Sub contracting Configuration

Hi,
        I want to configure sub contracting process to one of the plant.Can any one tell me how to do that what all information do we need from Business side.After configuration how do we test that processes(Test scenarios).Can any one please help on this.
Thanks in advance
Regards
Balu

Hi
As per PP is concern BOM comes in picture then all activity by MM guides
1) Create BOM for finish material and child material
2) Create a po with item category L
3) transfer stock to vendor MB1B( no accounting doc created as well you cant get po history for same)
4) Create delivery challen
5) after receiving material from vendor do good received
6) reconcile challen
7) complete challen
9) MIRo for subcontracting work
Subcontract Posting
Material Document
101 + Receive in the new Material after sub-contract
543 - Clear the quantity in Material Provision for Vendor
Accounting Document
Debit Inventory - New Part 150
Credit Inventory - Purchase Offset 150
Debit Service cost for sub-contract 50
Credit GR/IR - Inventory 50
[http://sapmm-notes.blogspot.com/2008/03/subcontracting-delivery.html]
Regards
Kailas Ugale
Debit ROH - Material Consumed 100
Credit ROH - Material Consumed 100

Similar Messages

  • Any configuration required from SD about Sub-contracting PO

    Dear All,
    Need your assistance.I am SD connsultant.
    1.   MM team can directly create an outbound delivery from ME2O now.
    2.    It creates an outbound delivery and delivery note in the system
    3.    The create delivery process is not reducing any inventory in the system until and unless you are not doing any “Post goods issue”.
    Now I have some question –
    1.    This delivery is  an open delivery and we are not posting PGI against this delivery. So what are the next steps should be to handle this delivery?
    So from SD point fo view any configuration is required.. Because this has involvement for both SD and MM.
    Thanks
    Sits

       this delivery is  an open delivery and we are not posting PGI against this delivery. So what are the next steps should be to handle this delivery?
    So from SD point fo view any configuration is required.. Because this has involvement for both SD and MM.
    Don't know where did you read that SD involvement is required in Subcontracting PO.
    This is purely related MM.
    If you had posted this in MM forum then you  would have been answered correctly whether SD involvement is required or not.
    Subcontracting PO process is something like we provide raw materiel to the Vendor and he will do the finishing and make a Finished a product and send it to us and for this company pay some labour charges, in this case raw material is kept at Vendor location but the stock is validated in the books of company.
    1.Basic requirement for this is BOM should exist in system and we create this using t code CS01.Item category is L in PO and special stock type is O.
    2. Maintain info records in ME11 by checking the field sub contracting.
    3.Create PO for the finished good with item category L
    4. in ME20 Issue the raw materials to Vendor, the move type 541( issue raw material to vendor).
    once the raw materials issued then the qty will be shown at Vendor this you can observe in the same t code or you can check this MBLB t code.
    5. in MIGO we do receipt (mov type 101) with ref to PO here when the Vendor provide the finished good the raw material gets consumed this happens with mov type 543. This you can observe in MIGO against this raw materials.
    This is what exactly Subcontract process happens, in this where exactly you will come across the SD involvement?
    Please let me know if you are talking about something different?
    thanks,
    Srinu.

  • Sub-contract challan output- configuration details..?

    Hi gurus
    Can anybody send me the configuration details for sub contracting , and sub contracting challan output screen layouts in SPRO.
    Because in my company i m not getting Company details in Sub-contract challan print out in front sheet,
    1 challan with 2 pages.
    Thanks
    sap-mm

    r u using std SAP format or Devoloped format
    because if ur using std format unless and untill u put company details in config u cant create 57F4 challan
    if ur using developed report then contact the ABAP person
    regards,
    snb

