ENTERPRISE STRCTURE
CLIENT (Company)-A client is a self-contained
technical unit. A client can be considered to be a
synonym for group.
Company Code
• A complete Accounting unit can be representing as
the smallest organizational unit of external
accounting.
• At Company Code level we create
.. Balance sheet required by law
.. Profit and Loss statement.
• Each company code represents an independent
accounting unit. Several company codes can use the
same chart of account.
Assignment
.. Company code to company
.. Company code to Credit control area
.. Company code to Controlling area
.. Company code to financial management area
• (An FM Area is organizational unit which Plans,
Controls and Monitors funds and commitment
budgets)
.. Controlling area to financial management area
.. Controlling area to Operating Concern
Sales Organization
• The highest-level of organizational unit in SD is
Sales Organization.
• Responsible for Distributing goods and services,
Negociation sales conditions, Product liability and
other customer rights of recourse.
• Sales organization is also used to take for example
a regional, national or international.
• A sales organization assigned to a company code.
Distribution Channel
• Distribution Channel represents strategies to
distribute goods and services to customer.
• DC is assigned to a sales organization. The
assignment is not unique.
• You can share Customer, Material and Condition
master data by maintaining a reference/common
DC.
Division
• A Division is used to group material and services.
A material can have only one Division.
• We can make Customer- specific agreements for
each Division, for example regarding partial
deliveries or pricing within Division. (In CMIR)
• You can share Customer and Condition master
data by maintaining a reference/common
Division
• A Division is assigned to a sales organization. The
assignment is not unique.
• You can use cross division to enter multiple
materials with various divisions in a sales order.
• You can choose division specific sales, it is
controlled by customizing for sales document type.
Sales area
• A Sales area is a combination of a Sales
organization, DC and Division. It defines the
Distribution channel of a Sales organization uses to
sell products of certain Division
• By defining and assigning Sales Organization, DC
and division a Sales area not automatically formed,
you have to set up a sales area.
• A sales area can belong to only one company
code. Assigning the sales organization to company
code creates this relationship.
• Each sales and distribution document is assigned
to exactly one sales area. This assignment cannot be
changed.
• Various master data depending on the sales area,
for example customer master data, material master
data, price and discount. This system also carries
out a number of checks concerning the validity of
certain entries according to the sales Area.
• Sales area assigned to Credit Control Area.
• Sales office assigned to Sales Area
• Sales group assigned to Sales office.
• Employee of a sales office can be assigned to sales
group.
Business area
• The Business Area is a separate business unit for
which internal reporting can be carried out. A
company code may be divided into multiple business
areas. A business area may also be shared by
several company codes.
• Business area is not limited by company codes.
For this reason, the business areas in all company
codes must have the same description. Using
organizational unit is optional.
• Business area can be used to prepare balance
sheets and profit and loss statements not only for
company code, but also for other internal areas
(E.g., division-related).
• The relevant business area is determined for each
order item according to defined rule.
• Rules for Business area determination
.. Business Area assignment by Plant and Item
division
.. Business Area assignment by sales area
.. Business Area assignment by Sales Organization
and D.C, Item Division
Plant
• The Plant is a location where material is kept.
Represent a production facilities or Material
requirement planning in the System. In sales and
Distribution, A Plant represents the location from
which Materials and Services are distributed and
corresponds to a distribution center. The relevant
material stocks kept here.
• A Plant assigned to a company code.
• Inventory valuation is done either at company
code level or Plant level, however the stock is
managed at Storage location level.
• A Delivering plant assigned to Combination of
Sales organization and Distribution channel.
• Delivering Plant Determination in sales Document
according to following step
1. CMIR
2. Customer Master-Ship to Party (Sales area-
shipping tab page)
3. Material Master- Sales Org. 1 View.
.. CMIR has precedence over customer and material
master.
• A plant is essential for determine the Shipping
Point.
• In absence of a Delivering plant determination
there can be no automatic determining of shipping
point or automatic tax determination, no availability
check can be carried out and no outbound delivery
can be set up.
Shipping Point
• Shipping Point highest organizational unit in
Shipping
A shipping point is under client level.
• A shipping point assigned to a Plant. A Shipping
point can be assigned to multiple plants.
Various Shipping point can be assigned to same
plant.
• The Shipping point can be a loading ramp, a mail
depot or a rail depot. It can also be a group of
employees responsible only for organizing urgent
deliveries.
• The shipping point is responsible for processing
shipping. Each Outbound Delivery is processed by
exactly one shipping point.
• The shipping point is normally determined
automatically (At item level) for each item in the
sales document. The automatic default value can be
later changed manually in sales order if we have
planned for a different shipping point. We can
change shipping point in delivery document only at
initial create screen before saving the delivery
document.
• Shipping point determination based on these
combinations.
.. Delivering Plant
.. Shipping condition- Sales document type OR
Customer master data-Sold to Party
(Shipping Tab Page)
.. Loading group-Material master data (Sales:
Gen/plant)
.. Shipping condition from sales document type has
precedence over that from customer master.
Warehouse
• Warehouse having following organizational units
for efficient processing of goods receipt and goods
issue.
.. Warehouse Number: The entire warehouse
structure is managed under one warehouse Number.
This number represents the warehouse complex.
.. Warehouse Number assigned to a combination of
Plant and storage location.
.. You can group Transfer Order based on warehouse
number.
Storage Type: The different warehouse areas, which
differ with respect to their organizational and
technical features, are defined as storage types (for
example-high-rack warehouse with random storage,
picking warehouse with fixed bins, or shipping
area).
.. Picking area: Below the storage Type level, The
Picking area group together storage bins from a
picking point of view.
.. A delivery can be split up into different picking
areas to make parallel picking possible.
.. Staging area: The staging area is a part of the
warehouse where goods are stored immediately
after unloading or shortly before loading.
.. Door: A Door can be used for both the inbound
and outbound delivery of goods.
(Door determination takes place at the delivery
header level. Staging area determination can take
place at the delivery header level and item level.
Different staging area at the delivery item level lead
to a transfer order split because the staging area is
a header level in the Transfer Order.)
• The connection of the organizational unit in the
warehouse to MM Inventory Management results
from The Assignment of Warehouse No. To a
combination of plant and storage location
• You can Group Transfer order based on the
warehouse number.
MASTER DATA
Customer master data, Customer material
information record, material master data, Condition
master, Common master, Additional master data
Customer master Data
• The Customer Master data divided in following
categories.
.. General Data: store centrally-Client specific, valid
for all organizational Units.
.. Sales Area data:
.. Company Code data
• It includes all necessary data for processing Order,
Deliveries, invoices and Cust. Payment
.. General data having on following tab
.. Address: Name, Address, and Language.
.. Control Data: Tax Information
.. Payment Transaction: Bank Details
.. Marketing: Industry, Customer Classification
.. Unloading Point: goods receiving Hours
.. Export Data: Data for export control
.. Contact Person: Address of business partner
.. Sales Area data having following tab pages
.. Sales: Sales office, sales district, currency,
customer group, Customer pricing procedure, Price
list.
.. Shipping: Delivery, Shipping condition, Delivery
Plant, POD Relevance, Partial delivery-
Check Complete delivery by law, Transportation
Zone.
.. Billing: Incoterm, Term of payment, Credit control
area, Account Assignment Group, Tax.
.. Partner Function: (Can different or Identical) Sold
to Party, Ship to Party, Bill to Party,
Payer
.. Company Code data having on following tab
.. Account management: Reconciliation account
.. Payment transaction: Payment method
.. Correspondence: Dunning Procedure, Accounting
clerk
.. Insurance: Amount Insured
• Any changes in the customer master do not get
reflected in documents created prior to the change
except for ADDRESS.
• Sales organization has to maintain own relevant
sales area data if they sell product to customer
those belong to different sales organization.
• We can maintain the INCOTERM in customer
master record in various ways, depending on the
sales area data.
• Account group controls customer master.
• Master data proposal in sales document-
.. Delivery date and tax information- From Ship to
Party master record
.. Payment terms, Credit limit check- From Payer
master record
.. Address to which invoiced to sent- From Bill to
Party master record
.. Shipping conditions, Pricing, incoterms-From Sold
to Party
Customer material information record
• Cross reference from your customer‟s material no.
to your material and customer material
description. By this sales order can be placed with
the customer‟s material no. by using Ordering tab
page
• It keeps information about Delivering plant,
Customer material no., and Delivery agreement-
Complete/Partial
Material master data
.. Basic data 1 (valid all module area)-Old Material
no., Division, Matererial group, Matererial group
packaging material, Base unit of measure, General
item category group
.. Sales: sales org. 1: Delivering Plant, Material
Group, Division, Condition, Tax data, Cash discount,
Minimum Order quantity, Minimum Delivery
Quantity
.. Sales: sales org. 2: Material group, Bonus Group,
Product hierarchy, General item category group,
Item category group, Product attribute
.. Sales: Gen/Plant data: Availability Check,
Transportation group, loading group, Batch
Management, Matererial group packaging material,
Serial no. Profile
.. MRP 3: Availability Check
.. Plant/data storage 1: Batch management, Storage
condition
.. Plant/data storage 2: Serial no. Profile
.. Foreign trade: Export: Export/ import group,
Region of origin
.. Sales Text: Item text for sale
• Material Master is controlled by Material Type
TAB PAGES FOR SALES DOCUMENT
Initial screen- Create with reference, Sales, Item
Overview, ordering Party.
Create with reference- inquiry, Quotation, Order,
Contract, Scheduling agreement, Billing Doc.
Overview screen- Sales, item Overview, Item
details, Ordering Party, procurement, Shipping,
Reason for rejection.
SALES
Sales Document
• A sales Document has three level-Header, Item
and Schedule Line
•The sources of data in a sales document are-
.. Master data
.. Customizing
.. Other SD document/Existing document with data
.. Hard coded controls
• When you create a sales document, you can also
enter the Ship to party instead of sold to Party.
The system then determines the Sold to Party from
the ship to party customer master record. If there
are several possible sold to parties for ship to party,
the system displays a selection screen with possible
alternatives.
• In sales order with fast change option you can
change – Reason for rejection, Delivery block, Billing
block, delivery date, delivery priority and Plant.
• With Mass change option in a sales document list
you can change- Plant, Materials, currency and
Pricing.
• A Billing Block can assigned at sales document
header level and item level.
• A delivery block can assigned at sales document
header and schedule line level.
• An item status is deemed completely if it has
rejected by giving a reason of rejection.
Example of Sales document Type
• Important Controls of Sales Document Type.
.. Reference mandatory from any other Document.
.. Check division-System reaction if division at item
level is different from header level.
.. Item Division- If you mark this field, the system
propose the division from the material master record
of the item else the division in the sales document
header also count for all items.
.. Check credit limit
.. If the system reads any CMIR or Not.
.. Incompletion Procedure Assignment.
.. Document Pricing Procedure.
.. Message about open Quotation, open Outline
agreement, etc.
.. Incomplete message switch- when ticked doesn‟t
allow you to save an incomplete document.
When unchecked the incompleteness is controlled by
status groups of Incompletion Log.
