Transparent Table with Invoicing Plan Information

Hello,
I just want to know what transparent table have the Invoicing Plan Information from a Line Item.
Regards,
Hector

Thanks for your reply.
I also used FPLT.
Regards,
Hector

Similar Messages

  • Purchase Order with Invoice Plan

    Hi,
    I need to understand working with Invoicing plans for a Purchase Order. Especially the service PO for the rents and other related services.
    How the PO is linked to the Invoice Plan and how the process happens in SAP?
    Thanks in advance!

    Creating an Invoicing Plan  
    The following procedure describes how to create an invoicing plan with the pre-Enjoy ordering transactions (ME21, ME22, ME23).
    The procedure described is also applicable u2013 with certain restrictions u2013 to the Enjoy purchase order (ME21N, ME22N, ME23N).
    If you are using the Enjoy purchase order, you will find:
    ·         The Invoicing Plan button and the indicators for GR-based invoice verification (GR-Based IV), service-based invoice verification (Srv.-Based IV), evaluated receipt settlement (ERS), and invoice receipt (Inv. Receipt) among the item details on the Invoice tab page.
    ·         The account assignment among the item details on the Account Assignment tab page
    ·         The Goods Receipt and GR Non-Valuatedindicators among the item details on the Delivery tab page
    Prerequisites
    Vendor Master Record
    Before you can use the invoicing plan with automatic settlement, the Evaluated Receipt Settlement Delivery indicator must be set on the Purchasing Data screen in the vendor master record.
    (If you wish to enter invoicing dates manually, this is not necessary.)
    Purchase Order
    ●     We recommend using a framework order (that is a purchase order with a validity period and a reason for rejection). The invoicing plan can adopt the validity period specified in the PO header.
    ●     PO items for which you wish to use an invoicing plan must have account assignment irrespective of whether a material with a master record, a material described by a short text, or an external service is involved.
    ●     The GR/IR control facility must be set up in such a way that no goods receipt (or, in the case of services, no service entry) is expected - only an incoming invoice. If you wish to have automatic settlement, you must also set the Evaluated Receipt Settlement indicator.
    If you nevertheless wish to allow service entry sheets for the item (e.g. for information purposes only), you must set the GR Non-Val. indicator.
    Customizing
    Under Purchase Order à Invoicing Plan in Customizing for Purchasing, you can maintain data such as the desired invoicing plan types, date categories, and date descriptions.
    Procedure
           1.      Create a purchase order with account assignment (framework order).
    Click  to access the item overview (or the overview of service lines if you chose item category D for services).
           2.      Enter the desired material or service, the quantity, and the price.
           3.      Select the desired item and click  Account Assignments to access the account assignment screen. Enter the account assignment for this item.
           4.      Click  to access the item detail screen. Check that the GR/IR control indicators are set correctly on the item detail screen.
    ○     The GR and GR-Based Invoice Verification or Service-Based Invoice Verification indicators must not be set.
    ○     IR must be set.
    ○     You must set ERS if you wish to have Evaluated Receipt Settlement.
    ○     If you wish to have service entry sheets purely for information, for example, allow non-valuated goods receipt (i.e. select the GR Non-Val and GR indicators).
           5.      Choose Item ® Invoicing Plan. A window appears, in which the invoicing plan types predefined in Customizing are suggested. Choose the desired invoicing plan type and click  Continue.
    You can use the following invoicing plan types:
    ○     Periodic Invoicing Plan
    ■      You use the periodic invoicing plan if the total value of the PO item is to be invoiced in each period.
    ■      The system creates the invoicing dates automatically on the basis of the settings in Customizing.
    ■      The invoicing date and the amount to be invoiced are shown for each settlement period (e.g. month). In the case of the periodic invoicing plan, the amount represents the total value of the PO item.
    ■      You can change the suggested dates and block individual dates for automatic invoicing if necessary.
    ■      You can enter the start and end dates for the invoicing plan.
    ■      With the Dates from and Dates to fields, you can determine that an invoicing plan does not contain invoicing dates extending over the entire validity period of the purchase order but only for a certain period within that validity period. (E.g. within a validity period from 1.1. to 12.31, only dates within the period 1.1. to 06.30.)
    ■      With the Horizon field, you control how far into the future dates can be created. If you enter a date rule that adds six months to the current date here, invoicing dates will be created for just half a year in advance in each case.
    The system automatically creates new dates if you change the invoicing plan or when you invoke the transaction for Updating Periodic Invoicing Plans. See Generating Further Invoicing Plan Dates
    ■      The In Advance indicator allows you to specify whether the invoice is to be created with regard to a prior or subsequent period. (E.g. at the beginning of February, either in advance for the month of February or in arrears for the month of January).
    ■      In addition, fields with information on the existing invoicing plan are displayed (e.g. the calendar upon which the date determination process is based).
    ○     Partial Invoicing Plan
    ■      You use the partial invoicing plan if the total value of the PO item is to be invoiced in several partial amounts.
    ■      You get an empty date overview in which you can manually enter the desired dates.
    ■      If you work with a reference invoicing plan, the system automatically generates dates in accordance with the reference plan.
    You have the following options:
    ●      You create a reference invoicing plan in Customizing for the invoicing plan type.
    ●      You enter an existing invoicing plan as reference plan directly in the invoicing plan for the PO item.
    ■      You can flag a date in field B (Billing/Invoicing Rule) as follows:
    ●      As a down payment (percentage or value)
    ●      As an invoicing date (percentage or value)
    ●      As a final invoice
           6.      Click  to return to the item overview.
           7.      Click  to save the purchase order item with the invoicing plan.
    You can then start the automatic invoice creation process during invoice verification.
    For more information, refer to the section Settlement of Amounts Due Under Invoicing Plans.
    Once assigned to an item, the invoicing plan type (e.g. partial invoicing plan) cannot be changed. If you wish to assign a different invoicing plan type, you must delete the item and create a new one.
    Generating Further Invoicing Plan Dates  
    If you have assigned a periodic invoicing plan to a PO item but have not initially defined invoicing dates covering the entire validity period of the purchase order, you can generate further dates in due course.
    You have created a PO item with a periodic invoicing plan for a certain planned procurement. The purchase order is valid from 1.1. to 12.31. When creating the invoicing plan, you specified one invoicing date per month for the first half of the year. You have not yet planned any dates for the second half of the year because you do not wish information from the invoicing plan to be passed on to purchase order commitments at this stage, for example.
    By mid-June, it is clear that the PO is to proceed as envisaged, and you therefore wish to schedule invoicing dates for the remainder of its validity period.
    Procedure
    To schedule further invoicing dates, proceed as follows:
    Choose Purchase order ® Follow-on functions ® Period. invoicing plan
    Specify the purchase orders for which invoicing dates are to be generated in the invoicing plan and perform the function.
    A log can be created if desired.
    Result
    The system adds further dates on the basis of information such as the validity period or horizon from Customizing, the purchase order, and the invoicing plan.
    regards,
    indranil