  • Sub-contracting P.O

    Hi All,
    We have created sub-contracting P.O and while doing ME2O- create delivery.  We are getting below error msg.
        Depending on the category of the delivery being created, the system needs the following transfer data:
        o   Outbound delivery
            -   Shipping point, Sales organization,Distribution channel
                 Division,Material number,Delivery quantity,Ship-to party
                  Base unit of measure
    Inbound delivery
    Base unit of measure,Conversion factors for converting base and sales units (not for creating/replicating an inbound delivery in a decentralized Warehouse Management system)
    Goods receiving point (shipping point) when a delivery is
        created in decentralized WM
    Outbound and inbound deliveries from goods movements
    Shipping point
          -   Sales organization,Distribution channel,Division,Material number,Delivery quantity,Ship-to party,Base unit of measure
      Plant and sales unit transfer data is always mandatory.
    Please Anybody can tell me what configuration we have to do.
    Thanks and Regards
    Chandru

    You have to set up the shipping details just as you would do for a stock transport order with transfer posting happening through SD route. You have to set the delivery type for this document and the material should have sales/shipping data. Only then will the system be able to pick up the delivery type & thus create a delivery.
    This is given in detail in help.sap.com -
    From SC Stock Monitoring for Vendor as a Delivery via Shipping
    From the SC Stock Monitoring for Vendor list, you can also create a delivery via Shipping. The advantage of this procedure is that you have shipping documents and delivery notes for the shipment of the materials to be provided to the subcontractor (refer to  Goods Movements via Shipping)
    To create a delivery, the following data has to be maintained in the system:
    the plant must be assigned a sales organization, a distribution channel, and a division. You can define this in Customizing for Purchasing, in the step Set Up Stock Transport Order.
    A delivery type has to be defined for the plant from which the items are to be delivered. You can define this in Customizing for Purchasing, in the step Set Up Subcontract Order.
    If you want to reference a reservation when you create a delivery, you also have to set the Predecessor necessary indicator to L (Provision to subcontractor necessary) when defining the delivery type. This means that the requirements generated by the reservations can be correctly offset against the deliveries created. You can define this in Customizing for Shipping, in the step Define Delivery Types.
    The vendor for the stock with subcontractor must be entered as the customer in the organizational units in the delivering plant, such as sales organization, distribution channel, and division.
    The material to be provided has to be entered for the organizational units in the delivering plant, such as sales organization, distribution channel, and division.
    The combination of shipping condition (from the subcontractoru2019s customer master record), loading group (from the material master record for the components to be provided), and the plant have to be assigned to a shipping point. You can define this in Customizing for Shipping, in the step Assign Shipping Points.
    To create a delivery, choose Edit ® Create delivery. A dialog box appears, in which you can enter the data required to post the delivery. The system posts the delivery in the background and, after posting, it informs you in a dialog box how many items were posted.

  • Sub contracting Purchase requisition not created thru Service Order

    Hi Experts,
    I configured to create Service order automatically from Customner service.
    Now we have the SM03 repair service order .When we try to create Sub contracting Purchase requisition.
    (Selecting Subcontr tick in External tab of Components tab)system gives error saying  --
    Op. 0010 must have exactly one component as 'Rework Material to Subcontr.'
    Message no. AD_SUBCON109
    I checked the notes and It was not help ful.I understand I was doing something wrong in creation.
    The control key used is SM03. Can any body help me in the above problem.
    Regards
    Rammohan.

    Dear Sen,
    The same error message refers to one of the following material provision indicators getting to me also:
    "S" - an entry within table T417 is missing where KZBRS (A&D-Specific Material Provision) is not set
    "X" - an entry within table T417 is missing where KZBLF (Rework Material from Subcontractor) is not set
    "F" - an entry within table T417 is missing where field ADSUB_DEFDLV (Deferred Delivery) is not set
    also, i Insert a row with S and keep MPCust and MPVend blank and Check the A&D MP box
    getting following error "
    Op. 0010 must have exactly one component as 'Rework Material to Subcontr.'"
    Can u tell me the config for MPI??

  • Sub contracting- A/C postings

    hi all,
    posting GR(101) for subcontracting item against subcontracting PO resulted posting to a 'change in stock' account (Tr.Event.Key BSV) with a value ( SC item value+SC service charge).
    If i want this value to be posted to consumption account what should i do.
    Is BSV is Tr.Event.Key for offesetting entry??
    What 'change in stock' account generally stands for?