.. Delivery type.
.. Delivery block
.. Shipping conditions
.. Immediate delivery switch
.. Billing plan type
.. Billing Type
.. Billing Block
• You can limit the validity of your sales document
type at the level of sales organization, distribution
channel and division (i.e. for sales area)
Pre-sale phase
IN = Inquiry
QT = quotation
Out Line agreement
QC = quantity Contract
DS = Scheduling Agreement
QP = Rental Contract
WK1 = General value contract
Sales Phase
OR = Standard order
RO = Rush order
CS = Cash sales
CF = Consignment fill-up
FD = Free of charge delivery
Complaints
RE = Returns
CR =Credit memo request
SDF = Free of charge subsequent delivery
DR = Debit memo request
Sales document Item category
Example of Sales document Item category
• Important Controls of Sales Document Item
category
.. Business item-If the Business item at item level
can be different from that at header level (For
Example- Sales data, shipping data, billing data).
.. Completion Rule- The rule for establishing when a
quotation or contract is complete.
.. Special Stock indicator- For Ex- Consignment
stock.
.. Billing plan type
.. Billing relevance- Order related, Delivery related,
etc
.. Billing block
.. Schedule line allowed- Indicates whether you can
create schedule line for the item.
.. Different Procedures- Incompletion, Partner
determination and text determination.
.. Structure Scope for BOM
.. Pricing- Indicates whether the system
automatically carries out pricing at the item level.
.. Automatic batch determination
• Item Category Determination-
Sales Document type + Item category group +
Usage + Item category of upper level item.
• A Sub Item is an item assigned to a higher- level
item.
Schedule line category
Example of Sales document Type
• Controls-
.. Delivery Block
.. Movement type-
.. If the material relevant for delivery.
.. Transfer of requirements
Pre-sale phase
AFN = standard item Inquiry
AGTX = Text item in quotation
Out Line agreement
KMN = standard item in quantity contract
WVN = Standard item in maintenance contract
WKN = item in value contract
Sales Phase
TAN = Standard item
TAD = Service in standard order
BVNN= Free of charge item in cash sale
KEN = standard item in consignment issue
Complaints
REN = Returns standard item
G2TX = Text Item in returns
KLN = Free of charge item
Pre-sale phase
AT = Inquiry schedule line
BN = quotation Schedule line without MRP
Out Line agreement
CV= scheduling agreement with consumption-based
MRP
Sales Phase
CP = Order schedule line with MRP
CO = Consignment issue without availability check
Complaints
DN = Schedule line in Returns without MRP
DO =Consignment returns
.. Availability Check
.. Movement type in normal-PGI-601
.. Movement type in returns-651
• Schedule line cat. Determination-sales doc. item
categories + MRP (MRP 1- Mat. master)
• A Purchase requisition for purchase order can be
generated automatically from sales order.
• You can deactivate requirements of transfer (MRP)
and availability check at schedule line level.
Bill of Materials
• The item in BOM are controlled in sales order
differently by Sales document Item Categories
• All Items in the bill of material (BOM) that you
want to control in the sales document must be
Flagged as relevant for sale. Hence you should
create a BOM material with BOM usage 5 (SD), all
The items in bill of material will be automatically
flagged as relevant to sales.
• The BOM appears in the sales document as a
structure with main item and sub-items. The
system
Explodes the BOMs in the sales order by
automatically generating sub-items for the
components.
• Item category group in Material Master for main
item –ERLA, Main item is priced and sub item is
not priced. Item category of main item- TAQ and
Sub Item-TAE
• Item category group in Material Master for main
item –LUMF, Main item is not priced and sub item is
priced. Item category of main item- TAP and Sub
Item-TAN
Availability check
• An Availability check is carried out during sales
order processing.
• An availability check occurs if-
.. The Material requires an availability check-in
material master (Gen./Plant or MRP 3)
.. The Material availability checks in customizing-
Delivery item Categories and Schedule line
categories.
• Availability is checked on material availability date.
The material availability date is determined from
delivery scheduling, on this date enough material
has to be available in time for
delivery to the customer for their requested date.
• In Customizing, you can configure which inward
and outward movements are to be considered in
availability check.
• Communication between sales and distribution and
Procurement is carried out via requirements. The
transfer of requirements type can be influence the
availability check.
• Any agreements made with customer about
deliveries also affect the result of the availability
check.
Example-complete/partial deliveries.
• The indicator for controlling complete/partial
deliveries is proposed from the customer master
records. The proposal for the item level comes from
the customer-material information record, if
a customer and material agreement maintained
there. These indicators can be changed manually
during order entry.
• The availability check includes-
.. Current stock
.. Inward movement
.. Outward movement
Backorder processing
• An order item is backdated if
.. The quantity of an order item is not totally
confirmed.
.. The request delivery date for an order item cannot
be kept.
• There are two type of backorder processing
.. Manually- From list sales order processes them
manually with reference to confirmation (Short
fall can be cleared).
.. Via Rescheduling- We can use the delivery priority
(proposed from the customer master) and
make new order and confirmation date by
scheduling.
Shipment or Delivery scheduling
• Different Times involved in delivery scheduling-
.. Pick/Pack Time
.. Loading Time
.. Transportation Lead Time
.. Transit Time
• Backward scheduling-The customer request
delivery date is used to calculate the material
availability date and transportation lead-time. The
delivery must be created on the earlier of two
dates, if both date are after the order date, the
customer‟s requested delivery date can be
confirmed.
• Forward scheduling- If both of dates not come
after order date, customer request delivery date
cannot be confirmed. Now system confirm the
quantity on the basis of New Material availability
date, the earliest date at which the material is
available in the warehouse.
.. Two schedule line are generated for the sale line
itemo
The date of the first schedule line corresponds to the
customer‟s required delivery date and
has no confirmed quantity.
o The date of schedule line shows the confirmed
delivery date and the confirmed quantity.
Assembly processing [Make to Order]
Make to Order without assembly processing-
..Production Order is generated from planned order.
..Make to order without assembly processing is
characterized by the fact that materials are not
available in the warehouse but produced especially
for a particular sales order.
..An individual Customer requirement is generated
from the sales order item and transferred to
material planning.
..We can use material planning run to plan
requirements, once this has been done production
is
carried out. The system returns the confirmed
quantity and delivery date from production order to
sales order.
.. After the product has been manufacture, goods
receipt is posted in the sales order stock which is a
special stock, and which can only be used for a
specific sales order.
Make to Order with assembly processing-
..Production Order is generated from sales order (No
need material planning run).
..The individual components for the final product
have already been produced; we only need to
assemble the component according to the
customer‟s requirement.
Complaints processing
• You can create The Returns or a Credit memo
request or a Debit memo request with reference
to a sales order or a Billing document.
• A Billing Block is automatically assigned to the
credit memo request or debit memo request. This
prevents immediate billing.
• The standard returns process in SAP has an order
related Billing-Credit memo. Hence, credit memo
generation can be carried out independently of the
inbound delivery of returned goods.
• You create the Invoice Correction request or
credit/debit memo (without credit/debit memo
request) with reference to the Billing Document.
• An Invoice correction request is always created
with reference to the incorrect billing
document. A credit memo item and a Debit memo
item are created in the Invoice correction request
for every item in the incorrect billing Document.
Change can only be carried out on the debit memo
items (debit memo is in Change mode, you can put
Correct quantity here). It always delete in pair
Sales information system
• With Sales Information System (SIS), you can
compress data from sales document to obtain
information.
• Sales information System (SIS) is apart of
Logistics information systems (LIS).
• List fall in two categories- Online List and Work
list.
.. Online List-
.. Provide Data for document,
.. Display document for example-For a customer or
a material, with a specific status.
.. Allow you to check and change the documents.
.. Work List-
.. Display activities that need to be processed.
.. Allow you to organize tasks into efficient work
units.
.. Work list allows you to select certain task in SD
and to process them afterwards.
.. You select the task according to area of
responsibility on various selection criteria (such
as date, organizational element or customer).
• The information system based on information
structures. These are special statistic table, which
contain transactional data from different application.
This data is constantly updated by system.
• Information structure contained three basic type of
information:-
Characteristics, Period Unit, and Key Figures.
• Standard information structures for SD available in
the R/3 systems are from S001 to S006, You Can
create your Own Information structure in
Customizing using the name range S501 to S999.
• Standard Analysis:-
.. A variety of tools are available that allow you to
analyze. These include, for example,
Cumulative Curves, ABC analysis, time series, top-n
evaluation, and comparison option.
.. The analysis is based on the information structure.
First, you select the required data scope
depending on the characteristics and period of
information structure. This data is first displayed
in basic list, which can be drilled down to display
different characteristics.
• Flexible Analysis:-
.. Flexible analysis in LIS allow you to determine
which data in which format is combined to
create an individual report.
.. With Flexible Analysis you can combine
characteristics and key figures from different
information structure in one list.
Data flow
• Information is transferred from the preceding
document to subsequent document.
• Describes the mapping of business process in sales
by creation of sales document with reference of
preceding document, this enable document flows to
be built up that describe business process.
• This allows you to copy partial quantities or all the
item and quantities in reference document
directly by choosing Item selection. You can select
certain items and can change quantities before
they are copied.
Document Flow
• A sales process is made up of the sequence of
individual process steps, recorded as documents;
this
process chain is stored in the document flow.
• You can view all the documents within the
document flow in a list, you can branch to individual
documents by double clicking and to display of a
document and then return to document flow.
• In status overview in document flow, you can
quickly find detailed information about current
status
of SD process.
• Document flow updated, when indicator “update
doc. Flow” is set in Copying Control.
Special Business transaction
Rush sale
.. Sales from Plant Scenario.
.. Sales document type-RO
.. Delivery Type-LF
.. Standard item category- TAN [RO+NORM]
.. Billing Type-F2 [Delivery related]
.. Immediate Delivery switch Checked
.. Once the goods have been withdrawn from the
warehouse, Picking and posting goods issue can
begin.
Cash Sale
.. Sales from Plant Scenario.
.. Sales document type-CS
.. Delivery Type-BV
.. Standard item category- BVN [CS+NORM]
.. Billing Type-BV [Order related]
.. Immediate Delivery switch Checked
.. Once the goods have been withdrawn from the
warehouse, Picking and posting goods issue can
begin.
Consignment processing
• In consignment processing, goods are delivered to
thr customer but remain the property of company
in special consignment stock, however they actually
used.
• An invoice is not created until the customer-
withdrawn goods from consignment stock. Up Till
that
point, the customer has the right to return
consignment stock.
• Scenario
Order Delivery Picking Goods issue Billing
Fill up (CF) YES YES YES YES NO
Issue (CI) YES YES NO YES YES
Pickup (CP) YES YES NO YES NO
Returns(CONR) YES YES NO YES YES
Delivery free of charge and subsequent deliveries
• Delivery free- of-charge [FD]. Item category is
KLN [with FD + NORM]. KLN is not relevant for
pricing
• Subsequent Delivery Free of charge [SDF] has
reference mandatory to a preceding sales
document.
