Vendor Consignement in IS-Retail ECC 6.0

Dear All
I need to configure Vendor consignment processing in IS Retail ECC 6.0. Can anyone help with the config document/steps?
Regards
Manish Bhandari

Dear Manish,
Following are the steps for Rackjobber Module:
a)  In Vendor Master <b>XK01</b>  tick Rackjobbing Service Agreed
b)  Maintain Info record
c)  CR Assortment Module in <b>WSO1</b> and assign RJ Module Type to
     your RJ Module
d)  If Inventory Mgmt is to be active tick same
e)  Give Yr Article Number with date of validity
f)  Click Revenue Account Assignment and maintain the following:
     1) Condition Category   in VK11
     2)  Chart Of Accounts  
     3)  Account Key
     4)  G/L Account    
g) Go to <b>WSO5</b> and RJ Modulr Assignment to Assortment with date of
     validity
h)  Whatever sale is happening in POS transfer to SAP
i)   Run MRKO Settlement
Regards,
Mani

Similar Messages

  • Vendor Consignment stock or vendor managed stock

    Dear All,
    My client wants to manage vendor consignment stock.
    Vendor will be given a area and vendor will keep the stock in his area. Based on the plan he will supply the stock.
    the GR for rawmaterials will be made on the consumption report given by the production person. This activity will happen next day only. i will do the GR only to the quantity consumed.
    for example if i consumed 100 qty, i will do GR only for 100 and vendor will issue invoice for 100. But when the vendor issue the stock, he will raise a excise invoice based on which i have to take excise credit. I want to know how to do the same.
    secondly, i take credit for 100 qty, but actual consumption is 95 only, how do i reverse the 5 only excise invoice.
    regards
    ranga

    No, it is possible to sell from vendor consignment stock directly and I have done it in ECC 6.0 (not IS-retail).
    - Pls refer the note 607604.
    - Establish the 'stock determination rule' in MM -> Inventory Management -> Stock Determination.
    - You need to assign it to the material (MRP3 view) or assign it to item-ategory.
    - DONOT mark the special stock indicator in item-category used in SD (e.g. TAN) with 'K'..I did this mistake and wasted some time. If you do, it will ask you to populate the Vendor field in the Delivery which is not available and you may get stuck up because of that.
    This should make it work.
    Pls award points if you find this information useful.
    Regards,
    Shripad

  • Control of vendor consignment stock

    Hello
    We have agreements with some of our suppliers about vendor consignment stock. Problem is that from a financial point of view, we don't fell we are having enough control about the values of the consignment stock.
    When the supplier deliver the goods physically on our location, we agree about the prices. Deliveries to other prices can be mixed with each other - in other words; we do not empty the consignment stock before getting new materials from the vendor. When ordering materials for consignment stock it is done via a purchase order, item category K and price 0.
    When using the consignment stock material we do it via MVT 411, which creates a posting - value of this posting is the price from an info record. Monthly the consumed materials are settled via MRKO.
    Problem is that we would like to know the price of the consignment stock - before it is used in production, even though it is not our goods, but we have committed to pay a specific price.
    Best regards
    Søren Kirch

    Hi
    Please note that in ECC 6.0 way back in 2006 SAP had introduced new functionalities for Consignment material for Retail (internal distribution) and for wholesale customer sale (SD sale).
    To over come this problem of stock determination for DC to store distribution (Plant to Plant) we need to do customization for stock determination and prioritization of stock (which type of stock should be considered when a particular movement type is called).
    The same stock determination group once configured and assigned to movement type should also be maintained in Article master Store or DC view. Article consignment indicator in the Article Store or DC view should also be marked as "1".
    Depending on the Source of supply 2 or A the transactions pick up stock types as mentioned in the Stock determination group (As prioritized).
    When you create an STO (Stock transfer order) the item category for Consignment is not populated any where but when you do Goods issue in outbound delivery the 411 K indicator will be picked up in the background.
    This will allow movement of Vendor consignment stock from one plant to another.
    I hope i answered your question.
    Devesh