    Hello Satish
    The change in stock account (BSV) should not go to consumption account.
    I will give an example in which we are providing components for Rs.450 and the sub contracting charges is Rs.500
    At the tome of goods receipt:
    GR/IR clearing account(WRX)             500 -
    External service account(FRL)           500 +
    Stock account: end product(BSX)           950 +
    Change involving stocks(BSV)             950 -
    Stock account: comp.(BSX)             450 -
    Consumption account(GBB)            450 +
    And for your question, the consumption a/c will be a P/L account which will be reflected in the balance sheet. And so if you put the change in stock a/c also in the consumption a/c then in the balance sheet it will show high consumption value when the real consumption value is not that much.
    Thats why this is configured like this in standard SAP system.
    Hope this helps
    Regards
    Gregory Mathews

  • Sub-Contracting Excise Invoice Selection in J1IF01

    Hai Friends,
    Let me share one issue, which i faced in my project.
    I was doing sub - contracting process..  I have created sub-contract PO, With reference to that i have issued material to sub-contrator. then i went to create for subcontracting challana... where i couldn't able to select the excise invoice selection????????????????????
    What could be the reason ?
    Some body told that i have to maintain no.of days in Excise setting ?
    Which i have maintained already..
    Some body told that In J1ID , I have to maintain ***.VALUE ?
    Which value i have to maintain there ???? I don't know....
    even though i have given some value in J1ID... Then i tried after that also i couldn't able to excise invoice selection in J1IF01....
    So please guide me .... What could be the reason ? where i have missed configuration ?

    Assesable value is maintained in J1ID. It is the value of the components that your sending to the vendor for processing which is certified by the respective authority.
    For creating challan to J1IF01 and enter the material document with which you have made the transfer posting and save.

  • How to take sub-contracting challana print out

    Hai friends,
    How to take sub-contracting challana print out.
    Where i have to do the message settings for taking return delivery excise document print out ( rejected RM  material return to vendor ).
    Please guide me.

    Hello,
    During creation of 57F4 Challan in J1IF01, in Basic Data Tab Page, scroll down the screen, you will get a check box of "Print immediately" just activate it before saving, it will print the Subcontracting challan once you save it.
    And to re-print the same go to J1IF11 and activate this indicator again and save.
    Configuration Checks: -
    SPRO > Logistics - General > Tax on Goods Movements > India > Business Transactions > Subcontracting > Subcontracting Attributes > Check whether Subcon Output Type - J1IF is maintained here.
    Also check in M706 - For Output Type - J1IF should be in place.
    Note: - There is no need of maintaining condition record for output type J1IF in MN21 and also no need to do any further configuration.
    Maintain printer in the SPRO - IMG - MM - Inventory management - Output determination - printer determination.- printer determination by plant / storage location ( OMJ3). Here for the application area ME, condition type J1IF, assign the printer.
    regards,

  • Mb1b (sub contract)

    while doing MB1b ( for sub contract)
    error is
    G/L account 799999 does not exist in company code AAA
    i tried
    fs00
    g/l account  - 799999
    c,code         -  aaa
    the following error comes
    " Account 799999 does not exist in company code AAA
    and
    Account 799999 blocked for creation in chart of accounts INT
    what to do
    ali