Item category is KLN [with SDF + NORM].KLN is not
relevant for pricing
Partner Determination
.. Customer master
.. Sales document header
.. Sales document item
.. Delivery Type
.. Shipment Type
.. Billing Header
.. Billing Item
.. Sales Activities
Incompleteness
• It presents the function of the incompleteness
check. As part of editing sales documents, the
system
can check whether all necessary information has
been defined in document, if not document is
incomplete.
• Incompletion Log- The incompletion log is a list of
containing all information that has been
defined as relevant for the sales document, that has
not been processed during sales document
processing.
• This list can be called and processed manually or
automatically on saving the sales document.
• We define these data fields in customizing for
incompleteness Log.
• Incompleteness Log Function available for-
.. Sales- Header
.. Sales- Item
SAP SD IMP NOTES
Manoj Kumar
SAP SD Certified Consultant
E-Mail: [email protected]
.. Sales- Schedule Line
.. Partner
.. Sales activities
.. Delivery header
.. Delivery Item
Outline agreement
Two types- Contracts and Scheduling agreements
Scheduling agreement
• The Scheduling agreement contains fixed delivery
dates and quantity and is valid for a certain
period of time.
• When you enter schedule line for the item in the
scheduling agreement, the system adds up the
quantities that have already been entered and
compare them both the target quantity and the
quantity already shipped. This give you an overview
of all the open quantity, if the quantity in
schedule line exceeds the target quantity, system
issue a warning message.
Contracts
Two Types-Quantity contract and value contract
• The contract does not contain any schedule line,
delivery quantities or delivery date. It is valid
for a certain period of time.
• Release orders are created with reference to a
contract. Schedule lines are created in the release
order
when it is placed. You can choose materials directly
or by exploding an assortment module (list of
valid materials-Master data for product).
• You can create release order in any currency and
the total value is updated in the currency of the
contract.
• The value of release order is compared with value
still open in the contract. You can define how the
system responds when this value is exceeded (sales
document type)
• A value contract defines that your customer agrees
to purchase a fixed total value (target amount) of
goods and services during the defined period.
• You can have partner function AA as optional sold
to party and AW as optional ship to party in the
standard system.
• You can maintain contract data at both header and
item level in the sales document.
• If you assign a contract profile to the sales
document type, the system automatically determine
default
values specific to the contract. These could be:
.. Rule for determining start and end of the contract
.. Duration category
.. Subsequent activities
.. Cancellation procedure
Material Determination
• Material determination provides you with a tool for
automatic exchange of material in sales
document.
• Material determination is carried out by condition
technique. You do not need a material master
record for the material number that you are
replacing.
• You can assign a substitution reason to every
master record in material determination that
defines
how the material should be determined.
• In standard system reason for substitution 0005 is
for manual product selection and 0004/0006 is for
automatic product selection. If automatic product
selection is used, the system may display (based
on customizing) the entered and substitute material
as main and sub-items in sales order.
• Item data sales A contain information about
material that was originally entered and reason for
substitution.
• You can use product attributes in material master
and customer master records to exclude a
particular material from product list.
• You can re-run material determination when
delivery is created. If material determination is
rerunning,
the result of the substitution may change due to
new availability situation.
• You can assign a material determination procedure
to each sales document type.
Listing
• Make sure that your customer receives only
specific materials. You enter these materials as a
material listing.
• The material listing is controlled by condition
technique.
• You define in sales document type whether the
system checks the material listing or not.
Exclusion
• Make sure that the customer does not receive
certain materials. You enter these materials as a
material exclusion.
• The material exclusion also controlled by condition
technique.
Free Goods
• Condition technique is used for free good
determination.
• For free goods determination system uses-
.. Sales area
.. Document determination procedure (Sales
document type)
.. Customer determination procedure (Customer
master data)
• Free goods can be part of the order quantity not
included in the invoice. This is called an inclusive
bonus quantity. The order goods and the free goods
both involve the same material. The quantity
units of the free goods and ordered goods must be
same.
• In inclusive bonus quantities, the extra goods are
delivered free of charge and not typically his
included in the invoice. This can either be an
additional quantity of the goods ordered or it can be
another article. The exclusive free goods appear in
the sales document as an individual, free- ofcharge
item.
• The system re-reads the free goods master record
in the sales order if the quantities in the main item
change or if the pricing date changes. The system
then deletes the sub-items and re-creates them.
Any manual changes to the free goods quantity are
lost. If pricing is re-run in the sales order, it
does not affect the free goods determination.
DELIVERY
• Each outbound delivery starts at a shipping point,
continues along a route, and has ship to party as
the destination. These elements are header fields in
the outbound delivery.
• The SAP system supports the following function
within shipping processing:
.. Monitoring of deadlines for reference document
due for shipping
.. Creation and processing of outbound deliveries
.. Monitoring of goods availability
.. Monitoring of capacity situation in the warehouse
.. Support for picking (With link to the warehouse
management system)
.. Packing of outbound delivery
.. Printing and distribution of shipping documents
.. Processing of goods issue
.. Controlling through overviews of
.. -Outbound deliveries currently in process
.. -Activities still to be performed
.. -Possible bottlenecks
Logistics Execution
• The logistics process in a company that covers the
entire process chain from the vendor through
the company warehouse, production facilities, and
distribution centers to the customer.
• LE process includes-
.. The goods receipt process
.. The goods issue process
.. Internal warehouse process
.. The transportation process
Organizational structure: logistics
Plant, Storage location, Warehouse number,
Shipping point
• You can model the structure of a corporate group
by using Client and Company codes. A client is
often synonymous with a corporate group, while a
company code represents an independent
accounting unit. Company codes are legally
independent from one another.
• The plant plays a central role in logistics. A plant is
a production facility or a location that handles
material stock. It could be a collection of several
locations in one general vicinity with material stock,
which are known as storage location. Stock is
managed at the level of the storage location.
• Inventory valuation is done either at company
code level or Plant level, however the stock is
managed
at storage location level.
• Several storage locations within a plant can refer
to the same warehouse number. As a result, they
form the warehouse complex from the point of view
of inventory management
• The connection of organizational units in the
warehouse to MM inventory management results
from
the assignment of warehouse number to a
combination of plant and storage location.
•The organizational unit of WM- warehouse number,
storage type, picking are, staging area and
door. You can activate lean WM in customizing at
the warehouse number.
• A shipping point is an independent organizational
unit at a fixed location that process and monitor
outbound deliveries and goods issue. The shipping
point is directly under the client level.
• An outbound delivery is processed from a single
shipping point. The responsible shipping point is
determined in the order at item level.
• A shipping point may also be set as a goods
receipt point, which means it can also be used for
inbound deliveries.
Structure Delivery document
• A delivery Document has two level- Header and
Item. There is no schedule line. The reason is
each schedule line in the sales order can become an
item in delivery document.
Delivery type control
.. Rule for determining storage location-(MALA,
RETA, MARE)
.. Text, partner, output determination procedure
.. Route re-determination
.. Delivery split by warehouse number
.. Delivery split by partner
.. Automatic packing
.. Order reference
Delivery item category controls
.. Check zero quantity
.. Check minimum quantity
.. Check over delivery
.. Availability check control
.. Picking relevance
.. Determine storage location
.. Automatic batch determination
.. Packing control
.. Text determination procedure
Coping control-Delivery
• Update document flow
• In copying control table you specify:
.. Which sales and distribution document types can
be copied to which delivery type?
.. Which item categories are copied from reference
document?
• You can also specify
.. Under what condition data is copied from the
order to the outbound delivery.
.. Under what condition several orders can be
combined in an outbound delivery.
.. Which data to be transfer?
.. Whether the reference should be recorded in the
document flow.
.. When you copy an order item to a delivery, the
system copies the item category of the order item
to the delivery. An item category is not specified for
order-independent items in the delivery (for
example- packing material), for deliveries without
reference to an order (Delivery type LO). In
such case the item category determine take place on
the basis of customizing setting which is
same as that of sales document item category.
.. Delivery item category det. - delivery document
type + item category group + usages
[DLN (standard item without order) - LO+NORM]
Route determination
• Route determination is carried out in sales order
item and depends on:
.. The departure zone- shipping point (customizing)
.. Shipping condition-sales document type or sold to
party
.. The transportation zone- ship to party (shipping
tab)
.. The transportation group-material master
(general/plant)
• In the order item, you can manually overwrite the
route that is determined.
• You can re-determine the route in the outbound
delivery based on the weight (weight group).
Whether the route is re-determined depends on the
configuration of the delivery type.
Shipment or Delivery scheduling
• Different Times involved in delivery scheduling-
.. Pick/Pack Time
.. Loading Time
.. Transportation Time
.. Transit Time
• Shipping point calculate: - Pick/Pack Time, Loading
Time
• Route calculate: - Transportation Time, Transit
Time
Backward scheduling- system confirms the quantity
of delivery on the basis of customer request
delivery date.
Forward scheduling- system confirms the quantity
on the basis of New Material availability date.
Precise scheduling-the system calculates and
displays the results of scheduling down to minute. If
you
have maintained the working times of the shipping
point, the system performs precise scheduling.
Daily scheduling: - the system uses days, hours,
and minutes for calculation, but only displays the
resulting dates.
Route schedule: - the route is used to determine the
transportation lead-time and transit time. For
Transportation lead-time precise scheduling uses the
working times of the shipping point; daily
scheduling
uses the factory calendar of the shipping point. For
the transit time both types of scheduling use the
factory calendar of the route to determine when
route is used.
.. You can use the route schedule to organize
outbound deliveries from a particular
shipping point to different ship to party.
.. The route schedule generally contains: Route,
Departure date and time, list of ship to party
and itinerary (optional)
.. You can use route schedules in sales order, stock
transfer and outbound deliveries.
.. In customizing, you define whether a route
schedule should be assigned for each shipping
point, order type, purchasing doc. type (Delivering
plant) and delivery type.
Picking location / storage location determination: -
MALA, RETA, MARE
• MALA: - determination based on the shipping
point, the delivering plant, and the storage
location (Material master-plant data/storage 1)
• RETA: - Determination based on the delivering
plant, situation, the storage condition.
• MARE: - First MALA then RETA
Options for creating Outbound Deliveries
• Each outbound delivery starts at a shipping point,
continues along a route, and has the ship to party
as the destination. These elements are header fields
in outbound delivery.
• You can store delivery agreements using the
indicators in the customer master record of sold to
party
or in the customer material information.
• If the customer allow order to be combined, the
R/3 system combines orders when creating the
delivery due list. For this the following
characteristics should be same:
• Shipping point, Delivery due date, Ship to party,
Incoterm, Route
• You can create an outbound delivery manually
with or with out reference to a particular order.
However, if you create a delivery manually, you
cannot deliver purchase order or other request.
Delivery due list
• The delivery due list is a work list of all operations
requiring deliveries
Shipment
• If you use transportation functions, outbound
deliveries are grouped together on the basis of
user-defined criteria in a document called the
shipment document.
• Shipment function is optional. You can create a
shipment after delivery creation or after PGI.
You can invoice the customer for shipment cost.
