Vendor rebate - new condition

Hi,
I am new to vendor rebates. I have a vendor rebate agreement in which a material had a condition valid to last year. How can I extend this condition to the current year?
Sincerely,
Nicky

Hi,
VB03 is for customer rebate. I am looking for extending a condition in vendor rebate.
Thanks,
Nicky

Similar Messages

  • Vendor Rebate: Income condition does not compute

    Dear All,
    I am trying to test our Rebate module but along the procedure, I have found some inconsistencies.
    MEB1:                Create Rebate Agreement - step ok
    ME21N to MIRO:       Create PO until LIV - step ok
    MEU2:               Business Volume Comparison.  Inconsistencies in this step. There are times where the income condition does not compute an amount. When I click the Income Icon, there is amount in the Condition Basis, but Amount and Income Field displays zero. 
    Im really at a lost why this happens.  Ive checked everything, created 2 identical rebate agreements except for the vendor and article, but 1 rebate agreement computes income correctly and the other rebate does not compute rebate income at all.  I have set the following indicators for the vendor in the purchasing view in the vendor master, Subsequent Settlement indicator and
    Subsequent settlement index indicator also.
    Please enlighten me on what could possibly be the reason for the Rebate not to compute income.
    Thank you very much.
    Tess

    Ok, so I made some screens, sorry for the delay:
    Layout : http://img842.imageshack.us/i/layoutkh.png/
    Datas Page 1: http://img163.imageshack.us/i/page1wn.jpg/
    Datas Page 2: http://img269.imageshack.us/i/page2cz.jpg/
    Datas Page 3 (last page) : http://img196.imageshack.us/i/page3oe.jpg/
    Thanks for your help.

  • Vendor Rebate for Partial Settlement

    Hi gurus,
    I need your help, I am new with some part of the Rebate process and this is my case. I have a rebate agreement where the validity date is 01.01.2009 to 31.12.2009.
    We have many POs, GRs and IVs for the Vendor assigned to this agreement and the rebate agreement have one condition record with many discounts (like 10) with the validity date 01.01.2009 to 31.12.2009.
    I can see the POs where the discount was applied.
    The situation is that I want to execute the partial settlement for this agreement FOR today, transaction MER4.
    Then, in the "Settlement date" field I have selected = 31.03.2009 and
    I have the option "Perform settlement accounting" selected too (it is in the Control data:settlement run section).
    But, the system is telling me "No rebate arrangement chosen" and I know that I have Invoice Verifications made, why I cannot do a partial settlement?
    Could you help me please?
    Kind regards,
    SP
    Edited by: SANDRA PALOMO on May 3, 2011 2:41 PM

    Sandra,
    I know this post is closed but seems like you worked on Vendor Rebate Process.I am working on this first time.I have following scenario
    I have one vendor for which we like to have vendor rebate for some specific materials..    The rebate is 10% of purchases, accrued monthly, receive quarterly and we like the moving average price should be reduced by the 10% rebate.
    Can you please give me some guidance ?

  • New Condition Table not working in Sales order

    Dear All,
    I am facing problem in pricing procedure. I have created new condition table(LIFNR & ROUTE), included Vendor(Fwd Agent) and Route in condition table with sales area. I have added that condition table in access sequence and assigned access sequence to condition type. Then Condition type added into pricing procedure and assigned pricing procedure to document type.
    In sales order I've added route and fwd agent but while checking in analysis system does not determine route and fwd agent.
    Thanks and Regards,
    Kaushal

    hi,
    i have a query to ask why you need LIFNR in condition table creation.
    where in sales order it will trigger automatically.
    please check the config settings for route determiantion automatically.
    so that if route comes automatically into the sales order then from where you will trigger LIFNR.
    please clarify.
    regards,
    balajia.

