Transcation code to assign Vendor to Customer

Hi,
Can any tell me the Tcode to assign Vendor to Customer.
Thanks,
Vinayak

XD02.  The vendor is assigned under the 'Control data' tab.

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  • Vendor and customer  assignment

    Hi,
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    pls suggest.
    Regards
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    Hi Syed R,
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    Message was edited by:
            Raj

  • OBYA : vendor and customer clearing in cross company code transaction

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    Hi,
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  • What is the importance of the tabs like vendor and customer in t.code md04

    Hi All,
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    Edited by: Raja on May 7, 2009 6:13 AM

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  • Use of Vendor and Customer in 'Define Shipping Data for Storage Location"

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    Hi,
    Define Shipping Data
    Here in this step you maintain the customer number of the receiving plant. This customer number is used in SD shipping processing to identify the goods recipient (ship-to party) if stock transfer to be carried out with an SD delivery
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    You can enter a vendor (transport vendor) in the stock transport order
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    You can assign sales org/distribution channel, division and VENDOR and CUSTOMER to storage location through Plant only.Means this Vendor is created for entering in the STO .This vendor is created for the the Plant (Supplying Plant)so as u can create STO.
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  • Account assignment model for customer line items

    Hi all
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    Rakesh

    Hi,
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  • Tcode for Vendor and Customer Trial balance

    Hi,
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    Vendor C     -    Rs. 1000
    Total -- XXXXX -
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    If standard report does not suffice your requirement, then create your own.
    FOR vendor USE K in transaction code instead of D.
    Hello,
    The following example I have given is for customers.
    The only difference is in transaction codes. For customer you go to FDI1, for vendor you go to FKI1 (reports).
    For Customer you go to FDI4, for vendor you go to FKI4 for forms.
    Remaining all are the same.
    Hello,
    Go to transaction code FDI4
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    Structure (Two axis) - as defaulted
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    Delete the rows 2, 3 and 4
    Double click on column 1
    Enter the customer numbers from 1 to 999999
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    Due date analysis 1
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    Give the short name, medium name and long text for the column.
    Repeat this step in next columns like 31 to 60, 61 to 90, 91 to 120 and 121 to 99999 days etc in other columns and select due date analysis 1. (B,C,D,E)
    Create one more column by way of formula. To create a new column you need to double click on blue line. Put formula add all five columns you have created above. (F = ABCDE)
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    Now you prepare one more column add (F+G) = This will be total open items = over due and not due.
    Now go to FDI1 and prepare a report - assign the form created in FDI4 to the report.
    Characteristics you need to select are
    Account Type (Select Account Type as D for customers)
    Currency
    Customer
    Document Type
    Special G/L Ind
    Company Code
    Change the output types and options according to your requirement.
    Refer FDI2 and FDI3 for other standard reports created.
    Refer FDI5 and FDI6 for other standard forms created.
    Save your report and execute.
    Regards,
    Ravi

  • Sto process find vendor and customer

    we are Creating STO with ME27 tcode from one plant to another plant ie from A120 to S122.
    Already the configurations are done by someone.
    Now i took the purchase order xxxxx and open in me23n.
    As per the process we need to Assign  vendor to Delivering plant
    ie XK03 >Purchasing view>Extras>Add. Purchasing data>Plant
    I have the supplying plant and want to find the vendor to which it was
    assigned. I searched the ME23n Tcode and not found the vendor(envirnoment-vendor).
    I checked in lfa1 table also to some extent, but not found.
    And also tell me how to find the plant in cusotmer.