Out bound delivery monitor
• The outbound delivery monitor displays all
deliveries that are still to be processed or that
have just been processed.
• You can use the outbound delivery monitor to
execute important follow-on-functions in collective
processing in the background ( for example-transfer
orde creation for picking, or posting of goods
issue).
Transfer order
• A transfer order is an instruction to move material
from a source storage bin to a destination
storage bin within a warehouse complex.
• The transfer order include the information like-
material number, quantity to be moved, source
and storage bin.
• With WM precise inventory management at the
level of the storage bin is possible and used for
warehouse with random storage. This is not possible
with lean WM and hence suitable for fixed
bin warehouse.
• You can Group Transfer order based on the
warehouse number.
• Automatic or direct creation of transfer order if the
systems determine output type WMTA at
the header level of outbound delivery when delivery
is being created.
Batch management setting-
• Material master-Plant/storage 1 view and
purchasing view- Activate batch management.
• In customizing- delivery item category, sales item
categories (automatic batch determination)
when delivering a sales order, this batch is copied to
outbound delivery. Then you cannot
change batch in outbound delivery.
• If a batch has not been specified in the sales
order, you can enter one in the picking overview
screen of the outbound delivery. You must specify a
batch before goods issue.
• Batch split function is used if delivery quantities of
an item are to be taken from different
batches. It can be done manually in batch split
screen of delivery item or automatically using
automatic batch determination, for this customizing
is done in delivery item category.
Serial number
• You can assign a unique serial number to each
material. This is allows you to monitor goods
movement for individual materials.
• To use serial numbers, enter serial number profiles
in the material master record (general/plant
and Plant data/storage-2).
• Serial number is specified in the delivery item or
the order.
• You must specified serial number before posting
goods issue.
Shipping related condition
• The outbound delivery can contain shipping-
related condition at header level.
• You can use the SD pricing technique.
• Assign the pricing procedure to the delivery type
Delivery split
• When you split a delivery, you create one or more
new deliveries, called result and the reminder.
• When you call the delivery split, specify a split
profile to determine the type of split. Split profiles
are
define in customizing, and assign to delivery type.
.. Delivery split by warehouse number
.. Delivery split by partner
Packing
• The packing function is available in –Order (as
packing proposal), In the inbound delivery, In the
outbound delivery, In the shipment document.
Packing control-
•You define packaging material type and packaging
material group. Assign packaging material
type to packaging material group. Choose material
type VERP for material master and maintain the
packaging material group in basic data 1 and sales:
general/plant views. However, if this field has
not been maintain in the material master, this
material can be packed in any packaging material
depending on the weight and volume.
• The system can generate a separate item in
outbound delivery for each packaging material. For
this-
.. You must set item category determination in
customizing. In this context, table entries with
PACK usage are relevant.
.. The delivering plant must be determined using the
plant determination rule in the
packaging material type or must be entered
manually.
.. If you want to bill the customer for packaging
material, item category should be determined as
DLN.
.. If you use returnable packaging material, you
must create them in the material master with item
category group LEIH (item category TAL is
determined). When goods issue is posted, the
material is transferred to special stock for the
customer.
Goods issue
• Posting goods issue involves an interface with FI
as stock valuation changes.
• After goods issue has been posted, there is limited
scope for changing the outbound delivery.
• The prerequisites for posting goods issue is that
picking-relevant item are completely picked
(transfer
order is confirmed). This means that the delivery
quantity and the picked quantity in the outbound
delivery must be same.
• Goods issue can be posted by changing a single
outbound delivery, by collective processing
function to select all deliveries for which goods issue
is due to be posted, can also use the outbound
delivery monitor to do this and at the time of
transfer order creation (to choosing adobe quantity
2)
• Any errors are logged when, for example, data
such as the batch or serial number is missing or
when picking has not been carried out fully for these
items. In this case, goods issue is not posted.
• The goods movement is controlled by “Movement
type-601” (schedule line)
Effect after goods issue-
.. Reduce warehouse stock
.. Post the value change to the stock accounts in
inventory accounting
.. Enter status information in the outbound delivery.
.. Reduce delivery requirement.
.. Is store in document flow and update status of
preceding document
.. Create work list for billing.
Cancel goods issue
• If goods issue for an outbound delivery is
canceled, the goods issue posting is reset. The
system
copies the quantities and value from the original
goods issue document and carry out an inventory
posting based on these quantities and values with a
reversed +/- sign.
• If the outbound delivery has been fully or partially
billed you must first cancel the billing document,
then you cancel goods issue.
• After goods issue has been canceled, the goods
movement status of the outbound delivery is reset
to
“Not yet started”. This allows you to further process
the outbound delivery (Goods issue) as usual.
• For each movement type in inventory
management, you must define a reversal movement
type
in customizing. No additional settings are required
for movement types used for goods issue posting.
Quality management
• You specify in the quality management view of the
material master if a quality inspection is to be
carried out for the material. When the outbound
delivery is created in SD, QM automatically creates
an inspection lot for the delivery items that are
relevant for inspection. The usage decision
represents
the completion of a QM inspection. Depending on
the customer, or on the customer and the material
together, you can specify if the inspection log must
be accepted before goods issue can be posted. You
initiate printing of a certificate of quality from output
control of the outbound delivery at item level.
POD settings
• You need to define which delivery item categories
are relevant for the POD process. You also need
to define reason for deviation, and in the customer
master data (sales area- shipping tab) specify
POD relevance.
• The system creates the billing document based on
the correct (verified) quantity. The creation of a
billing document using the billing due list is blocked
until proof of delivery has been confirmed.
TAB PAGES IN DELIVERY DOCUMENT
Overview: - Item overview, Picking, Loading,
Transport, Status overview, Goods movement data.
VARIOUS COLUMNS IN PRICING PROCEDURE
(RVAA01)
Step, Condition counter, Condition type, Description
(condition, From, To, Manual, mandatory,
Statistic, Print (X-print of item level), Subtotal
(reference level), Requirement, AltCty (Routine),
AltCBV (Routine), Account Key (ERL, ERS), account
key- accruals
Step-
Condition counter-
.. Access number of the conditions within a step in
the pricing procedure.
.. During automatic pricing, the system takes in to
account, the sequence specified by the
counter.
PRICING
The term price book refers to a price determination
strategy.
Condition records
• Condition records based on key fields (combination
of key fields called condition table)
• In pricing condition records you can have a validity
period, maintain scale and specify upper and
lower limit for manual changes. Manual changes
only in this specified limit.
• You can define unlimited number of levels in a
scale.
• You can do mass maintenance of conditions which
means that condition records can now be
maintained across all condition type and condition
tables.
•New condition records can be created with the
reference of existing condition records. Individual
condition records can be maintained manually.
•New price function allows you to maintain multiple
condition records simultaneously.
• You can maintain long text in the condition records
for pricing and agreements (rebates, sales deals
and promotions)
Pricing report
• To provide an overview of existing condition
records. You can generate a list of conditions for
analysis.
• When you creating a new program for pricing
report, you first decide in which views you want to
analyze condition records. You do this by selecting
specific fields from the existing condition tables.
Depending on which fields are selected, the system
will generate a list of tables, which contain at least
one of the selected field catalogues. From this list of
tables, select which tables will appear in the
report.
Condition indexes
• You can create and use condition indexes to
search for condition records that were created for a
variety of condition type and condition table. Before
you can use the indexes that are delivered in
the standard version, you must first activate them in
customizing for sales. However, if you create your
own indexes, the system automatically activates
each new index when you generate it.
Condition table
• Condition table is a combination of fields, which
form key for a condition record.
• Each condition table defines under access
sequence.
• All fields, which are to be used for creating a
condition table, must be contained in the field
catalogue.
It is possible to add additional fields to this
catalogue.
Release procedure
• You can allow a release procedure to be used
when a condition table is created by selecting the
with
release status checkbox. This adds the following
fields to the condition table automatically.
.. KFRST-Release status as last key field
.. KBSTAT- Processing status as a field of the
variable data part (non key field)
• “The release status is set indirectly by defining a
processing status in customizing for pricing and
assigning a release status to the processing status”
• Different statuses are
.. Released
.. Blocked
.. Released for price simulation
.. Released for planning and price simulation.
Access sequence
• An access sequence (search strategy) is defined
for each condition type (except header and manual
condition type) in pricing procedure.
• Each access performed during pricing procedure,
the access sequence is made using condition table.
• Access sequence is a search key for condition
record, which made up of key fields.
Condition type
• The condition type determines the category of a
condition and describes how the condition is used.
• The calculation type and scale base type can be
controlled for each condition type.
• Conditions: - Price, discount/surcharges, freight,
taxes
• Each condition type you can be set as an
automatic surcharge, discount or either.
• As well as being determined automatically,
condition can also be entered manually in the sales
document. You can prevent one condition type from
being changed manually by making setting in
customizing.
Header condition (E.g. HM00, AMIW)
• Header conditions are valid for all items. These are
automatically distributed among the items based
on net value. The basis for distributing the header
conditions can be changed in the pricing procedure
by selecting the appropriate routine (e.g. weight,
volumes) in the AltCBV field (alternative formula for
condition base value)
Special pricing functions
• Group condition:-In customizing you can set a
condition type to be a group condition. The
condition
base value (e.g. weight) is then calculated as the
sum of the individual items within one group. E.g.-
K029
• Group condition with varying keys: -For group
conditions with varying keys, item quantities are
accumulated for scale point determination purpose
but the rate for each item is calculated from its
individual condition record. E.g.-K005
• Condition update: -Value can be accumulated in
the condition records and tested against limits. In
this
way, you can set a maximum condition value,
condition base value, or number of orders for a
condition. For this you must activate condition
update switch in customizing for condition type.
[Then
only these fields visible in condition records]
• Condition supplements: -Condition supplements
are group of conditions, which are accessed
together
during pricing.
• Condition exclusion
.. Condition exclusion indicator can be set in either
the condition type or the condition
records.
.. Condition types to be compared are first placed in
an exclusion group. During pricing, the
conditions which result in the best price (lowest
charge or highest discount) are selected from
this group. All others are deactivated.
Special condition type
Manual pricing: - (E.g.-HM00, PN00)
• Header condition type HM00 allows you to enter
the order value manually. The new order value is
then distributed proportional the items, taking into
account the previous net value. Taxes are
determined again for each item.
• Item condition type PN00 allows you to specify the
net price for an item manually. The original
conditions are deactivated.
Minimum price: - (E.g. AMIW, PMIN)
• Header condition type (AMIW): -you may create a
minimum value for each order using condition
type AMIW. If the value in the order header is less
than this minimum order value during pricing, the
system uses the minimum as the net order value
automatically. The minimum order value is a
statistical condition. Condition type AMIW is a group
condition and is divided among the different
items according to value.
• Item condition type PMIN: -You can create a
minimum price for a material using type PMIN. If
the
minimum price is not met during pricing, the system
determines the difference using condition type
PMIN
Interval scale (PR02)- Scale pricing
• You can maintain condition records with interval
scales if the condition type is set to scale type D in
customizing. Interval scales cannot use for group
conditions.