  • T-code WV31 create physical inventory for vendor consignment stock

    Hi all,
    I have some issue with T-code WV31i n Sap Retail. Even though it supposed to create physical inventory doc for unrestricted use stock, it also create physical inventory Docs for special stocks (vendor consignment stock). What could be the reason?
    Best regards
    Sameera
    Edited by: Sameera on Dec 23, 2011 7:07 AM

    Hi,
    If i do physical inventory for 2 quantity.
    1. Consignment Payables account debited with 2 qty ( Now stock becomes 4 nos)
    If i issue 4 quantity
    2. Consignment Payables account credited with 4 qty.
    If i do consignment settelment, it is setteling 4-2 (for 2 quantity).
    But I want to settele for 4 quantity.
    Thanks,
    Maruthi

  • Selling directly from Vendor consignment

    Hi All
    <b>How to sell goods directly from vendor consignment ?</b>
    I have to build a selling consignment for a retail company.
    That company receive garment into vendor consignment stock. One customer can buy some shirts or trousers. In the month, company will issue alot of sale order. At the end month, that company total up consumption and sent to vendor. Vendor issue invoice and that company payment.
    My solution like this:
    1. Make PO consignment
    2. GR into vendor consignment, no FI document here
    3. <b>I want to selling directly from vendor consignment, but I can't</b>
    Somebody suggested that I have to transfer FG from vendor consignment to another stock before selling. That solution is not suitable because it take more steps and more time, you can take about <b>10 - 30s per sale order</b>. That company have hundreds of sale order per day, they don't accept that solution.
    Please help me selling directly from Vendor consignment
    Thanks & Best regards
    QuangDD

    Hi,
    You can use the movement type 231 K , it will directly transfer the goods from Vendor Consignment to the Sales order.
    I hope this helps.
    Regards,
    Murali

  • About goods issue from vendor consignment stock

    Hi, I meet some issue needs your help!
    The outbound delivery needs to post goods issue from vendor consigment stock directly. then how to choose which vendor's
    stock for this delivery base on the actual process?
    thanks
    Best Regards,
    Rory

    Hi
    In R3 it is not possible
    If say material X is 100 units lies in your premises the vendor  consignment stocks (the vendor property lying in your premises ) and out of that 100 units if you are making a sales order and then a goods issue means it is not possible
    To sell that material you need to make it your own stock ( that is transfer from vendor consignment to your own ) as good as buying that stocks and then sell it
    But the same scenario is possible in IS retail
    For this iS retail server is reqd
    In Retail you can play with vendor consignment stocks as much as possible without making our own stocks
    You can search SAP library regarding the settings of the same
    http://help.sap.com/erp2005_ehp_04/helpdata/en/c6/af3c415e5dde2be10000000a1550b0/frameset.htm
    Regards
    Raja

  • Vendor Consignement with POS Inbound

    Hi Gurus
    We are currently trying to implement Vendor Consignment stock with some of our Vendors.
    However we run a POS system that interfaces with SAP through IDOCs.
    We have tried a number of Config settings in these areas but are unable to get the POS Inbound transaction to consume  the Vendor Consignment Stock.  It is using movement type 251, and does not input the K to indicate the article should be consignment.
    Are we missing come crucial config we have missed?
    Or do we need to develop our POS system to hold a "consignment" indicator to pass through to the POS Inbound process.
    Your helps would be much appreciated.
    Thanks
    Hayley

