Transaction Key/ Account modifier Key

Hi
Can any body explain relation :
NEW material group( Type is ROH)-> new valuation class-> GBB( TRANSACTION KEY)-> VBR( ACCOUNT MODIFIER KEY)-> G/L account
Significance of them wrt each other and config steps necessary.
Which transaction key we should select for posting related to newly created material group.
Say for ROH, Consumables, services etc.
Regards Komal

hi,
1. In Material master, Accounting view we will assign the valuation class,  For material type ( IN OMS2 transaction), we will give Account category referance.
2. for STock account it is BSX transaction key.
follow this link:
http://help.sap.com/saphelp_erp2005/helpdata/en/93/744148546011d1a7020000e829fd11/frameset.htm
http://help.sap.com/saphelp_erp2005/helpdata/en/93/744148546011d1a7020000e829fd11/frameset.htm
hope this may help you,
Regards,
Srinivas

Similar Messages

  • Account modifier keys and valuation grouping account

    Hi Gurs,
    How Account modifier keys will create and it will be reflect in obyc settings..
    what is valuation grouping account and how it will reflected in obyc settings.
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    Hi,
    How Account modifier keys will create and it will be reflect in obyc settings.. >>>>>>>>>
    Account Modification
    Key which has a different meaning depending on the procedure. It is used to differentiate account determination. The key's meaning is predefined in the SAP system and cannot be changed.
    You can maintain the account mdifier in OMWN transaction agaist the movement type and then you can use it in OBYC for transaction ket GBB for ofset entries.
    You can also maitain in account assignment category also .
    e.g. for account assignment category you have VBR account modifier and you can change and create your own ZZZ type and use in OBYC.
    what is valuation grouping account and how it will reflected in obyc settings. >>>>>>>>>>
    Indicates a grouping of valuation areas.
    You can maintain it in OMWD transaction to group different valuation area.
    Within a chart of accounts, you can use the valuation grouping code
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    2. to define common account determination for several valuation areas (company codes or plants)
    Regards,
    Shailesh

  • Account modifier keys description SVN

    Hi Gurus,
    Can any one tell me where  to find  account modifier keys description which are defined for GBB e.g SVN, SXN....etc.
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    Go to OMWB and click on GL Accounts button.  In the resulting screen, give your company code and execute.  Here you can find GL account-wise mapping of OBYC with Account keys.  You can find the Account Modifiers with description under GBB keys.
    Find below the full list
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    - VBR: for internal goods issues (for example, for cost center)
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  • Transaction Key and Acct Modifier Key

    In automatic account determination , whats is the difference between transaction key and account modifier key?
    When we need to define account modifier key?
    POINTS WILL BE REWARDED FOR ANSWERS.
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    Hello Venugopal,
    Transaction / Event Key
    Key allowing the user to differentiate between the various transactions and events (such as physical inventory transactions and goods movements) that occur within the field of inventory management.
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    Regards
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  • BAPI for transaction FB01 with account posting key

    Hi,
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    It is happening here in the BAPI
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  • Account modification key for movement type 643

    Hello Experts,
    I am reaching out to you today as I am in need of some info on Account assignment for Goods issue process. I looked at transaction OMWN or OMJJ for movement type based settings. I am running a business process ' Intercompany stock transfer order'. Goods issue movement on delivery reads 643(Goods issue for cross company), which is picking 'Account modification key' VAX.
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    Valuation Structure
    Data on a material is valuated using the following structure:
      Valuation area
      Valuation class
      Valuation category
      Valuation type
      Material type
      Movement type
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      Valuation area = one plant
    The stocks of a particular material in this individual plant are valuated together. Stocks in
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    You group together different materials with similar properties into valuation classes so that you
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    The following table contains examples of possible valuation classes:
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    3001 Colors
    3002 Paints
    3030 Operating supplies
    3100 Trading goods
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      Different materials with the same material type are assigned to different valuation classes.
      Materials with different material types are assigned to a single valuation class.
    MM - Material Price Change (MM-IV-MP) SAP AG
    Valuation Structure
    10 April 2001
    A material is assigned to a valuation class in the material master record. The system checks
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    or procured externally.
      Origin
    You can valuate a material differently depending on where it comes from (such as home
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      Status
    You can valuate a material differently depending on its status (such as new, used,
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    The system administrator can create or change material types in Customizing.
    Movement Type
    For every material movement, there is a movement type in the SAP System. The movement type
    controls the properties of the movement, for example, which entries you must make when
    SAP AG MM - Material Price Change (MM-IV-MP)
    Valuation Structure
    April 2001 11
    entering a material movement, and which updates are carried out when the movement is posted.
    The following control features are important for valuation:
      Does the material movement cause the quantity to be updated?
      Does the material movement cause the value to be updated?
      Does the material movement lead to postings in Accounting?
      Is the material movement relevant for LIFO/FIFO valuation?
    The system administrator can create or change movement types in Customizing.