  • Can we add new condition in old PO with new pricing schema

    We have created new pricing schema for addition of new condition type at header level on
    25/11/2010 in client server but the problem is for old purchase order client want new condition
    on header condition tab.It is obvious that in old po on analysis tab it shows old pricing schema.
    Is there any solution to get new condition in old Purchase order????
    It means we can add new condition in old po???
    Regards
    Jyoti Thakur

    Jyoti,
    Let me know the basic Price Condition if its PB00 or PBXX.
    Let me know how you have called the pricing schema. if you had attached it with document type and you have changed the document type, you will be required to create new PO with new doc type.
    If you have taken Vendor Schema group as a criteria, then you will be required to end the validity of old pricing conditions in condition table and need to activate new conditions on this date.
    Check for other basic keys like Purchasing Organization as well.
    Let me know if you have any existing Source List or QA for the vendor too.
    Thanks and Regards
    Raghavan

  • Profit centre error while vendor rebate settlement

    Hi
    this is regarding vendor rebate settlement TC- MEB4.
    while settlement of agreement, system is not able to determine the profit centre, hence unable to post the entries. in this regards, i have checked following:-
    1. material used in rebate agreement - profit centre maintained
    2. field status of all GL used in settlement process is optional for profit centre and cost centre
    3. in document splitting, categories of the GL's are Balance Sheet Item and Revenue
    4. field status of the posting key also open for profit centre
    5. document type is defined as Unspecified posting in splitting
    do i need to look some other place for possible cause of error? please revert
    Regards
    DD

    If you have mainatained the Rebate as accrual based on agreement adn Sales conditions then you should use Item Category as "01300-Cash Discount Clearing".
    Change and try in atest system and while changing the category read the warning message carefully that the system issues and understand the implications.

  • Issue in Vendor Rebate Settlement (ECC 6.0)

    Hello All,
    We recently upgraded from SAP 4.7 to ECC 6.0. In the new system, the vendor rebate settlement (MEB4) is giving the following errors:
    1. Error messages generated during billing document check run
    Message no. MN236
    Diagnosis
    Settlement accounting for rebate arrangement 85 is carried out using the general billing interface in the system (credit-side settlement type) or the general billing interface for customer billing documents (debit-side settlement type).
    It is also possible that credit memos (invoice verification, credit- side settlement type) are involved.
    The documents cannot be created without errors.
    2. For vendor 1885 no partner exists for partner function PI
    Message no. WS723
    The process used to work in the 4.7 version and no changes have been made to the configuration in the new system. Can someone please suggest the reason for these errors and how they can be resolved?
    Thanks,
    Rugmani

    HI,
       Please chk in the config....
    SPRO>MM->Partner Deter->Partner setting in Rebate Arrangement->Define partner schemas for Rebate..
    Here please check the partner function "PI" is made mandatory...
    You can main the Partner function "PI" in the agreement itself...
    Goto-- txn.MEB2-- enter the agreement no... inside click the icon "Agreement Partner" or (Ctrl+F2) and maintain the partner function PI..
    Regards
    GK.

  • How to use Vendor Hierarchy in Vendor Rebate Agreements

    Hi Friends,
    I need to use vendor hierarchy in vendor rebates agreements.
    Here are some inputs from my end so far I have done:
    Customizing Settings for vendor hierarchy and rebate agreement (agreement type 3000 and condition types A003/ A004) have been done.
    While creating the PO after creating rebate agreement (MEB1) I am able to see all higher partner functions (2A,2B,2C,2D) at header level in PO under partners.
    I have (say ) 3 vendors V1, V2, V3 (V1 being highest) set up in vendor hierarchy (MKH1).
    My requirement is; if my company make any rebate agreement with vendor at any node below the highest in the vendor hierarchy then that business volume should be taken in consideration for rebate purpose with the vendor at higher level while making any agreement with him.
    I request you to please let me know how to set up this.

    Hi lvshaolong,
    Thanks a lot for your reply.
    I believe I have not misunderstood the business scenario.
    But may I request you to tell me the process steps for the senario you told which is "Normally , you define condition with highest node in hierachy and then you can refer to it when you do biz with the lower nodes". How vendor rebate process takes place this scenarion (I mean process flow).
    This might help me to find some solution further.
    More input from my end:
    When I am creating the PO against a vendor included in the vendor hierarchy(after agreement), rabate condiion A003  or A004 is not appearing in pricing and hence during BV comparison,system does not find any data to update.
    Regards,
    Munish

  • Vendor Rebate Settlement Issue

    Hello All,
    I have created a Vendor rebate agreement for the fiscal year 2009 (validity period 01/01/2009 to 12/31/2009). The agreement has 2 conditions - one for 'Vendor/Material' and another for 'Vendor'.
    I notice that every month end after I run the period settlement (using transaction MEb2), a large portion of the accrued rebate amount is left unsettled. I checked the corresponding purchase orders - they have been invoiced and have an accrued rebate amount.
    As I can find nothing wrong, I am forced to make a manual settlement for the unsettled amount.
    Can anyone please help me identify the reason for the under settlement and provide suggestions to prevent it?
    Thanks,
    Rugmani

    hiii
    please check this thread
    Vendor Rebate - Subsequent settlement
    Hope it works
    regards,
    rahul.