    Hayley
    Which idoc you are using in POS inbound to push the consignment sales? WPUWBW01 is the idoc type used earlier for pushing consignment sales from POS back in to the Retail system. Now all the information will be coming in WPUUMS01 idoc only. Let me explain the steps, simply follow the steps to achieve the consignment stock special indicator in inbound. THERE IS NO ENHANCEMENT REQUIRED
    1) Activate Retail consignment processing:
    IMG --> Log Gen --> Retail consign processing  --> Activate retail consignment processing
    2) Define strategies for stock determination
    IMG--> Log Gen --> Retail consign processing --> Define strategies for stock determination
    3) Define stock determination group
    4) Define stock determination rule
    5) Define stock determination header table
    6) Define stock determination item table (K, F)
    7) Define alternate stock determination rules for consign processing
    8) Assign stock determination rule in applications (assign mvt types 251, 252 here)
    9) Configure automatic posting for KON (consignment payables) and AKO (expense/revenue from consign mat consumption)
    For POS inbound,
    10) Extension for controlling summarized sales
    IMG > SD> POS Interface --> Inbound --> Extension for controlling receipt based sales (you need to tick the 'Vendor consignment' )
    The final step is very important,
    11) Run the transaction WSSS for each site, this will take care of seperation of stock and this txn must be run before you process the POS inbound.
    Now do a Sale txn in POS and process the POS inbound and check the stock.
    Cheers
    Suhail Shaik
    SAP Consulting

  • Open items of vendor consignment GRIR in F.19

    Hello,
    We are using vendor consignment, when stock transfer from consignment to local stock, it debit stock account and credit GRIR, when settlement, it debit GRIR and debit account payable, but in F.19 list, these two kind of transactions are all list on GNB area, and without vendor number and PO number, it's difficult for finance people to clear them. anybody can advise how to show vendor number in these list?
    Thanks in advance & Best regards
    Richard

    Hi,
    Here might be lot of  reaons.
    1. May be they are not reached to due date.
    2. May be same vendor blocked to some other proposal
    3.May be those items have payment block
    4. May be Sepal GL Accounts not assign to All company coed Configuration
    5. Invoice posted into different Payment method and payment terms
    6. Please check the FBZP Configuration
    Regards,
    Surendra.

  • How to Handle Returns of Vendor Consigned Stock Issued via Delivery ?

    Hi.
    I am currently able to issue Vendor Consigned Stock via Delivery. I use Lean Warehouse Management, and I have implemented Stock Determination Rule to take Vendor Consigned Stock and Unrestricted own stock in account during Issue. I am even able to insert the correct Vendor Number during the confirmation of the Transfer Order. When I generate the Goods Issue of the Delivery Order, I get an accounting document that affects both the Account Payable Liability and a Consumption Account.
    Now My Question is this :
    How do I handle Customer Complaints that lead to a Return of the Goods, back into Vendor Consigned Stock ? The goods that is returned, needs to be taken back into Vendor-Consigned Status, and a appropriate Accounting Document needs to be generated to reverse out the Acct Payable Liability and Consumption Account entries.
    Do I use a Returns 'RE' Sales Order to bring back the Stock ? I need to be able to create a Return Delivery that will immediately post the returned Stock back into Vendor Consigned Status. So where and how can I key in the vendor number in the Return delivery, keeping in mind Return Delivery in Standard SAP does not use Warehouse Management ?
    regards
    Peo

    Hi Edmund
    I think you can try the following:
    1. Define a new schedule line category - here you can define the movement type and the item category (as given in a Purchase Info Record). - Transaction VOV6
    2. Define a new sales order type for returns. - Transaction VOV8
    3. Define a new item category for the returns document, - you can mention the special stock type here too
    4. Carry out the sales order to item category and item category to schedule line category assignments.
    I am not sure if the system will prompt you to provide the vendor number or how does it populate the vendor no. while posting the material doc. However you can try this out and check if this solves your issue.
    Reward points if you find this helpful