Rounding Diff: -
• You can maintain a rounding unit in table T001R
for each company code and currency.
Condition DIFF determines the difference amount.
Condition type DIFF is a group condition and is
distributed among the different items according to
value.
Customer Hierarchy Pricing
• Customer hierarchy are available in sales order
management so that you can create flexible
hierarchies
to reflect the structure of customer organization.
• Use Customer hierarchy during sales order
processing and billing to determine pricing and
running
statistics.
• A Customer hierarchy consists of nodes. Which are
only valid for a certain period of time. They also
be moved. If a node is moved, the system
automatically reassigns all related nodes and
customer
master data.
• Settings-
.. Create master records for each node
.. Assign node to each other
.. Assign the customer master records to the
relevant nodes.
• “With customer hierarchies, you can assign price
or rebate agreements to a higher level node”
• Customer hierarchy accesses also provide clear
and easy master data maintenance because the
different condition records for a condition type can
be created together in the quick entry screen for
maintaining condition.
Discount and surcharges
• Pallet discount-KP00, incomplete pallet surcharge
KP01, Mixed Pallet Discount KP02, Surcharges for
incomplete mixed pallets KP03
Statistical condition type
• Condition type VPRS-statistical condition used to
retrieve the standard cost of the material has
condition category G. it accesses the material
valuation segment of material master.
• Condition type SKTO- statistical condition used to
retrieve the cash discount rate. It has condition
category E.
Update price
• Update prices on the condition screens is available
at header and item level ( in sales order and billing)
: you can choose the pricing time in a dialog box.
Calculation type
• The calculation type for a condition type is defined
in customizing. This calculation type determines
how prices or discounts and surcharges are
calculated for a condition.
Pricing procedure
• The sequence in which the system accesses the
conditions by using condition technique in
business document is determined in the pricing
procedure.
• “Requirements, routine and formula provide a
method to modify the standard pricing logic to meet
unique user requirement”
Pricing procedure determination-
• Sales Org.+ DC+ Division +Document pricing
procedure + Customer pricing procedure
• Pricing determination is carried out using the
condition technique.
Requirements (2-Item with pricing, 55- free goods
pricing, 59- Free goods)
• You need to determine “how the system should
use the conditions type” by specifying the
requirements.
• You are able to make access dependent on
requirements to avoid unnecessary access, this
reduce the
system load.
Reference level (Subtotal)
• Provides a method to specify a different basis to
calculate the condition type and to group condition
for subtotal.
• Pricing procedure can contain any number of
subtotals.
Condition type
• Are combined in the require sequence in pricing
procedure.
• Mark a condition type in the pricing procedure as
being:
.. A mandatory condition-PR00
SAP SD IMP NOTES
Manoj Kumar
SAP SD Certified Consultant
E-Mail: [email protected]
.. A manually condition-HM00, PN00
.. For statistical purpose only. -VPRS, SKTO
Pricing type
• You can configure the pricing behavior in the
pricing type.
• Pricing types are: -
A. Copy pricing elements and update scale
B. Carry out new price
C. Copy manual pricing elements
G. Re-determined taxes
H. Re-determine freight
X, Y Reserved for customer
1-9 Reserved for customer
Tax determination
• The following factor play a role in tax
determination
.. Business transaction- Domestic or export / import
.. Tax liability of ship to party
.. Tax liability of material
• You can assign a Rule, BLANK, A, B at the sales
organization level to determine tax identification
number in the sales order and billing document.
Sales deal and promotion
• You can define a promotion or general marketing
plan for a product line for a certain period of time.
You can then link this promotion with specific sales
deals, which themselves linked to special
condition records. These condition records can be
used for promotional pricing or discounts.
Rebate processing
Creating rebates agreement: -
• You may define rebates at as many levels as you
require, similar to any pricing condition.
• The rebate agreement is created with a specific
rebate agreement type. The feature of each
agreement type set in customizing (like condition
table and its access sequence).
• Condition records are linked to the rebate
agreement specifying the rebate rate and the
accrual rate.
Processing rebates
• Rebates are different from other discounts in that
they are based on the sales volume generated
by the customer within a specific period and are paid
retrospectively.
• A settlement run creates the required credit memo
request automatically.
• When the rebate- relevant billing documents are
processed, accruals can be determined and posted
to
financial accounting automatically, at the same time,
the system updates the rebate basis and the
accrual amount on the rebate agreement sales
volume screen.
• You can use the rebate credit memo to reverse
these accruals. Accrual are cancelled automatically
when a credit memo is created.
• To function properly, rebate processing must be
active for: -
.. Sales organization
.. The payer master
.. The billing document
Step rebate processing: -
.. Rebate processing begins by creating a rebate-
relevant billing document.
.. The valid rebates condition type are determined
by the pricing procedure using the rebate basis
subtotal.
.. Each rebate condition type has an assigned access
sequence (set in customizing).
.. The system uses the access sequence to search
for the valid rebate condition records. If valid
condition records are found, the accrual rate is
read.
.. The accrual amount is calculated using the rebate
basis.
.. The system posts an accrual to financial
accounting and update accrual in rebate agreement
same
time.
Retroactive rebate agreements
• Allow you to take into account billing documents
created before the rebate agreement is created.
• The rebate basis for the billing documents created
previously is accumulated and recorded in the
rebate agreement. The accrual amount is not
automatically updated for billing documents created
previously. This amount must be entered manually.
Requirements
Requirement 24 - In the pricing procedure enforces
that the rebate conditions are used only in billing
documents.
Requirement 25 – In the pricing procedure enforces
that the rebate conditions are used only in rebate
relevant-billing documents.
BILLING
Billing overview
• A Billing document has two levels-Header and
Item
• When you create a billing document in account,
the R/3 system carries out a debit posting on the
customer receivables account and a credit posting
on the revenue account.
• An important part of billing is the interface to
financial accounting. This allows documents to be
creating automatically in financial accounting and
controlling when you create billing documents.
• The data, which can be changed before an
accounting document created: Billing date, pricing,
account determination, output determination. After
posting accounting you can change only
output data.
• You might not want the data to be transferred
automatically for certain billing types. In that case
you
can set a posting block for the billing type
concerned.
• Inter-company billing- a sales organization can
also sell products supplied by a plant that is
assigned
to a different company code.
Controlling the billing process
Billing type control
• The billing type controls the whole document.
• The billing types are used to cover the full range of
business transactions during billing processing.
• In billing type if “Text Delivery” is switched off, the
corresponding SD header/item texts are taken
from the order. If the switch is on then it is taken
from outbound delivery.
• Having following control.
.. Cancellation billing type
.. Number assignment (Internal)
.. Partners
.. Rebate
.. Posting block
.. Account determination
.. Invoice list type
.. Special features of FI interface
.. Basic function (Text, Output)
• In customizing, for item category (sales doc.), you
determine whether billing is to be carried out with
reference to a delivery or an order. The system
propose a relevant billing type from the underlying
sales document type. For example, in delivery
related billing, a standard order (Order type OR) is
invoiced using billing type F2.
Invoice combination and Invoice split
• It is possible to include both order related and
delivery related items in the same billing document.
• If the header partner or data in the header field
are not identical, the system will automatically
perform
an invoice split.
Invoice list: -
• Each billing type to be included in an invoice list
must assign an invoice list type.
• You also need to maintain the following master
data:
1. Define a factory calendar, which specifies when
invoice list are to be created.
2. Enter this factory calendar in the payer master
record (Billing screen, invoice list schedule field).
3. Maintain condition record for condition type RL00
for the payer.
4. Create out put condition records for condition
types LR00 and RD01.
Data flow and coping control
• You can automatically fill the reference number
and allocation number fields in the accounting
document with numbers from SD documents. The
reference number is in header of the accounting
document and is used for clearing. The allocation
number is in the customer line item and is
used for sorting line numbers.
• In customizing for copy control in billing, you can
define which numbered will be copied as reference
or allocations:
A. Purchase number
B. Sales order number
C. Delivery number
D. External delivery number
E. Billing document number
F. External delivery number if available, other wise
delivery number.
• When the invoice list is created, the reference
number from the invoice list overwrites the
reference
number from the individual billing document.
• Copying requirement are ABAP routines. Before
data is copied from the source document to target
document, specific requirements must be satisfied at
each level of the document.
Special billing type
Billing type in complaint processing
Cancellation:
• You do not need to make an entry in coping
control for billing cancellations.
• When you select cancellations, you branch to an
overview screen containing the original billing
document as well as the cancellation. Before
updating, you can compare both documents in order
to
avoid any discrepancies during cancellation.
Credit and debit memos:
• You can create credit and debit memos either to
credit or debit memo request (sales document), or,
if
your company does not require a release procedure
in case of complaints, directly with reference to a
billing document.
• We can also create credit and debit memo request
without reference to a previous business
transaction.
• You can control in customizing whether the system
is to set a billing block automatically for a
credit or debit memo request.
• The responsible employee can:
.. Release the credit or debit memo request after
review (by removing billing block). The
employee can decide the amount or quantity to be
credited or debited.
.. Reject item in the credit or debit memo request
and enter a reason for rejection.
Invoice correction request:
• The invoice correction request represents a
combination of credit and debit memo request.
• The invoice correction request must be credited
with reference to the corresponding billing
document
(no reference to order or inquiry).
• The credit memo item cannot be changed. The
corresponding debit memo item, however, can be
updated according to new characteristics (E.g. new
pricing, change in quantity)
• You can delete the credit and debit memos in pairs
(unchanged pairs of items can be deleted all at
once
in this way).
Returns
• Returns are processed in the same way as credit
memo request.
Pro forma invoice
• You can create with reference to order or
deliveries
• This is generally used for export transaction
• Do not need PGI before creating delivery related
Pro forma invoice.
• You can create as many pro forma invoices as
required, since the billing status in the reference
document is not updated.
• Data from pro forma invoice is not transfer to
accounting
Cash sale
• Order related billing, (BV) the order and delivery
are created in one step, although you receive a
document for each other.
• The goods issue is posted at a later time as a
separate transaction so the customer does not have
to
wait.
• Order type CS is used for cash sales. It has its own
output type RD03 which allows you to print an
invoice from the order.
• No output determination, as this has already been
carried out in order.
• No new price determination, as the pricing should
not differ from the printed invoice.
• Posting in financial accounting is made to a cash
settlement account, not to the customer.
• Billing type SV is used for cancellations in cash
sales.
Special business transactions
Billing plan-Periodic billing and Milestone Billing
• You can assign billing plan at header level {sales
doc. Type} or at item level {sales item category
with
billing relevance 1}
• Periodic Billing
.. Periodic billing is used to spread billing of full
amount over several dates within billing plan.
Generally use in rental and in service contract.
• Milestone billing: -
.. In the SAP R/3 System, milestone is stored in a
network along with planned and actual project
data.
.. Milestone are assigned to the billing plan dates
and blocked for billing until the milestone is
confirmed as completed.
.. The date proposal is used exclusively for
milestone billing. It determines a sequence of dates
that are used as the reference for date
determination during order processing.