  • Po's with invoice plan- aggregation

    Hi,
    Is there any report from which we can get PO's which have invoice plan....
    I mean is there any way by which we can aggregate PO's with invoice plan.
    Brgds,
    Ashok

    Hi Ashok
    one way of geeting the required Information is  by usin Tcode MRIS- invoice plan  Settlement
    under processing option select test run
    and when you execute ; it will give you list of PO's which have Invoice Plan
    I hope this would be helpful
    Thanks and Regards
    Vikrant

  • List of PO with Invoicing Plan

    Hi,
    is there any way to extract a list of PO's with Invoicing plan?
    I mean, I would like to have a sort of ME2N where I can see also the Invoicing Plan for each PO, with the rates already invoiced and noy invoiced.
    Thnak you
    Fabio

    In ME2N, choose the dynamic selection..
    Also check MRIS report....
    Check the similar thread Po's with invoice plan- aggregation | SCN

  • Invoice price is not equal to po price with invoice plan

    Hi experts,
    I have one po with invoice plan like below,1st item was closeed.
    Start Date : 2007/11/29
    InvDate         Description                         %                  Invoice value   Currency                        T                    R                   DC
    2007/11/30     Down payment-     5.00     44,000.00         USD          1     C     W1
    2007/11/30     Down payment-     30.00     264,000.00         USD          1     A     W1
    2010/11/30     Prior to ship                          50.00     440,000.00         USD          1     A     W1
    2010/11/30     After Accepta     15.00     132,000.00         USD          1     A     W1
    In mir7, I put the po item in screen po reference and system give me 836,040.87 USD. I think the correct amount is 836,000, how the system logic to calculate invoice amount when po with invoice plan?