  • Request for help on Vendor Consignment stock and Customer Consignment Stock

    HI Experts,
    We have a requirement to segregate the Customer Consignment stock and Vendor consignment stock from the total Consignment stock available in the BW report.
    Currently in the report the calculation of total consignment stock is based up on Issued consignment stock and Received consignment stock .
    The calculations of the Issued and Received consignments stocks are specified below.
    Issued consignment Stock
    The below following parameters are checked when the quantity is considered as Issued consignment Stock 
    Transaction or Process keys :  100, 101, 104, 105, 106, 110
    Application    :   MM    
    Stock relevance : 1
    Adding to the above conditions,
    u2022     When the stock category is u2018Ku2019, the Quantity in Base Unit of Measure is assigned to Issued Consignment Stock.  or
    u2022     When the stock category is blank and the stock type is u2018Eu2019 or u2018Ku2019 or u2018Lu2019 then also the Quantity in Base Unit of Measure is assigned to Issued Consignment Stock.
    Received Consignment Stock :
    The below following parameters are checked when the quantity is considered as Issued consignment Stock 
    Transaction or Process keys :  000, 001, 004, 005, 006, 010
    Application    :   MM    
    Stock relevance : 1
    Adding to the above conditions,
    u2022     When the stock category is u2018Ku2019, the Quantity in Base Unit of Measure is assigned to Received Consignment Stock.  or
    u2022     When the stock category is blank and the stock type is u2018Eu2019 or u2018Ku2019 or u2018Lu2019 then also the Quantity in Base Unit of Measure is assigned to Received Consignment Stock
    Only stock category and stock type are available in the BW report for determining the type of consignment stock . So, with respect to stock category and stock type, could you please kindly advise if it is possible to determine the Customer consignment stock and Vendor consignment stock in the report
    Thanks a lot
    Warm Regards,
    Jeswanth
    Edited by: jeswanth kadali on Jun 23, 2009 4:10 PM

    Hi,
    We can settle consignment goods to vendor through MRKO transaction.Even user transafers consignment stock to own stock through MB1B transaction.We can use same document to settle vendor through MRKO transaction.
    What is implications of such Action (like Goods issue, 1 step transfer) on SAP.
    Nothing will happpen after after stock converted to own stock.
    Regards,
    JS

  • GR for vendor consignment 101+K in MIGO

    HI All,
    For some reason I am not able to post the GR of the vendor consignment PO using transaction MIGO. I am getting an error message that
    Movement type 101 K is not planned. (Entry is not copied over)
        Message no. MIGO057
    However I am able to post 101+K using MB01. Any idea what I am missing in config.?
    Thanks,
    Ritesh

    Hi,
    When you create Consignment po then must enter K at item category in the po,when you do Migo against Po then system automatically pull 101K mvt type not need to input mannually.
    thanks & regards
    Rakesh

  • Vendor deletion in SRM and ECC

    Experts,
    We are on SRM 5.0.ECS.,
    I have read several threads on SDN but none talks about the actual steps of setting the flag for deletion of a vendor in ECC and then updating the chnages in SRM.
    What are the steps for setting the deletion flag for vendor in ECC??DOes it need to be done throigh XK06?
    Also once the flag is set in ECC,are the changes replicated through UPDVD??Also wha are the updates done on SRM side for that vendor??Is the deletion flag also set for the vendor or the vendor is directly dleted from SMR?????If so which tarnsaction can I check that??
    After the vendor deletion happen on both ECC and SRM,what is the message which comes up when we try to create PO with this vendor in SRM?
    Also before the vendor is deleted from both systems,is it necessary to close all the old documents(SC and PO) which has this vendor?
    Thanks.

    Hi,
    What are the steps for setting the deletion flag for vendor in ECC??DOes it need to be done throigh XK06?
    Yes it can be done by that tcode.
    Also once the flag is set in ECC,are the changes replicated through UPDVD??Also wha are the updates done on SRM side for that vendor??Is the deletion flag also set for the vendor or the vendor is directly dleted from SMR?????If so which tarnsaction can I check that??
    tcode : BP (Tab Control )
    You will see central block for that vendor. If purchasing block is setup it can be seen in manage business partner tcode.
    After the vendor deletion happen on both ECC and SRM,what is the message which comes up when we try to create PO with this vendor in SRM?
    If central block is there it won't be available in search list. If still user manages to enter the vendor the system may throw up error message. Vendor is blocked for purchasing.
    Also before the vendor is deleted from both systems,is it necessary to close all the old documents(SC and PO) which has this vendor?
    Vendor is treated as business partner in the SRM. BUPA_TEST_DELETE is used to delete any vendor or business partner. The system itself will issue an error message that vendor can't be deleted. In R/3 its independent.
    My suggestion is apart from deletion please select purchasing block.