  • Subsequent settlement in MM(Vendor rebate)

    I'm using subsequent settlement(rebate) on vendor side with partial settlement with the help of settlement calendar. However during vendor rebate maintenance in step of condition maintenance, I maintained condition rate(rebate discount) and scales on main condition. However system only copied automatically condition rate at main condition to period-specific condition not for scales. So I had to do it manually by copying scales at main condition to individual period-specific conditions. It's quite a tough life to do this. Could anyone give me some light to make life better for example any missing configuration or any enhancement.
    Home

    Hi,
    Use BADI to create rebate agreement in MM.You can explore following BAdI.
    These BAdI are applicable for MM & SD applications:
    (a) SD_BONUS_CREDIT_NOTE BAdI for Rebate Credit Memo Requirements
    (b) SD_COND_DETAIL Enhancement in Condition Detail Screen
    (c) SD_COND_SAVE_A Save condition application A, E
    I hopr this will help you out. Thanking you.

  • Posting Settlement:Vendor Rebate Arrangment, Purchasing MEB4

    Hi Fellow Abappers,
        I got a requirement to change the Vendor line Item text @ FB03 with the condition type description of the agreement used upon posting of Settlement vendor rebate at TCODE MEB4...
       I found several exits LWBON001, LWBON003, LWBON004 and LWBON005.. but upon reading the tables and structures, I think nothing is relevant in changing the VENDOR LINE ITEM TEXT at FB03...
    Hope you can help me here guys... thank you..

    Hi; 
    Extra thanks for your answers, below the results of the checks and some information.
    Arrangement type :   
    - The Arrangement Types, Purchasing is 2000 (Standard) with this parameters.
    - The Settlement schema in the arrangement type is RM5000
    - Credit-Side side settlement -  Partial settlement : BM31
      - Credit-Side side settlement -  Final settlement   : BM11
    Accrued revenues for settled agreements. : 
    - No more posting : no checked 
    - Diff. account key to proc. RM5001 (Subs. Sett (tax trigger))
    In OBYC.
    - B01 : account 419800.
    - B02 : account 609000.
    In PO I use RM0000 schema.
    Thank you for your precious help, because I do not advance in the project because of this error, is why I am asking your help at all.
    Best regards

  • Vendor rebate arrangement

    Hii,
    I want to create a vendor rebate in Purchase Order ie,
    Vendor has agreed to provide rebate if we pprocure 1000 units of x material monthly.
    I have to implement it in SAP. I am new to this term.
    Please advise process flow+img settings to be done for the same.
    Regards,
    Ayushika Jain

    Hi,
    Try this link to Best Practices, it will help you
    http://help.sap.com/bp_bblibrary/600/html/G84_EN_DE.htm
    Regards,
    Eduardo

  • Vendor Rebate

    Dear Friends
    need your help, we are implementing vendor rebate.
    Subsequent settlement: time of LIS update :- this control data is having three options like Purchase order / goods receipt / invoice verificatoin.
    but as per current business requirment we need, inbound delivery, which is not available.
    requesting you to discuss on the same
    vardhaman