    Hi,
    For subcontracting process you need to set up following
    If Material has Price Control as "V" (MAP)
    (BSX) Stock A/c of Assembly - Dr
    (BSV) Change in Subcon Stock - Cr
    (FRL) Subcontracting Charges - Dr
    (WRX) GR/IR Clearing A/c - Cr
    (BSX) Stock A/c of Components - Cr
    (GBB-VBO) Consumption A/c of Components - Dr
    If Material has Price Control as "S" (Std. Price)
    If Material is having Price Control as "S" then Price Difference A/c will also in picture.
    This depends on configuration; SPRO > MM > Inventory Management and Physical Inventory > Goods Receipt > Price Differences for Subcontract Orders at Goods Receipt
    Price Differences for Subcontract Orders at Goods Receipt
    In this step, you configure for each valuation area whether price differences are generated for a Subcontract order at the time of a goods receipt if the manufactured material is managed at standard price and the standard price varies from the receipt value (externally performed service + value of components + delivery costs).
    Example
    Finished product: $400 (value at standard price)
    Subcontract order:
    o Ext. service : $250
    o Components : $100
    Posting schema without price differences:
    Stock account FERT : 400 +
    Stock change : 400 -
    GR/IR clearing acct : 250 -
    External service acct : 250 +
    Compon. stock account : 100 -
    Consumption account : 100 +
    Posting schema with price differences:
    Stock account FERT : 400 +
    Stock change : 350 -
    Price difference : 50 -
    GR/IR clearing acct : 250 -
    External service acct : 250 +
    Compon. stock account : 100 -
    Consumption account : 100 +
    And cost center is mandatory for subcontracting process
    the accounts for the BSX FRL and GBB-VOB needs the cost elements
    Thanks
    Diwakar

  • Sub contract process in india version

    Hi gurus,
    can anybody kindly tell the sub contract process in india? what is the process and how the configuration will be customized? my client having 4.6c, and recently implemented cin version.
    given the full points for answer.
    Raghav

    This may help:
    https://www.sdn.sap.com/irj/sdn/wiki?path=/display/erplo/cin+configuration&
    If you are talking about sub contractors and withholding tax.

  • Sub contract in sales

    I need sub contract in sales.
    Ex:
    Customer sent material to plant they need some process in our plant for that I need scenario and configuration.
    How we allow customer material into plant?
    After finished work how to deliver products to customer and billing also.
    Please help me any one

    Hi Dharmananda rao
    Sub Contracting Cycle :
    (1) You have a material that can be procured externally, and you have maintained BOM with components. Any waste generated and received during subcontracting process can be maintained as component with negative quantity.
    (2) You create a subcontracting PO (PO with Item Category L). You can also maintain Purchase Info Record for Subcontract category for material and subcontractor.
    (3) You make a transfer posting to issue components for SC PO. Material is sent to subcontractor. As material remains under your ownership, system does not make any value entry. But quantity is shown as "Material Provided to Vendor"
    (4) You receive finished material against SC-PO. You also specify components consumed in manufacturing of finished goods. Additionally, if you have negative components in BOM, now you'll also receive subcontracting by-products. There are three events, so three accounting entries are generated:
    DR FG Stock/ SC By-Product Stock
    CR Change in Stock (FG/ SC By-Product )
    (for finished goods received)
    DR Subcontracting Charges
    CR GR/IR Clg
    (for moneys payable to Subcontractor)
    DR Consumption (Components)
    CR Change in Stock (FG/ SC By-Product )
    (material provided to Vendor is now charged to expense)
    5) You do the IV for SC Invoice, and the process is complete.
    Process of Subcontract in MM :
    Sub-contract business process:
    You want to buy material from the supplier (processed material/ assembled item) , but for some reason (quality of certain item / price ) you will give some component to vendor .
    Vendor shall process the item / use the item provided & supply the final item.
    SAP process:
    1.Create the finished goods material code.
    2.Maintain the BOM for the material.
    3.Create PO with item category as "L" .
    4.Issue material to vendor with movement type 541
    5.Receive the material against the PO with movement type 101.
    6.MIRO to account for vendor's invoice for the service charge& material used by him.
    Can anybody tell me how a process has to be given to subcontracting?
    Suppose, I have 3 operations 1)weaving 2)dyeing 3)cutting & packing
    if no 2 process (i.e Dyeing) has to be given to subcontracting, what process should i follow ?
    The following process to be followed for subcontracting.
    1. Item code(material master) to be created at the stage of before dyeing.
    2. Item code(material master) to be created after Dyeing as subcontracted item.(F30)
    3. Bill of material to becreated for the material(2) calling for material(1)
    4. Inforecord and source list to be created for material(2) with the corresponding vendor
    5. PO to be released for material (2)
    6.Along with PO the material(1) to be issued to vendor
    7.On receipt of material when GR is made the stock with vendor will get updated.
    How to Create a Subcontract Order?
    To create a subcontract order, proceed as follows:
    Enter the material you want to order and the item category for subcontracting (L) in the order item.
    Press ENTER to display the screen for component processing.
    Enter the components that the vendor requires to manufacture the product.
    Please note:
    – You do not need to enter the date required for the components. This date is proposed by the system when you press ENTER.
    It is calculated as follows:
    Delivery date of the item - Planned delivery time
    – If you do not want the quantity of the components to be changed if the order quantity of the end product is altered, set the indicator Fixed quantity (column F).
    – You can determine whether the components are available on the date required by selecting Edit -> Availability check.
    If you entered a bill of material as the material in the subcontract order, the components are created automatically.
    If you want to determine the components in the bill of material at a later date (for example, if the bill of material is subsequently changed), choose Item -> Component -> New BOM explosion. The existing components are deleted and redetermined in the bill of material.
    Save the purchase order.
    When you print the purchase order, the components are printed per order item
    Subcontracting - Key Points
    Special Procurement Process.
    Item category: L
    Order type: NB
    In info record vendor should be maintained as subcontractor.
    Vendor (Subcontractor) receives the components used to manufacture a finished product directly from your company or through third party.
    Your company should place a purchase order for the finished product. In this manually you can enter the required individual components or it can be determined via the explosion of BOM (if exists).
    Stock check at vendor level: ME2O
    Company stock check: MMBE
    GR for individual components through movement type: 501 or 561 (if with out PO or without reference).
    GI to subcontracting vendor: through movement type 541.
    GR from sub contracting vendor: through movement type: 101
    Movement type 543 is displayed to cancel the material cost account.
    If the subcontracting order has to be generated through materials planning,the special procurement key has to be set in MRP 2 screen.
    - To create the Subcon Info Record : Tcode ME11 - Info Category - Click Subcontracting
    - To create Material BOM : Tcode CS01
    - With the Info and Material Setup, you can then create the Purchase Order in Tcode ME21N
    Reward if useful to u