    Thank you all .
    Chakrapani  it means that  some of the following settings are not required for sto ie plant to plant within same company code?Could you please tell which are not required?
    1.Create a vendor for the company code of receiving plant: T-Code XK01.
    2 Assign this vendor to Delivering plant
    Go to XK02 >Purchasing view>Extras>Add. Purchasing data>Plant
    3. Create internal customer with the sales area of the vendor. Go To XD01
    4.In Pricing procedure determination relevant to STO, assign document Pricing Procedure and customer pricing procedure appropriate for STO to get the pricing in the invoice.
    5.Maintain condition records for the relevant pricing condition.
    6. Some more setting for STO: Go to MM> Purchasing > Purchase Order > Set up STO> define shipping data for plants > Go to Receiving plant >assign customer here & Supplying SA (for billing) to Receiving plant here
    7. Go to MM> Purchasing > Purchase Order > Set up STO> define shipping data for plants > Go to Supplying plant and assign the sales area of receiving plant.
    8. Go to MM> Purchasing > Purchase Order > Set up STO> assign delivery Type & Checking rule
    Assign the delivery type to document type. In this case, Delivery type NLCC is assigned to Document type NB
    9. Go to MM> Purchasing > Purchase Order > Set up STO>Assign document Type, One step Procedure, Under delivery tolerance
    Assign the document type NB to supplying plant and receiving plant
    10. After all settings , Create the STO using T-Code:ME21N and Save.
    11. Create Delivery :VL10G
    Click on the Background Button after selecting line item
    A message is flashed : See log for information> next Click on Log for delivery creation Button >click on line item>click on document button to get Delivery document No
    12. Picking, PGI:VL02N
    13. Billing:VF01N
    Note:
    1)Sales View is maintened for Material in both plant
    2) Loading group is maintained for that material in the sales org/ Gen Plant view
    3) Material is extended in both plant
    4)In T.code:OVL2 ,,,,,, maintain the Shipping condition, loading group, Plant & Primary shipping point combination. The loading group should be equal to the Material master loading group & shipping condition equal to customer shipping condition.

  • Regarding segments in GL master, Vendor master, customer master

    Hi
    friends
    can any one tell me how many segments in GL master, Vendor master, Customer master.. I give your points...
    Thank you
    [email protected]

    Hi Kumar
    in GL - Chart of accounts level and company code level
    in Customer - Sales org level and company code level
    in Vendor  - Purchase org level and company code level
    Thanks
    Ashok
    Assign points for useful answer

  • Confirmation of Vendor and Customer General Data

    Hi,
    I have a following scenario. we want to allow the person with specific company code to confirm the vendor and customer data of his own company data.
    User1 with Company Code C1
    User2 with Company Code C1
    User3 with Company Code C2
    User4 with Company Code C2
    Suppose User1 creates or changes the vendor data. Now only User2 with company code C1 should be allowed to confirm the changes using  T-CODE FK09(for vendor) and not any other user 3 & 4 with Company code C2. and vice versa.
    Is there any user exit in FK09 that will allow me to add these checks or any other possible solution.

    Hi,
    Define Shipping Data
    Here in this step you maintain the customer number of the receiving plant. This customer number is used in SD shipping processing to identify the goods recipient (ship-to party) if stock transfer to be carried out with an SD delivery
    A goods receipt can be planned in the receiving plant.
    You can enter a vendor (transport vendor) in the stock transport order
    In IMG step "Define Shipping Data for Storage Location".
    You can assign sales org/distribution channel, division and VENDOR and CUSTOMER to storage location through Plant only.Means this Vendor is created for entering in the STO .This vendor is created for the the Plant (Supplying Plant)so as u can create STO.
    Rewards If usful
    Regards
    Sanjay L

  • Profit Center population in the Vendor and Customer Line items

    hello
    our client is asking for  getting profit center in the vendor and customer line items  where in the view FBL5n and fbl1n we are not getting the profit center populated - in the new gl i understand that there is a standard report based on the gl account.
    but our business is not satisfied with the report and expecting report at profit center level.
    Can any one suggest any way of doing this.
    regards,
    Vijay

    Dear Vijay,
    Let me provide you my view of solutioning for this. This is an enahcement that needs to be done
    1. You can get the profit center from the given vendor and customer line item at the time of posting, using an enahcement you will be able to capture it.
    2. Existing the profit center field is not populated in the BSIK,BSAK,BSID and BSAD tables
    3. Hence, in the same enhancement once you capture the profit center , you can write the code that profit center is updated in these tables also.
    4. This will help you to do the vendor line item wise selection in the FBL1N,  FBL5N profit center wise.
    Constraints of this solution:
    The only constraint remains where in the for a given document if there are multiple profit center, then the system will do the splitting profit center wise for a vendor line item, which will not populate the profit center in those tables as there is only one field available in the bsid etc.. tables.
    This basically would be the one the soltuion where in as seeen from the end user ther eis no change in the front end interface , the way they are doing always they can do.
    You need to also take care the % of document splitting means cross profit center postings /cross document splitting charactericstics postings and the volume involved in this. so that you can suggest this to your client.
    Regards,
    Bharathi.

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