Down payment processing in SD
• Down payments are already created in the sales
order. “ At the corresponding due date, a down
payment request (Billing Document) is sent to
customer.”
• The down payment agreement can be assigned
directly to an item, or it can be defined as valid for
all
items in the order.
• As soon as billing date for down payment has been
reached the system created a down payment
invoice and sent it to the customer.
• Tax is determined and displayed automatically
when the down payment request is created.
• The down payment request (SD) is automatically
posted in financial accounting as a down
payment request (Posted as a noted item). The item
ha special general ledger (G/L) indicator F,
which insures that posting, is statistical. Posting is
made to a different reconciliation account, which
allows you to differentiate down payment requests
from other receivables. Billing type FAZ is
used for creating the down payment request.
Installment Payments
• Installment plans allow the customer to pay in
installments. Only one billing document is created
for
all of the installment payments. The printed invoice
is created on the basis of this billing document and
includes a list of individual payment dates and exact
amounts. Each installment payment creates an
accounts receivable line posting in FI.
• You must define installment payment terms in
customizing (number and amount of the installment
in percentage and payment terms).
Account determination
• Account determination is carried out using the
condition technique.
• The slandered account determination procedure is
KOFI00, which has the standard condition types as
KOFI and KOFK.
• Criteria for account determination-
.. Chart of account
.. Sales organization
.. Account assignment group for payer
(Customer in to different group, such as domestic
and overseas.)
.. Account assignment group for materials
.. Account key
(Account keys are assigned to condition types in the
pricing procedure, so that conditions such as
freight condition, can be posted to special freight
revenue accounts)
SD/FI interface
• Sales organization to company code assignment
• Account determination
• Copy control.
Condition technique is used for
.. Pricing
.. Account determination
.. Material determination
.. Listing
.. Exclusion
.. Free goods determination
.. Tax determination
.. Text determination
.. Output determination
TAB PAGES FOE BILLING DOCUMENT
Header - Header, Header Partner, Conditions,
Foreign Trade/customs, Head text, Global trade.
Item – Item detail, Item, Partner, Conditions,
Foreign Trade/ customs, Item text, PO date, global
trade.
SD QUESTIONS & ANSWERS I BASIS KNOWLEDGE AND SYSTEM NAVIGATION
Name two ways to start a transaction. Dynamic Menu Command Field
Why do you create user-specific parameters? They supply defaults to R/3 fields. If a field is indicated, the system automatically fills in default value. Depending on the field definition, the entry
can also be replaced with a value entered by the user. (Concept of PARAMETER ID) Name the three different kinds of messages in the
R/3 system. What is the difference between them? A message can have five different types. These message types have the following effects during list processing: A (=Abend):
The system displays a message of this message type in a dialog window. After the user confirms the message using ENTER, the system terminates the entire transaction (for example SE38).
E (=Error) or W (=Warning): The system displays a message of this message type
in the status line. After the user chooses ENTER, the system acts as follows: While creating the basic list, the system terminates
the report. While creating a secondary list, the system terminates the corresponding processing block and keeps displaying the previous list level.
I (=Information): The system displays a message of this message type in a dialog window. After the user chooses ENTER , the system resumes processing at the current
program position. S (=Success): The system displays a message of this message type on the output screen in the status line of the
currently created list. What is a data dictionary or repository? Central catalog that contains the descriptions of an organization's data and provides information about
the relationships between the data and its use in programs and screens. The data descriptions in a Data Dictionary is also called metadata, i.e., data that describes other
data. The ABAP/4 Dictionary stores system-wide data definitions. When you create a new data definition, the Dictionary tool does all the processing necessary
to create the definition. You can use the Dictionary tool to look up the "definition" of objects in your R/3
System. What is a matchcode?
Comparsion key. A matchcode allows you to locate the key of a particular database record (e.g. account number) by entering any field value contained in the record. The system then displays a list of records
matching the specifications. If you want an end user to see a specific menu after logging on the R/3 system, how could you do that?
User maintenance transactions allow the system administrator to create and maintain user master records. This includes the generation and assignment of authorizations and authorization
profiles. II CORPORATE STRUCTURE
In R/3 you can represent a company's structure by defining and assigning corporate structure elements. What is the purpose of doing that? Enterprise organization diagram. Chart showing the
organizational structure of an enterprise, its organization units and how they are related. A combined structure can be created from the point of view of accounting, MM, SD. This structure forms a
framework in which all business transactions can be processed.
Which three organizational elements make up a sales area and briefly explain their function? Sales organization: An organizational unit that sells
and distributes products, negotiates terms of sale, and is responsible for these transactions. Distribution channel: Channel through which salable materials or services reach customers. Typical
distribution channels include wholesale, retail and direct sales. You can assign a distribution channel to one or more sales organizations. Division: Product groups can be defined for a wide-
ranging spectrum of products. For every division you can make customer-specific agreements on, for example, partial deliveries, pricing and terms of payment. Within a division you can carry out
statistical analyses or set up separate marketing. Name the three internal organizational elements within a sales organization and briefly explain their function. Sales Office. Geographical aspects of the
organization in business development and sales are defined using the term sales office. A sales office can be considered as a subsidiary. Sales offices are assigned to sales areas. If you
enter a sales order for a sales office within a certain sales area, the sales office must be assigned to that area. Sales Group. The staff of a sales office may be
subdivided into sales groups. For example, sales groups can be defined for individual divisions.
Salespersons. Individual personnel master records are used to manage data about salespersons. You can assign a sales person to a sales group in the
personnel master record. What does the term "business area" refer to and how can it be used?
Business Area. The system posts costs and revenue according to the business area. The business area can be equivalent to the: sales area (if the accounts are to be posted
according to sales) plant/division (if the accounts are to be posted according to products) The business area is defined in Customizing for
Sales. • Business area. A unit in an enterprise, grouping product and market combinations as homogeneously as possible for the purpose of developing unified business policy.
• Financial Accounting (FI). A business area is an organizational unit within financial accounting which represents a separate area of operations or responsibilities within an organization. Financial
accounting transactions can be allocated to a specific business area. Briefly explain the relationship between sales
organizations and company codes. Many to One.
What is the central organizational element in purchasing?
Purchasing Organization. Explain the relationship between sales organizations and plants.
Many to Many. Explain the relationship between sales organizations, plants and company codes.
Many to Many to One. Can one business area be assigned to several company codes? Which (sub) module of SAP could
make business areas obsolete? Yes in CO . What is a credit control area? What relationship exists between credit control areas and company
codes? Credit control area. Organizational unit in an organization that specifies and checks credit limits for customers. A credit control area can include one
or more company codes. It is not possible to assign a company code to more than one credit control areas.
Which organizational element is central in shipping? Give a definition of it.
Shipping Point: Organizational unit at a fixed location that carries out shipping activities. A shipping point could, for example, be a company's
mail department or a plant's rail depot. Each delivery is processed by only one shipping point. Give a definition of plant (in SAP).
Organizational unit within Logistics, serving to subdivide an enterprise according to production, procurement, maintenance, and materials planning aspects.
A plant is a place where either materials are produced or goods and services provided. Classification: Business object Structure: A plant can assume a variety of roles:
As a maintenance plant, it includes the maintenance objects that are spatially located within this plant. The maintenance tasks that are to be performed are specified within a maintenance planning plant. As a retail or wholesale site, it makes merchandise
available for distribution and sale. As a rule, the plant is the organizational unit for material valuation. The preferred shipping point for a plant is defined as
the default shipping point, which depends on the shipping condition and the loading condition. For the placement of materials in storage (stock put-away), a storage location is assigned to a plant. The
storage location depends on the storage condition and the stock placement situation.
The business area that is responsible for a valuation area is determined as a function of the division. As a rule, a valuation area corresponds to a plant.
Can you assign two different sales organization to the same company code? Yes.
To what do you assign distribution channels and divisions? Sales Organizations.
What are the highest organizational units in SD, MM.PP,FI,CO? SD: Sales Organizations.
M: Plant PP: Plant FI: Company Code CO: Controlling Area
Can you further subdivide a plant? If yes into what ? A plant can be subdivided into storage locations, allowing stocks of materials to be broken down
according to predefined criteria (e.g., location and materials planning aspects). A plant can be subdivided into locations and operational areas. Subdivision into locations takes
geographical criteria into account, whereas subdivision into operational areas reflects
responsibilities for production. Can a sales organization sell from a plant belonging
to a different company code? Yes. How many shipping points can you assign to a
plant? Many. How many shipping points can you assign to a sales
organization? None. If you have a warehouse management system
active, to what would you assign the warehouse number? Plant & Storage Location. III MASTER DATA
Why does the customer master have different views?
In addition to the sales and distribution data, the accounting data is also important for a payer. Therefore one can create a customer master record centrally for the following partner functions:
For the payer For the sold-to party who, in addition to the other
partner functions, also takes on the function of the payer.
Which different partner functions can a customer master record serve? Customer: • sold-to party
• ship-to party • payer • bill-to party • One-time customer including all partner functions.
What is the structure of data in the customer master record? Different data is maintained in each of the three
areas: General data, like address and telephone number, etc., is maintained for every customer. This data is only identified by the customer number, not by company code or sales area. Maintaining the data is
possible from both the accounting view and the sales and distribution view. Company code data is only of interest for the accounting department. It includes, for example,
information on insurance or account management. This data applies to only one company code. Sales and distribution data is only of interest for the sales and distribution department. It includes, for
example, data on pricing or shipping. This data only applies to one sales area, and therefore is
dependent on the sales structure (sales organization, distribution channel, division).
Would you have different customer numbers if your customer was serviced by more than one company code? No.
Would you have different customer numbers if your customer was serviced by more than one sales organization?
No. A material is produced in plant Boston, plant Dallas and in plant Chicago. How many different material
master number do you need? Only one. Is it possible to have different data for the same customer for different sales areas?
Yes. Give examples of general data in the customer master record ?
Address, Control data, Marketing, Payment transactions, Contact person, Unloading points. Give examples of general data in the material
master record ? This level contains the data applicable to all
individual group companies, all plants, and all warehouses/stores belonging to an enterprise (corporate group). Examples of general data are
details on a material's design (CAD drawings, for instance) and storage conditions (temperature range, whether the material is explosive or perishable, and so on).
Give examples of company -code-specific data in the customer master record? This data is only of importance to the accounting
department. It includes, for example, data on insurance and account management. Company code data only applies to one company code. If you edit the customer master record you must specify
customer number and company code in order to access the screens containing company code data. Which plant-specific data do you find in the material master record?
This level contains the data for each branch or plant location within a certain company. The data important to Purchasing is stored at this level. Examples of this data are the maximum and
minimum order quantities of a material and the reorder level. You access the plant data by entering the plant key.
If a customer wishes to receive goods on Tuesdays only, how could you ensure that in the SAP R/3
system? This can be done by specifying goods receiving hours - Time schedule of ship-to party which
specifies the days and times that goods can be delivered. Do you find any sales prices in the material master
record? Yes. Name at least five different partner functions.