    Hi,
    please read from FAQ note 499523 the questions and answers 16, 23 and 25.
    Regards,
    Edit

  • Copy PO with Invoice Plan

    Hi guys,
    is there any function or way to copy a PO with Invoicing Plan?
    If I try to create a new PO by copying from an existing one, everything is copied unless the Invoice Plan.
    Who can help me?
    Thanks.
    Fabio

    Hi,
    An Enhancement is required in PO, whereby we can should explore the possibility to use two custom buttons, one at PO line item level for copying the Invoicing Plan from the current PO line item to any other desired PO line item, and other button at the PO header level for copying the Invoicing Plan from the current PO line item to all the PO line items. This requirement will be possible if we get a Screen exit to create some custom sub-screens & add these buttons in that sub-screen to meet our Business requirement, the logic for which can be coded in the Screen Exit. For meeting this requirement, there is a Screen Exit in the below enhancement from T-Code SMOD 
    Enhancement: MM06E005 - Customer fields in purchasing document
    Screen Exit: SAPLXM06. For more clarity refer the below link. I hope it will resolve your issue. Thanking you.
    http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/100675db-2464-2e10-319c-fb9f37c41abe?quicklink=index&overridelayout=true

  • Loading framework orders with invoicing plans...

    We have had a request to load framework orders with invoicing plans from a spreadsheet. I'm sure this is possible if we write something, but I was wondering if anything already existed in SAP to do this. If not, has anyone written something and what were the hurdles they encountered.
    Jas

    You can use LSMW for this process..
    Record the Invoice plan update on one framework order by using the change PO transaction under LSMW process. Make the invoice plan selection an external input, then use your excel file as the external input file in LSMW and repeat the process as many time the number of Frame work orders you have to update

  • 2lis_02_itm NETWR in case of PO with Invoicing Plan

    Hello all,
    The 2lis_02_itm documentation says that the field NETWR (Net PO value) is picked up directly from table field EKPO-NETWR.
    However I observed a different behaviour in case of POs with an Invoicing Plan ( mostly framework POs)
    E.g If a PO item has  qty 10 and  Price 5 , then the field ekpo-netwr is  50 ( = 10 * 5)
    Now if this PO item has 3 invoices done according to the invoicing plan , then the 2lis_02_itm-netwr is 150 rather than 50
    I just want to have your opinion - whether this is correct Net Po Value from BW analysis perspective or not? Is this the right behaviuor of the extractor?
    Regards
    Sanjyot

    F1 on NETWR
    Net order value in PO currency
    Value of the purchase order (including discounts and surcharges)
    Order value = order quantity X order price.
    so its correct hopefully.

  • Downpayment with Invoicing Plan

    Hello all,
    I'm trying to make a downpayment to a Vendor based upon a Purchase order (PO).
    Here folows the procedure reflected on the system:
    1)Creation of the PO with one valuated material (quantity and amount) item.
    in the item invoice, we can have invoice plan based upon % or amount. Therefore,
    in the logistics invoice the quantity is not verified.
    2)Processing the downpayment by MIRO, it appears as a negative value because there is
    no special GL indicator. I do know that by F-48 I can assign the downpayment to the PO.
    But, the tricky procedure is that I can't settle a condition at item level in order to
    consider it as the downpayment (profit to the vendor) and reduced for the total of invoices.
    3)When I do Goods-receipt (GR), it increases the stock quantity but I can't see the finantial
    documents related. If I want to enter the logistic invoice, there is no quantity to verify.
    Only the ammount is possible to verify.   
    We would like to enter the Downpayment based on one invoicing plan, but with GR/IV flag active.
    If we can be able to do this, everything will work properly as they use in the ancient system.
    We can also use a finantial item in order to deturn this problem, but this doesn't compensate
    the finantial open items (this means that he has the same sign " - ").
    Can anyone help us to solve this problem?
    Thank you in advance very much!
    Best regards,
    Pedro Grabulho.

    Hi ,
    I give my thoughts on this .
    1) I agree that if use F-48 for down payment , u won;t be able to do at the line item level . But u are entering only the Purchase order number as reference and there is no provision for line item . In this case also system won;t allow you to make payment beyond the purchase order value.
    2) Once GR Based IV is  flagged in the PO , it is not advisable to use MIRO for down payment.
    Regards
    Mani

  • Price Change in Framework Order for services, with Invoicing Plan

    Hi All,
    I create a F.O for a single item with Acct assignment"K" and Item Cat"D". The FO has two service masters with a common cost centre, with different tax codes. E.g.One with N2(19%) and the other with V0(0%). This FO is created with a periodic Invoicing plan.
    When I run MRIS for the first month, the invoice is posted with the correct values.For the second month when I change the prices randomly for the services at the service level, the invoice is posted with wrong values.
    But when I change the prices proportionately,e.g. for Serv1. from 100 to 200,300,400.. and for Serv.2. from 10 to 20,30,40.. respectively, the Invoices are calculated correctly.
    Could you please reply the reason for such a system behaviour and also the possible solution or the OSS notes for this issue. I am working in version 4.7.
    Thanks,
    Suresh Natarajan.