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  • Account posting keys involves for process of third party order

    hi
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    regards
    Ram
    Edited by: Ian Wong on Aug 13, 2008 7:06 PM

    THIRD PARTY SCENARIO
    In third-party order processing, your company does not deliver the items requested by a customer. Instead, you pass the order along to a third-party vendor who then ships the goods directly to the customer and bills you. A sales order may consist partly or wholly of third-party items. Occasionally, you may need to let a vendor deliver items you would normally deliver yourself.
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    The processing of third-party orders is controlled via material types. Material types define whether a material is produced only internally, can be ordered only from third-party vendors, or whether both are possible. For example, a material that is defined as a trading good can only be ordered from a third-party vendor. However, if you manufacture your own finished products, you may also want, from time to time, to be able to order the same type of product from other vendors.
    Processing Third-Party Orders in Sales
    Third-party items can be created automatically by the system, depending on how your system is set. However, you can also change a standard item to a third-party item during sales processing manually.
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    If a material is always delivered from one or more third-party vendors, you can specify in the material master that the material is a third-party item. During subsequent sales order processing, the system automatically determines the appropriate item category for a third-party item: TAS. To specify a material as a third-party item, enter BANS in the Item category group field in the Sales 2 screen of the material master record.
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    FOR YOUR PROCESS Individual Purchase Orders WELL GIVE THE RIGHT SOLUTION
    Individual purchase orders are used when your customer orders goods from you that are not in stock and must be ordered from one or more external vendors.
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    During sales order entry, the system automatically creates a purchase requisition item. The purchasing department creates a purchase order based on the requisition and the vendor ships the goods directly to you (unlike third party order processing, where the vendor ships directly to your customer). You then ship the goods to your customer. While the goods are part of your inventory, you manage them as part of the sales order stock. Sales order stock consists of stock that is assigned to specific sales orders and cannot be used for other purposes.
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    We will do this transaction in SAP using MIGO.
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    Customize the third party sales in summary:
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    assign Purchase org to plant,
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    8. Goods issue
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    10. Billing *--
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    Execute
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    Third party order processing is as follows:
    Assume three companies X, Y and Z
    X - The company,
    y - The customer
    Z - Vendor
    When ever X gets a PO from Y to supply some goods, X has an option of either manufacturing those goods or procuring those goods.
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    Method 1) After receiving the PO from Y, X creates a sales order against Y.
    Now at the same time he also creates a PO to a vendor Z to produce the goods
    Z produces the goods and supplies to X
    X receives the goods from Z
    Then X delivers the same goods to Y.
    After that X invoices Y and Z invoices X.
    Note : Here there is no direct/ Indirect relation between Z and Y.
    This process is known as Trading Process. and the Material here is created with Material type HAWA.
    The other method is a Third party order processing method:
    Here the glaring difference is that instead of Z supplying the material to X and X in turn supplying the same material to Y.
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    Now Z supplies the material to Y and acknowledges the same to X.
    Z will send a copy of delivery acknowledgement and invoice to X.
    After receiving the delivery confirmation and invoice from Z, X has to verify the invoice and this process is known as invoice verification and is done in SAP through Tcode MIRO.
    The next step for X is to create an invoice and submit to Y
    Only after the invoice verification document is posted then only X can create an invoice for Y.
    This is the business flow that is followed for third party order configuration.
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    Step1)
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    step 4)
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    make sure that you mark subsequent type as NB - purchase requisition in this schedule line category as this will trigger the purchase requisition order immediately after the creation of the sales order and the PO to vendor is created against this purchase requisition.
    Award if Helpful,
    Regards
    Priyanka.P

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    Hello,
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    Any idea? Looks like an OS bug....

    It sounds like a hosed Preference file.
    Unfortunately, not having a numpad, I can't check up, but you could try getting rid of all the voiceover plist files from ~/Library/Preferences, then restarting and resetting everything.
    At that point, it's probably a good idea to save all the .plists to an external drive such as a USB key.
    Good luck!
    Archie

  • Key account form

    Dear SAP Guru,
    Can some tell me about key account form of output?
    Points will be rewarded.
    Regards

    The account key is defined in the sales pricing procedure
    SPRO > Sales and Distribution > Basic Functions > Pricing > Pricing Control > Define And Assign Pricing Procedures
    And the account to these account keys are assigned in VKOA transaction.
    This pricing procedure if assigned to customer master in XD02/ VD02 (Sales Area Data)
    Regards,
    SDNer

  • What is diff between acrual key & account key

    Pls let know the diff. between acrual key & Account key SD pricing procedure

    Hi Prem,
    In Account Key pricing procedure, Account keys are assigned to the condition types in the pricing procedures, this allows conditions
    such as freight conditions to posted to special freight revenue accounts.
    You can assign the Account keys using the following menu path in SPRO transaction,
    Sales and Distribution -> Basic Functions -> Account Assignment/Costing -> Revenue account determination -> Define and assign account keys -> Assign
    account keys.
    Before doing this you need to define the Account Keys in
    Sales and Distribution -> Basic Functions -> Account Assignment/Costing -> Revenue account determination -> Define and assign account keys -> Define Account key.
    Accruals are considered during Rebate Agreement processing.
    For example, Condition records are linked to the rebate agreement specifying the rebate rate and the accrual rate.
    When the rebate -relevant billing documents are processed, accruals can be determined and posted
    automatically by accessing that condition record. Corrections regarding Accurals are done using Credit memos.
    Hope this helps.
    regards,
    Raj

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