Examples of partner functions in Sales and Distribution: sold-to party, ship-to party, bill-to party, payer. Examples of partner functions (roles) in Materials
Management: ordering address, supplier of goods, invoicing party, different payee. Which are the two partner functions in SD that have
to be maintained in FI too ? sold-to party, payer. Can you assign a material to more than one
division? No. If you want to create language specific sales texts
for your material master, would you have to create a new material master record?
No. What is a material type and which material types do
you know? Raw materials, semi-finished products, finished products, trading goods, operating supplies.
Name the four standard industry sectors in SAP for the material master. For what do you use them? Branch of industry.
The industry sector groups together companies according to their activities (for example, plant engineering and construction, mechanical engineering, the chemical industry, and the
pharmaceutical industry). Table-driven program support is provided via the industry sector: for example, for the selection of data fields on-screen, for the sequence of the screens, and for the allocation of a material to a
material type. For what or why do you use the classification system in sales? Give examples of objects you can classify in R/3.
For e.g., Variant Pricing of configurable products. Objects can be customers, products, condition types.
Does storage-location specific data in the material master record apply for each plant?
This level contains the data specific to a storage location. Stock levels are an example of the data maintained for each storage location. You access the
storage location data by entering the plant and storage location codes. This data structure facilitates the organization of material-related information within the entire
enterprise. It prevents redundant storage of material data when the same material is used in more than one plant or stored at more than one storage location.
Example: Suppose the same metal casting is stored at two different locations. The design and purchasing data for this material would be identical. However, the data on the stock levels at each
location would differ. Name at least four views of the material master record. Accounting : Valuation and costing information. Examples: standard price, past and future price, and
current valuation. Materials planning and control: Information for material requirements planning (MRP) and consumption-based planning/inventory control.
Examples: safety stock level, planned delivery time, and reorder level for a material. Purchasing: Data provided by Purchasing for a material. Examples: purchasing group responsible
for a material, over- and underdelivery tolerances, and the order unit.
Engineering: Engineering and design data on a material. Examples: CAD drawings, basic dimensions, and design specifications.
Storage: Information relating to the storage/warehousing of a material. Examples: unit of issue, storage conditions, and packaging dimensions.
Forecasting: Information for predicting material requirements. Examples: how the material is procured, forecasting period, and past consumption/usage.
Sales and distribution: Information for sales orders and pricing. Examples: sales price, minimum order quantity, and the name of the sales department responsible for a certain material.
What are the possible units of measure for a material? A material can be stored, transported and sold in various units of measure. In the SAP R/3 System,
you can therefore define various units of measure which are maintained in the sales and distribution screens. However, you only need to maintain the fields of the units of measure if they deviate from
the base unit of measure. If no other fields with units of measure are maintained, the system automatically takes the base unit of measure as a basis
for its calculations. You can enter the following units of measure in the sales and distribution screens:
Base unit of measure : Stocks of a material are managed in the base unit of measure. All quantity movements in other units of measure are converted
automatically by the system into the base unit of measure. Alternative unit of measure: If a product is managed in the base unit of measure "Piece" but is sold in the
sales unit "Box", you must define the conversion factor. The alternative unit of measure can define, for example, that 1 box of this material contains 12 pieces.
Sales unit : The unit of measure in which materials are sold is referred to as a sales unit (for example, piece or bottle). The value you define in the material master record is proposed during business
transactions relevant for sales, such as the sales order. You can replace them with other alternative units of measure in the sales order. Delivery Unit : The delivery unit refers to the unit in which materials can be delivered. Only exact
multiples of the delivery unit can be delivered. For example, with a delivery unit of 30 bottles, 30, 60 or 90 bottles can be delivered, but not 100 bottles. Quantity Specifications: Two different quantity
specifications are used: Minimum order quantity: The minimum order quantity refers to the minimum quantity the customer must order. A warning message appears if
the minimum order quantity is not reached during order entry. The order can be entered in spite of the
warning message. Minimum delivery quantity : The minimum delivery quantity refers to the minimum quantity you must
deliver to the customer. The minimum delivery quantity is automatically checked during delivery processing. A warning message appears during delivery processing if you enter a delivery quantity
lower than the minimum delivery quantity. The delivery can be created in spite of this warning message.
What is a Bill of material? A bill of material is a complete, formally structured list of the components that make up a product or assembly. The list contains the object number of
each component, together with the quantity and unit of measure. The components are known as BOM items. A bill of material can only refer to a quantity of at least 1 of an object.
Is the BOM used in the PP module only? No. Also used in SD. Explain what a routing is?
Routing contains the operations required in production, and the production resources/tools, material components, and test equipment required to produce the product.
What is a work center?
A work center is an organizational unit where a work step is carried out, producing an output. The work center defines where and by whom an operation is
to be carried out. A cost center is assigned to each work center in the work center master record. The work center has a particular available capacity. The activities performed at or by the work center are
valuated by charge rates, which are determined by cost centers and activity types. Work centers can be: Machines, People, Production lines, Groups of craftsmen .
IN Personnel Planning and Development (PD) work centers are the physical locations where tasks are carried out. A work center can represent anything as
general as a geographic location, for example, the New York branch office. Or work centers can be very precisely defined. For example, a work center could represent a specific workstation, with specific tools and equipment, on a specific floor, of a specific
building. IN Workflow Management a work center is a particular place which has been set up specifically so that employees can perform their duties within the
corporate work system using working materials. What does the account group of the customer /vendor control?
A collection of properties of accounts which determine the creation of master records.
The account group determines the data that is relevant for the master record and a number range from which numbers are selected for the master
records. Each master record must be assigned to an account group. Changes to the account group and the
accompanying partner functions can only be made from a lower level to a higher level. For example, this means that a sold-to party cannot be assigned the function of a payer as fields which have already
been maintained for this sold-to party would have to be masked. However, you can assign the sold-to party function to a payer. The account group ensures that for the different
partner functions of a customer only the necessary screens and fields are displayed for input. What are the two possible ways of control for the cost of a material in the material master record?
Standard Price, Moving Average Price. What is a valuation class? Allocation of a material to a group of G/L accounts.
Along with other factors, the valuation class determines the G/L accounts to be updated as a result of a valuation-relevant transaction (for example, a goods movement).
Which valuation classes are valid depends on the material type. Several valuation classes can be valid
for one material type. A valuation class can be valid for several material types.
A customer master record in SD is also an A/R(accounts receivables)in FI. When you create a customer master record you also have to specify the reconciliation account. For what is the reconciliation
account used? Account in G/L accounting, to which automatic entries are posted during a business activity. It is generally the case that several subledger accounts
post to a common reconciliation account. This ensures that the developments in the subledger accounts are accurately reflected in the general ledger (i.e. in line with balance sheet conventions).
You can set up a reconciliation account for, say, all overseas customers. IV INRTRODUCTION TO ORDER MANAGEMENT & SALES
Briefly describe the types and structure of the sales document and give examples of data that you find
on the different levels. Sales-related business transactions are recorded in the system as sales documents. There are, broadly speaking, four different groupings of sales
documents: Sales queries, such as inquiries and quotations
Sales orders
Outline agreements, such as contracts and scheduling agreements Customer problems and complaints, such as free of charge deliveries and credit memo requests.
Header Data The general data that is valid for the entire
document is recorded in the document header. This data includes the: number of the sold-to party number of the ship-to party and the payer
document currency and exchange rate pricing elements for the entire document delivery date and shipping point Item Data
Whereas data in the document header applies to all items in the document, some data applies only to specific items. This data is stored at item level and
includes the: material number target quantity for outline agreements number of the ship-to party and the payer (an
alternative ship-to party or payer can be defined for a particular item)
plant and storage location specifications pricing elements for the individual items
Schedule Line Data An item consists of one or more schedule lines. The schedule line contains all the data that is needed for
a delivery. For example, a customer orders 20 pieces of a material and you enter this as an item in the sales order. However, you can only deliver 10 pieces now and the remaining 10 pieces next month.
In other words, you need to schedule two deliveries. The data for these deliveries (dates, confirmed quantities) are stored in two separate schedule lines. In sales documents where delivery data is not
relevant -for example: contracts, credit and debit memo requests - the system does not create any schedule lines. Data recorded in the schedule lines includes the:
schedule line quantity delivery date confirmed quantity What is the difference between an inquiry and
quotation ? Inquiry: Request made to a vendor for a quotation for required materials or services. No availability check is done for inquiry.
Quotation: Offer from a vendor to a purchasing organization regarding the supply of materials or
performance of services subject to predefined terms and conditions. A quotation consists of a number of items, in which
the total quantity and delivery date of an offered material or service are specified. The total quantity can be subdivided into several partial quantities with different delivery dates in the
lines of a delivery schedule. Do you always have to have a material master record number when you enter an item on a sales
document (inquiry and quote)? If not what would you have to use to be able to enter information at item level? No. Customer Material Information or Material
Description. If a customer doesn't place an order with you after you have sent him a quotation, what happens to the quotation document?
Remains active till the end of validity period. Can you have alternative items in a sales order? Yes.
If you reference an inquiry when creating a quotation ,would the inquiry be updated? Yes.
Can you copy one inquiry to many quotations ?
No. Can you copy several previous documents into one
sales order? Yes. Do you always have to copy the entire quantities at
item level when you reference a previous document? No.
Can you make sure that business data in a sales order is only possible to maintain at header level? Yes.
From where is the delivering plant transferred into the sales order? Customer Master, Material Master. Which partner function is relevant for the delivering
plant? The sold-to-party , bill-to-party, payer, carrier or the ship- to- party? Ship-to party.
Can you manually change the delivering plant in the sales order once it was defaulted from the master data? Yes.
For what or why do you use the incompletion log?
To have a complete document so that it doesn‟t affect subsequent processes.
Can you have different incompletion logs for different item categories? Schedule line categories? Yes.
If a document is incomplete can you still save the document? Yes.
Which reference statuses can a document have at item level? Which statuses at header level? Item level: Partial, Full. Header level: Full.
What's the advantage of using text as a reference instead of duplicating it? Can be modified if needed.
What three sources provide data for the creation of a sales document? Material Master, Customer Master, Previous referenced documents.
Can you change addresses of partners manually in the sales document? Yes.
Name several input tools that make order entry
faster and give a definition of them? Customer Material Information, Product Proposal , Referencing Documents.
In which business environment would you use only the single-line entry screen to create and save the order?
Telephone Sales, Simple Business. If you do not specify the delivering plant in the sales order, what could the system then not do?
Delivery Scheduling. For what would you use the fast change function in sales entry?
Alternate Plants, Delivery or Billing Blocks Name two ways to control that customers can receive only certain materials? Material Listing, Exclusion.
What does the item category control? General Data
- Should pricing be carried out for the item? - When should an item be regarded as completed? A quotation item, for example, can only be regarded
as completed if the entire quantity has been copied into a sales order.
- Is it an item that refers to a material or is it a text item? - Are schedule lines allowed for the item?
- May general business data, for example, the terms of payment at the item level, deviate from those at the header level? - Should a system message appear if the item
cannot be fully delivered? - Which fields are relevant for the incompletion log? - Which partner functions are allowed at the item level and which are mandatory?