  • Trading with Sub-Contracting Scenario

    Dear All,
    I have one requirement of Traded Material Scenario, where the material is delivered by Sub-Contractor directly to Customer.
    The details are -
    Sub-Contractor delivers material A to customer.
    The material A has BOM maintained, where component B is maintained in the BOM.
    My company purchases B from another Vendor & which is again directly supplied to Sub-Contractor. Sub-Contractor processes the component B to manufacture material A & delivers the same to my Customer.
    The following issues need to be addressed -
    1) Item category is L in Sub-Contracting, where as it is S in Third Party scenario. How can I have two item categories in same line item of Order.
    2) Excise paid by Vendor (supplier of component B) can be availed by Sub-Contractor as set-off & I have to debit the same to Sub-Contractor, as payment to Vendor for component B is  done by me.
    3) Excise paid by Sub-Contractor is to be inventorized at my end (as it is cost to me) & can be availed for set-off by the customer.
    Can anybody has any input for this?
    Regards,
    Prashant

    I think this process was earlier called as 52 A operations. 
    This is what we had done 52A did not have requirement of jobwork challan)
    1: Create the Subcontractor' Location as a "non excisable-Plant " in SAP.( The subcontract vendor was supposed to maintain his own excise records)
    2.PO for raw material /Component will be raised from Subcon Plant .
    3.The Excise in the PO will have to be configured as a Condition similar to VAT Deductible(so that during  MIRO it is sent to another GL account for tracking and further FI-debit note to recover from jobworker )
    4. The Production of the Main FG can be shown by Subcontracting PO .
    5. There has to be another Virtual Plant ( A RG23D registerd depot normally) which will depict your companys local office near the Subcontractors Location , as the Final SALES Invoice should be from your companys Name.
    6. Goods will first be sent by a STO to this Virtual Plant , here in This STO you can also add the Excise Duty condition types for Inventorization purpose.
    7. Create Sales Invoice (and if RD23D then  Depot invoice) from your Virtual Plant .( Excise invoice will be created by the subcontracting  vendor , against which your customer can claim Modvat)
    I have mentioned the Process above , for config settings of each process  you can check many threads here in SDN.