  • Vendor Consignment handling in SAP B1 9.0

    Hi all,
    How to handle Vendor Consignment in SAP B1 9.0.
    Issue:
    User places a purchase order receives stock as consignment. No effect should be shown on inventory reports and no financial impact shall be there.
    Further user bills the Vendor for the quantity for which he sends the bill exactly.
    at this point only finance and inventory shall reflect the change.
    Tried:
    Added a dropship warehouse in name of consignment, created the GRPO with no impact on finance/Inventory. But can not make Inventory transfer to actual warehouse from consignment warehouse as this is a dropship warehouse.
    Thus unable to reflect inventory in system.
    Please suggest the most appropriate solution.
    Thanks.

    Hi
    check this note 1089092 - Handling Consignment in SAP Business One
    Kind regards.
    Agustín Marcos Cividanes

  • Vendor Consignment - Returned material from customer directly to consignmen

    Hi,
    I'm working with a consignment vendor process. I'd like to know how should I manage the return from my costumer. I'd like to move this returned material directly to my vendor consignment.
    Is it possible? How can I do it? How affects it to the consignment settlement?
    Points will be given
    Thanks in advance

    Hi Roger,
    We have 2 type of consignment process in SAP.
    1. Vendor consignment (MM process) & 2. Consignment with customer.(SD process)
    If the Customer is returning the item (or consignment item). ... it will be process as normal process...like goods receipt in to inspection ... if it is ok... then again we can move to Consignment ( with customer)...in seperate transaction.
    Hope this is clear.
    REgards
    Anand

  • How to adjust vendor consignment stock

    Hello
    We have one material , that material is having one scheduling agreement (consignment), in 2003 he was received 3600 qty, that is shown in Purchase order history of Scheduling agreement, with 101 movement type and material document.
    when we saw now the stock in MMBE the 1800 qty is showing as vendor consignment.
    Now user says that, he has no any vendor consignment stock physicaly. now it is showing as 1800 qty vendor consignment.
    I have checked in MB51 there is no documents from 2003 it is showing only 2004 onwards
    if i suppose willing to scrapp then we need to take it as Unresticted stock, then Accounting document generates.
    if i want to cancel old material document , then this document is not exist of 2003
    How to remove the Vendor consignment stock? now
    sap

    Hi,
          They has not been done tranfer posting consignment to own(411k) and issues.Thats y stock is still avilabe.So user have to do these things in sap.
    If you want to do stock is nil without these things do Physical inventory but it is not advisable.
    Regards,
    Murali

Maybe you are looking for

  • How do I edit image viewer slideshow created in CS3, in CS4?

    I apologize for posting this twice...once in a previous post and once here. The reason being...the other post was old (2008) and I'm afraid it might get overlooked. So I thought I'd create a new discussion. I created a bunch  of slideshows in CS3 usi

  • Slow website

    I just published my website using my .mac account. It was created in iWeb, after having many people view and critique it, the main comment I am getting is how slow it is loading. Does anyone have any input? The site is www.garonephotography.com (I ha

  • Where are the home and end buttons

    so i'm new to mac and purchased a mac book pro and that's when it hit me, where are the Insert, Home, End, Page Up, Page Down keys? Where are the arrow keys. I'm not much of a track pad user and although I think it is awesome I like to keep my hands

  • Solving an equation with a factorial in

    If I wanted to perform a calculation like, to find y, y = 1 + x + (x^2/2) + (x^3/6) + (x^4/24) + ........ (x^n/n!) And I enter values for n, I'm thinking I should use the 'for' rule. I can see how I get the numbers seperately but cannot see how I can

  • I can't find Play Count in iTunes 10.7

    I go to View Options but Play Counts doesn't show up... was it eliminated or it's somewhere else?