    Hello,,
    1. Define conditino type >>>SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Set condition technique for Subsequent Settlement u2022 Create Condition Type for Subsequent Settlement.
    Condition Type:
    1.Contain basis characteristic of condition
    2.Access Sequence is assign to condition type
    3.Access sequence search valid condition record in condition table
    4.Condition type is maintained in pricing calculation
    2. Define Calculation schema >>> SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Set condition technique for Subsequent Settlement u2022 Maintain Calculation Schema for Subsequent Settlement
    Standard Calculation Schema is RM5000 for subsequent settlement
    3. Schema Determination >>> SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Set condition technique for Subsequent Settlement u2022 Schema Determination for Subsequent Settlement
    1.Calculation schema determination is based on the schema group for purchase organization and vendor schema group
    2.Schema group for purchase organization is defined in customization of price determination
    3.Schema group for vendor is assigned to vendor in vendor master record.
    4. Number range >>> SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Define Number Range u2022 Define Number Range for Rebate Arrangement (or Define Number Range for Settlement Run)
    5. Rebate Arrangement Setting- Arrangement Calendar
    SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Arrangement u2022 Maintained Calendar For Rebate Arrangement
    6. Arrangement Type >>> SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Arrangement u2022 Define Rebate Arrangement Type for Subsequent Settlement
    7. Rebate Arrangement Setting- Condition Type Group >>> SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Arrangement u2022 Condition Type Group u2022 Define Condition Type Group for Rebate Arrangement
    Condition Type Group
    1. Group of permissible condition type]
    2. Based on the aggregation of business volume data condition table is assigned to condition type group
    3. Condition type group is assigned to arrangement type
    4. When rebate arrangement of this rebate arrangement type is created and any business volume done associate condition record will updated.
    8. Rebate Arrangement Setting- Condition Type Group >> SPRO u2022 Material Management u2022 Purchasing u2022 Subsequent Settlement (End of period rebate) u2022 Arrangement u2022 Condition Type Group u2022 Assign Condition Type/Table to Condition Type Group (Assign Condition Type Group and Arrangement Type)
    Subsequent Settlement - Prerequisites & Master Data
    1.Material master should be created before process rebate arrangement if discount is agreed for Material (s)
    2.If rebate arrangement is not for particular material then create a dummy material which will be used to post credit memo at the time of settlement
    3.Before processing/creating subsequent settlement vendor and their partner should be created at the required organization level (purchase organization/vendor sub range
    4. In vendor master - Subsequent Settlement Indicator , Subsequent Settlement Index Indicator, Business Volume Comparison Indicator must be set in vendor master at the required organization level (purchase organization/vendor sub range)
    In the process of subsequent settlement rebate arrangement is created for the agreed condition with vendor for a particular material or materials or vendor sub range. Then PO, GR, and Invoice verification done. At the end of particular time period agreed condition settled by means of partial or final settlement.
    Process flow :
    Create Rebate Arrangement >>> SAP Menu u2022Logistics u2022Material Management u2022Purchasing u2022Master Data u2022Subsequent settlement u2022Vendor Rebate Arrangement u2022Rebate Arrangement Created ( MEB1)
    Create PO >>>SAP Menu u2022Logistics u2022Material Management u2022Purchasing u2022Purchase Order u2022Create u2022Vendor / Supplying plant known
    At the time of creation of purchase order check whether periodic conditions copied in purchase order from rebate
    Create Good Receipt and Invoice Verification
    SAP Menu u2022Logistics u2022Material Management u2022Purchasing u2022Master Data u2022Subsequent settlement u2022Vendor Rebate Arrangement u2022Rebate Arrangement Display
    SAP Menu u2022Logistics u2022Material Management u2022Purchasing u2022Master Data u2022Subsequent settlement u2022Vendor Rebate Arrangement u2022Rebate Arrangement Display
    Mahesh Naik

  • Assigning of excess sequence to condition and adding New condition in Prici

    Hi,
      We have  different pricing procedure  for our baisc price present there is no excess sequence assign to it  now as per our requirement i have created a new contion table  and have assign that to a excess sequence  I want to know is there any problem if i assign that Access sequence to conddition  what can be the problem ,
    and  2nd case
    I want to create new condition  what is the total process to assign that new condition to our exsiting pricing procedure.
    regards,
    zafar

    Dear Friend,
    there is no problem when you assign the access sequence to the condition at the time you are going to maintain the condition  in MEK1 transaction it will ask the different combination
    for example material /vendor combination, or material plant combination, or else what accesses your maintained for that access sequence it will ask   
    in the case of maintaining the conditions in the pricing procedure check the on what the value has to be calculated which step and which counter your assigning the condition based on that it will calculate the  value for that condition
    Regards
    Pramod

  • Vendor rebate arrangement in a purchase consignment process?

    Hi there.
    I have a question. Is it possible to have a vendor rebate arrangement in a purchase consignment process?
    I tried to add rebate conditions for my info record, but I can’t. I am working in SAP R/3 Enterprise version.
    Thanks in advance and regards.
    Raúl.

    Rebate will not work for consignment

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