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

Similar Messages

  • Subcontract PO Item with Vendor Consignment

    Hi,
    We want to issue vendor consignment stock when processing subcontract PO.
    But we found that we need to identify the stock when issuing the stock with seperate operation.
    Is there any method to make it simpler?
    regards,
    Steven

    Hi
    I would suggest
    once you make the subcontracted PO and you know the quantity of goods to be supplied to the vendor then first do a 411k this good would come into your inventory, and then u can do 541. Also what you can do here is that if it is for a specific material then you can add a specific identifier in material master in any test field, therefore when 411 K is done for them 541 would be done automatically.
    Thanks
    Ankit

  • Production order with components consumed from vendor consignment stock

    Hi expert,
    I have a production order with components and some of the components should be consumed from vendor consignment stock.
    When the order is created/released : is there  a possibility to have those components created with "special stock indicator" = 3 (consignement stock) by default?
    Thanks,
    P.

    Dear Pete,
    In my understanding it's not possible to populate this value as 3 - consignment stock in the component overview.This has to be
    done manually.
    Check in this way,by indicating a value in any of the material master field(for eg ABC indicator in MRP1 view) and if there's some
    value,then while saving the system populates for all those materials with this value as 3 by using some user exit or BADI.
    I'm not sure,it's only an idea,check and revert
    Regards
    Mangalraj.S

  • Article with Batch management in POS Inbound

    Dear SAP Experts,
    I encountered problem for POS inbound for articles that activated Batch Management in SAP Retail. The system always send error message to require the batch, however, I cannot give SAP the batch number I want to update the stock by using POS inbound (both aggregated sales and sales per receipt). I cannot find any IDOC type that support that.
    I don't know whether SAP Retail supports batch management for article or not. In case they support it, how can we do the POS inbound for the articles.
    Hope to get your supports,
    Thanks in advance,

    hi,
    "Batch management requirement cannot be changed" -
    Once the material is made relevant for batch -by putting a tick in any of the relevant views in material master -it cannot be changed again if any delievry / stock is already maintained for that material.

  • Rack Jobber for POS Inbound

    Dear Experts,
    I would like to ask about POS Inbound for Rack Jobber. SAP said that we can differentiate Revenue Account (GL Account) for each Rack Jobber by adding Vendor in Revenue Account Determination. However, during POS Inbound (Sales Per Receipt or Aggregated Sales), I cannot find the field in IDOC structure to add the vendor value.
    Please share me your experience on it.
    Thanks.

    Dear SAPVN
    I am not sure which business scenario are you using rack Jobber for. But from ECC 6.0 onwards, you should user Retail Vendor Consignment process in case you need to handle consignment processing. In such a case you need to maintain settings of Retail vendor Consignment along with a consignment Info record and SD account determination settings which can do the trick.
    Hope this helps
    regards
    Manish

  • 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

  • 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

  • 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

  • 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

  • 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

  • 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

  • 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

  • Vendor consignment India Localization scenario

    Hi Guys,
    I am working on Vendor consignment India Localization scenario. We are using TAXINJ procedure and for good receipt we use MB01.
    I follow the below process.
    1.Created Consignment Info Record with appropriate tax code and Base Price.
    2.PO with item category K.
    3.Good Receipt for PO (MB01) movement type 101. Entry to RG 23A Part1 reg.
    4.Transfer posting consignment stock to own stock ,Movement type 411K.
    When I am trying to Post the excise Invoice ,T/C J1iEX ,it is throwing me an error u201CPlease check excise base for the item is zero !u201DIt seems because of Purchase order price as in consignment PO the price is u201C0u201D.
    I have tried below mentioned processes for trial basis but it gives the same error message.
    1. First capture part1,Good receipt(MB01).
    2. Put an accessible value in J1ID for the material and then tried the scenario.
    3. Capture wrt Material doc(tried for both 101 and 411 doc) using j1I5.
    4. Tried to capture the excise Invoice using with selection without reference to Purchase order. I entered the Material, Chapter ID,Plant,Quantities,UoM,Duty rates,Exc group, vendor ,Ex Inv no,Doc date but here it doesnu2019t calculate the duty values., I am getting the information message.1) Available Credit quantity 100.000 is different from the defaulted 0.0 .2). BED, AED and SED for the excise item is zero.
    I posted this question to MM forum also but no one replied.can you help me here?
    Thanks in Advance,
    Sarvesh Kumar Vashist

    hi
    you have to capture the excise invoice against the Purchase order and then you have to post the entry.

  • How to Write Off Vendor Consignment Stock

    Hi Guys
    I was wondering if anyone could help me with an issue we have with Vendor Consignment Stock. There is a situation where there is stock sitting in Vendor Consignment Stock which is damaged and thus not returnable. This stock is thrown away into waste bins. I would like to know if anyone has ideas in terms of eliminating the stock from SAP without returning it to the Vendor and without causing financial postings in the business.
    Many Thanks
    Brett

    Hi Brett,
    Once the stock is damaged and not returnable , u are liable to pay to the vendor .
    Therefore ur requirement cannot be fulfilled without FI postings.
    Only solution would to take as consumped stock or unrestricted stock and then scrap it.
    Note : FI document will be generated.
    Regards
    Ramesh Ch

Maybe you are looking for

  • How can I pass dynamic value as a user input parameter in discoverer?

    Hi, I have a requirement for a discoverer report like this: The report will display only details for Suppliers that have expired (or soon to be) Insurance details. That is the Expiration Date is less than or equal to the day the report is being run p

  • Opening balance account for BP

    Hi Experts, I want to enter the opening balance account for BP. I want to know is there separate criteria for setting opening balance account for Customer and Vendor and which drawer?? Thanks in advance Subhradip D

  • Screen is going out + Random Software Glitch?

    My screen is about to go out on my new 32GB 3GS. Every once and awhile when I lock the phone, I'll go to unlock it and the screen will be almost completely black. If I proceed to unlocking it while its almost completely black the brightness setting d

  • $1 charged when create new itune Account, not refunded

    Hi, I have created a apple Itune Id for purchaging the store items. At the time of creating Apple iTune account i paid $1 (that is refunded Please correct if i am wrong). But after a month i have not received this money back in to my account.

  • Restore the default menu

    Hi all, I remove the save and save as menu item (PC) from file menu using app.menus[0].menuElements[0].menuItems[3].remove(); app.menus[0].menuElements[0].menuItems[4].remove(); Now i can't restore it back. help me plz. Thanks Senthil.C