  • Inter company sub-contracting order

    Hi all!
       Can anyone tell me the complete configuration settings for an Inter company sub-contracting order and the process in detail.
    Thanks in advance,
    Raj.

    create the vendor in the name of that company
    if its ur own company u can make ur plant as vendor and issu material for subcontracting
    Process cycle:
    1. PO creation
    Use item category--> L
    Taxcode --> zero taxcode
    Enter the components of the material manually, if the product material doesn't have the BOM created.
    2. Transfer posting to issue the material to the subcontracting vendor. Tcode--> MB1B
    USE MVT. TYPE --> 541
    POST THE DOCUMENT
    3. FOR EXCISEBLE MATERIAL,CREATE A SUBCONTRACTING CHALLAN USING TCODE --> J1IS AND W/ REF TO THE TRANSFER POSTED DOC. NUMBER.
    4. GOODS RECEIPT
    NORMAL GR WITH REF. TO PO AND MVT. TYPE 101, ENTER THE RELEVANT CHALLAN # IN THE POPUP WINDOW.
    5. TCODE--> J1IFQ
    RECONCILE THE QTY.
    6. TCODE--> J1IF13
    COMPLETE THE CONFIRMATION PROCESS OF THE RECONCILED QTY.
    7. TCODE--> MIRO
    INVOICE PAYMENT FOR THE VENDOR
    regards
    kunal

  • Sub contract PO (Item Category "L" )

    Dear Friend,
    There is requirement from my client
    In case of Sub contract Purchase order (Item category "L"), user should not have option to make any changes for "Child material" which is exploded through BOM. i.e. In PO Creation or Change transcation(ME21N or ME22N) at item level >Material Tab>Components option (which will show the details of "Child Material") should not appear or it can appear but in gray field.
    Can any one help me to fix the issue
    Thx
    Deva

    Dear Deva,
    I dont think such configuration can be done. This is the flexibility given in system. This can be control through authorization or awareness.
    Vivek Maitra

  • Profit Center Assignment for Component of Sub Contracting PO

    Hello all!
    I apologize in advance if this is not the correct forum to post this question in. Additionally, I am an ABAPer with a focus in SD and MM, so much of FI is foreign to me.
    To the problem...
    Currently when a MIGO 101 is processed for a Sub Contracting PO Line item, a consumption transaction (543) is generated for the component materials on the PO Line. These consumption transactions are "tied", this is how my finance co-worker described it, to a Cost Center dedicated to Sub Contracting.
    We would like to change the configuration as follows:
    When the consumption transaction posts, it "ties" to the Profit Center (and thus cost center) of the Parent SKU (actual material received on PO Line) of the transaction.
    Is this possible?
    Thank you,
    Steven Coolbaugh

    Hi Steven:
    Not sure if I understood correctly your requirement but let me try to explain:
    For consumption items (Account assignment category K in PO line), it is consumed immediately on GR and consumption is posted to a cost center attached to PO line. And that is what happening in your exising process also, right?
    Now when you said "TO Be" change as consumption ties to the profit center (and then to cost center) of parent SKU??
    It is other way round. A cost center is linked to one profit center (whereas as a profit center can have many cost centers attached to it). Also since profit center is not a TRUE cost object (it is a statistical object), PO line would need a true cost object like cost center. So based on the information you provided in your post, it is not technically possible to book consumption at profit center (And then to cost center).
    Are they two separate cost centers (one for sub contracing and one for Parent SKU)? If yes, can you attach parent SKU cost center to PO line (from business point of view) so that consumption posts directly to parent SKU and then to the attached profit center?
    Hope it helps.
    Thanks.
    Rahul

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