    Hi Steve,
    1) The invoice is calculated at a random value and I couldn't make out the proportions.
    2) Yes, the invoicing plan is Periodic with the Invoicing date as the last day of the month.The order is valid for 2 years(01.01.2007 TO 31.12.2009) and therefore in the invoicing plan of the PO, there will be invoices till 31.12.2009 with the Invoice Block. At the end of everymonth, the block will be removed for processing the Invoice(MRIS).During this time, if there is any change in the prices, we can change it and remove the Invoice Block and save the PO. Here when we change the prices randomly and execute the MRIS, it is throwing wrong values(i.e.the tax calculated is wrong)
    Thanks,
    Suresh.

  • Invoice block-for a PO with Invoicing plan

    Hi Team,
    The Invoice is blocked  with Price block for a PO with Account assignment category Z (no GR cost centre) and with the Invoicing plan.
    the Invoicing plan  is a periodic with monthly invoice dates.
    for ex: 31.01.09
             28.02.09
            01.03.09  and so on
    but no Invoices were posted for the month of January and two invoices were posted in Feb.
    the 1st Invoice is cleared and 2nd is blocked for Price.
    please answer these questions.
    1) The system should not have blocked the  2nd Invoice  of Feb as no Invoice was posted for January?
    2)Then if the system is not allowing two invoices in the same month eventhough the earlier month posting is not done.
    the earlier month can be posted only with the Past date is it so?
    Regards,
    Adinath Raykar

    y

  • PO ERS with Invoice plan self invoice created incorrectly after making two reversal invoice now amount is higher than self invoce

    Hi Team,
    This month i have reversed self Invoice and I did a credit of an Invoice and paid January. Then I launched the correct self Invoice and amount is higher than. Now Invoice plan month of Feb is consumed,  Meanwhile I have blocked the Invoice and Credit. I am not understand why this is happening.
    Please suggest me any configuration missing .
    Thanks
    Sachin

    hi Sachin
    Please check if there was any price change in the PO
    Also what is the order of any GR/GR reversal done? Generally if you dont follow chonological order or reversing the invoice and GR, you tend to change the price of the reminaing quantity of the PO and things get messed up.
    For eg, if you made PO with quantity 10 and made GR of quantity and 5 and invoice of 10 and then reversed Gr of 5 and then reverse invoice of 10. You will see a huge difference in the PO history tab. Please show us your PO history tab screen
    Regards
    Vivek Singh

  • Extend Table with new query informations

    Hi I have the fallowing
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    aaaa ab
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    bbbb ae
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    Sales Company2
    dddd et
    hh rt BE
    Market Company1
    bbbb ze
    rt sw US
    Sales Company2
    How do i do it? Thank you

    Something like this i wanted:
    Create a procedure from the code that reads data from AD
    Create a cursor that goes trough the first table and collect the information.
    I did not know about the option to insert type of code..
    procedure sp_getADInfo @name nvarchar(100)
    declare @nume nvarchar(100)
    declare nmsCursor cursor for select distinct nume from #temptbl
    open nmsCursor
    fetch next from nmsCursor into @nume
    WHILE @@FETCH_STATUS = 0
    BEGIN
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  • Release Strategy Problem with Invoicing Plan

    Hi ,
    I am using Invoicing Plan for my framework orders at client side.But the release is getting activated at line item level and not at the total invoice level while i am creating a PO.
    Eg. If the PO total value is 1000 Rs and the individal line item is 500 Rs then release is getting activated at 500 Rs and Not at 1000 Rs where as i want the release to be get activated at 1000 Rs.That is the total of all line items in PO.
    Lekhram

    Dear Lekhram,
    what is the field that u use in the characteristic value for the total amount?
    You can try to user CEKKO-GNETW.
    Regards,
    w1n

  • General method to fetch data from transparent tables with cluster field

    Hi,
    I want to know is there any general method to fetch data from the transparent tables which have cluster type field. For
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    Means using the IMPORT statement we can fetch data from any cluster field?
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    AR and MC are cluster ID (area identification), so called RELID.
    By definition cluster is a combination of table and such area i.e
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    PCL2(B2) - time results
    Regards
    Marcin

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