    -8
    -4393.39
    20
    3360
    67200
    0
    0
    0
    12
    3097.84
    130109.28
    please give solution

    Suppose my  view like View_itm
    Date
    Item
    openingItem
    OpnRate
    OpnAmt
    ReceiveItm
    Issue
    ClosingQty
    closingRate
    ClosnigAmt
    1/4/2012 
    A
    10
    5
    15
    5
    2
    13
    23.1
    299
    1/4/2012 
    B
    20
    2
    40
    10
    15
    15
    43
    643
    i have make above query for access data  but it not give expected result 
    Date
    Name
    OpeningBal
    OpeningQty
    OpeningRate
    InwardQty
    InwardRate
    InwardValue
    OutwardQty
    OutwardRate
    OutwardValue
    ClosingQty
    closingRate
    ClosingAmout
    4/1/2012
    A
    62909.22
    22
    2859.51
    0
    0
    0
    10
    3584.8
    35848
    12
    2255.1
    27061.2
    4/5/2012
    A
    62909.22
    22
    2859.51
    0
    0
    0
    20
    3584.8
    71696
    2
    -4393.39
    -8786.78
    4/5/2012
    A
    62909.22
    22
    2859.51
    20
    3360
    67200
    0
    0
    0
    42
    3097.84
    130109.28
    expected result need like 
    Date
    Name
    OpeningBal
    OpeningQty
    OpeningRate
    InwardQty
    InwardRate
    InwardValue
    OutwardQty
    OutwardRate
    OutwardValue
    ClosingQty
    closingRate
    ClosingAmout
    4/1/2012
    A
    62909.22
    22
    2859.51
    0
    0
    0
    10
    3584.8
    35848
    12
    2255.1
    27061.2
    4/5/2012
    A
    27061.2
    12
    2255.1
    0
    0
    0
    20
    3584.8
    71696
    -8
    0
    -8786.78
    4/5/2012
    A
    -8786.78
    -8
    -4393.39
    20
    3360
    67200
    0
    0
    0
    12
    3097.84
    130109.28
    please give solution as per possible 

  • Opening & Closing Stock in P&L Statement

    Dear All,
    My client is using Tally software preior to SAP B1 Implementation. In Tally the P/L satatment shows  Opening Stock , purchases and  Closing Stock ledgers.We are not using Purchase Accounts posting system. How to map the existing SAP Ledgers  according to Tally. We are using SAP B1 2007 B.
    Please help me to map the G/L accoring to the above requirements.
    Thanks
    Srini

    Dear Srini,
    Yes of-course Tally shows OB,and Closing balance at a particular time, SAP B1 Shows them too, but in a different manner.
    1. Suppose , you have given OB to SAP on 01/04/10.(which is actually the closing balance of Tally as on 31/03/10).
        Under trial balance report OB Column is there.
         If you are trying to populate Tally's OB of 01/04/09, You Can't.
    2. Getting the OB at a particular time in SAP, depends how you are maintaining your Posting Periods.
    For Closing balance in SAP, The last column -'Balance' is actually the Closing balance as on the date for you are running Trial Balance Report.
    Hope this will help you.
    Best Regards
    Ashutosh T

  • How to get Opening /Closing stock value of Non Valuated stock materails

    Hello,
    We would like to know since 95% of our procurement will be for Projects and since the stock is u201CNon-Valuatedu201D stock, is there any method by which we will be in a position to get the  details of Opening Stock, Purchases & Closing Stock?
    Regards
    Sapman man

    hi
    try mb52
    enter maerial type for nonvaluated stock
    then
    execute
    you will  get output
    regards
    vijay

  • Opening & closing stock

    Hi Expert,
        I am developing one zreport . i want to know how to calculate
    opening and closing stock using mb5b standard report.
    Thanks
    Dinesh

    Hi,
    I would be really thankful if you could send me a couple of z_reports with the input parameters and output parameters, as we too are going for implementation project. Kindly send it to [email protected]
    Your help would really be appreciated.
    Regards.

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