- Which output (for example, an order confirmation) is allowed for the business transaction and which output determination procedure is used?
Shipping Data - Is an item relevant for delivery? • Should the weight and the volume of an item be
determined? Billing Data
- Is an item relevant for billing? - Should the cost of the item be determined? - Is it a statistical item? Pricing is carried out for statistical items. However, they are not added to the
value of the order, that is, the customer is not charged for them.
- Should a billing block be set automatically for an item? For example, this may be important for items whose prices have to be clarified before billing.
• Is it a returns item? Name the influencing factors for determining the item category in the sales document?
Sales Document type, Item Category Group, Higher Level Item, Item Usage. Name the influencing factors for determining the
scehdule line category in the sales document? Item Category, MRP Type. What does the sales document type control?
General Data - Can the document be entered only with reference to a preceding document?
- Should the existing customer-material info record be taken into consideration? - Should the delivery date be proposed? - Must a customer number be entered when creating
a document? For example, product proposals can be entered without reference to a particular customer. - Which order probability is defined? - Should the division be taken from the material
master record for every item or should an alternative division specified in the header take
precedence over the item specifications? - How should the system respond if the division
entered in the header deviates from the division in the items? - Should a credit limit check be made?
- From which number range should the document number for internal or external number assignment come?
- Which fields are relevant for the incompletion log? The validity period, for example, is important for contracts and must therefore be specified in the document.
- Can an incomplete document be saved or must all data be complete? - Which partner functions are allowed and which ones are mandatory?
Shipping Data - Which delivery type should the delivery resulting from the order have?
- Should delivery scheduling be carried out? - Should transportation scheduling be carried out? - Should a delivery block be set automatically for a specific reason? For example, a delivery block may
be appropriate for a free-of-charge delivery. - You can define shipping conditions for a sales
document type. These are copied into the document regardless of what is defined in the customer master record.
Billing Data Which billing type should the invoice resulting from
the order or the delivery have? Should a billing block be set automatically for a specific reason? For example, a billing block may be appropriate if a credit memo request should first be
checked before it is used as the basis for a credit memo. Can the sales document type be determined by the
system? No. In R/3, can you automatically substitute one product for another? How? What would you have to create?
Yes. Product Selection / Material Determination. Give a definition of replenishment lead time? Total time for the in-house production or for the
external procurement of a product. In in-house production the replenishment lead time is determined to cover all BOM levels.
What's the difference between checking availability with or without replenishment lead time (RLT)?
With RLT : Availability check is done only upto end of RLT. If material is not available the date on which RLT ends is displayed as Material Availability Date.
Without RLT : Availability check is unrestricted. Displays Delivery Dates as on which partial deliveries can be made with available stock.
Name at least three item categories? Standard Items : AFN, AGN, TAN. Free of charge Items: AFNN, AGNN, TANN. Non-stock Items : AFX, AGX, TAX.
Text Items : AFTX, AGTX, TATX. Why would you use different item and schedule line categories?
Item categories are defined to provide additional control functions for the sales documents and thus meet the demands resulting from the different business transactions. The items in a sales document are divided into one
or more schedule lines. These schedule lines differ from each other with respect to date and quantity. For some schedule lines, material requirements planning is not carried out; for other schedule lines,
it is carried out. Also goods receipt, not goods issue, is posted for a schedule line defined in a returns document.
Can you change existing standard item categories? Yes.
Can you create new sales order types? Yes.
Different dates will be calculated in order entry scheduling . Can you name the lead time variables that will be taken into account?
Transportation lead time, Pick/pack time, Loading time, Transit time . If you run out of stock in a specific plant can you
check if there are quantities available in other plants? Yes.
When you carry out availability check, which quantities or movements can the system take into consideration? The following elements can be included in the availability check:
Stocks : safety stock, stock in transfer, stock in quality inspection, blocked stock. Inward and outward movements : purchase orders, purchase requisitions, planned orders, production
orders, reservations, dependent reservations, dependent requirements, sales requirements, delivery requirements.
Give some examples of sales document types (description, not necessary the short code) that
already set up in the standard system? Indicator used to control the processing of the various sales documents which are defined in the
system. E.g., OR, SO, BV, KR. Document types allow the system to process different kinds of business transactions, such as standard orders and credit memo requests, in different ways.
Can you maintain texts for a specific customer and store them in the system? If yes, where? Yes. Customer Material Information.
When the system checks availability which scheduling would it use first? Backward Scheduling.
Name the influencing factors for the determination of the availability date? The following data is required for determining this date: - Route from the shipping point to the ship-to party
location • Shipping point from which the goods are issued • Loading group from the material master record • Weight group determined from the order using the
order quantity. Name the three delivery possibilities when there is not enough stock available?
One Time Delivery, Complete Delivery, Partial Deliveries.
Can you think of an example why you would have to create a text for a customer and copy it to the sales
order? Customer specific instructions. What is the function of item category group?
The item category group determines how a material is processed in the sales order. It defines, for example, that pricing does not take place for a free of charge item, such as a business gift; or that
inventory management is not carried out for a service. When processing sales and distribution documents, the system uses the item category group to determine the item category. The system
determines the item category based on the item category group of the material and the current business transaction, and proposes it in the respective document. When creating the material types non-stock material
and services, DIEN is proposed in both cases for the item category group, because the order processing for both material types is identical: for example, pricing is carried out for both, but no availability
check. On sales order, when the system confirms 20 pieces to be available at a certain date, would these 20 pieces still be available for other new sales order
coming in later? No.
What is a delivery group and why would you use it? The complete delivery and delivery group functions
enable you to combine some or all of the items in a sales order so that they are delivered to the customer together. The system determines automatically the latest delivery date possible for
the delivery group and adjusts the schedule lines accordingly. Corresponding requirements for material requirements planning (MRP) are changed or re-determined.
What is backorder processing? The backorder processing functions enable you to list relevant sales documents for specific materials
and process them from the point of view of availability. You can assign available to promise (ATP) stock to outstanding order quantities. In addition, you can withdraw already confirmed quantities and reassign them to different items.
Backorder processing is only available for materials with individual requirements. Can you link items in a sales order? If yes, when
would you do that? Yes. Promotional Items. For what would you use BOM‟S in sales? What two
methods of BOM processing do you have in sales order entry? How can you control if the system
should/should not explode a BOM in the sales order. A bill of material (BOM) describes the different
components that together create a product. A BOM for a bicycle, for example, consists of all the parts that make up the bicycle: the frame, the saddle, wheels, and so on. When you enter the material
number of a bill of materials that is relevant for sales order processing, the system displays the material that describes the whole bill of materials as a main item. The components are displayed as sub-
items. • Processing by Main Item : ERLA & Processing by Sub-Item : LUMF • BOM explosion can be prevented by specifying
Item Category Group as NORM. Credit limit checks is an example of a very close link between which two SAP modules? SD & FI.
What are the two techniques in delivery scheduling? Backward Scheduling & Forward Scheduling.
How does a third party deal work? Do you use a special sales order type for that? How could the system know that you want to process a third party deal?
By specifying item category as TAS using double-line entry in the sales order.
No special order type is available. By the item category group and/or material type in Material Master .
Name the several steps in consignment processing. Consignment fill-up, Consignment issue, Consignment pick-up, Consignment return.
What‟s the difference between consignment pick-up and consignment return? • In consignment pick-up, customer returns consignment stock. When goods issue is posted, the
relevant quantity is deducted from the customer's special stock and is added back to regular stock at the plant where the goods are returned. Total valuated stock remains the same since the returned
stock was regarded as part of inventory even while it was at the customer's premises.This transaction is not relevant for billing.
• In consignment return, customer wishes to claim on consignment goods which have already been issued. When goods issue is posted, the relevant quantity is added to the customer's special stock at
the plant where the goods are returned. Since the ownership of the goods is passed from the customer back to the company, the transaction is relevant for billing. In this case, the customer receives a credit
memo for the returned goods.
Can you control that an end user cannot copy a quote of customer A to a sales order for customer B? If yes, where?
Yes. By customizing Copying Control for header data. Give some example for data that is copied from the
customer (sold-to, payer, ship-to) to the sales order as well as for data that is copied from the material? • General data, payment terms, shipping details, delivery agreements, delivering plant.
What is returnable packaging processing? Returnable packaging consists of materials that are stored at the customer location but which remain
the property of the company. The customer is only required to pay for the returnable packaging if he does not return it by a specified time. Name the two outline agreements in R/3 standard and explain the difference between them.
Agreements are arrangements between business partners regarding the granting of conditions over a specified time period. The agreement contains conditions which apply over a particular time period
and which are settled together at the same points in time. An agreement can be settled once or periodically. The two outline agreements include Contracts and Scheduling Agreements.
Unlike a contract - which only contains an overall target quantity or value - a scheduling agreement
also contains specific order quantities and delivery dates.
How many documents do you create when you release, deliver and invoice the first order from a contract? Three : Sales order, Delivery note, Invoice.
What types of output can you have in sales? Printer, Telex, Fax, Mail, EDI. Can you automate output processing ? Do you
always have to specify it manually? yes. No. Where would you specify which data should be
copied (at header, item and schedule line level)when you copy from one document to another one? Customizing Copy Control. SHIPPING
Describe the flow of data from the sales order into the delivery for header and item and schedule line level data?
Header à Header Item à Header, Item. Schedule line à Item.
Can you combine several sales orders into one delivery document ? If no, why not? If yes, would
the system check certain criteria? What criteria? No. When ship-to party or plant is different. Yes. Availability of all items are confirmed.
Name a few prerequisites that have to be fulfilled if you want to create a delivery for the order. Header Level
There cannot be a delivery block at header level. The sales document must contain at least one item due for delivery before a delivery can be created for this document.
Item Level and Schedule Line Level The schedule line must be due for shipping on the specified selection date. A schedule line becomes due for shipping as soon as
the material availability date or the transportation scheduling date is reached. The schedule line cannot be blocked for delivery. The delivery quantity must be greater than one. The items in the order must be fully processed.
If they are incomplete, you must first edit the incompleteness log in the order. You will find information on the incompleteness log in the R/3 SD online documentation on sales.
The product status of the material must permit delivery. For example, the product status for new products which have not been released for delivery does not
allow them to be included in a delivery. Sufficient quantity of the material must be
available. If you create a delivery, would this automatically
update the sales order? Yes. The delivery status of the entire order results from the delivery status of the items. Until all items in the order have been fully delivered, the order has
the status "Partially delivered". The entire document acquires the status of fully delivered once all the items have been fully delivered. Name the different ways of creating deliveries.
Partial Deliveries, Complete Deliveries, Deliveries without reference, Grouped Deliveries. How does the system determine the shipping point
and the route in the sales order? A shipping point can be determined for each order item. How the shipping point is determined depends on three factors: The shipping conditions from the customer master
record (Shipping screen). A condition might be that the goods are to be delivered to the customer as soon as possible. The loading group from the material master record
(Sales/Plant Data screen).You could, for example, specify a loading group that defines that the goods must always be loaded with a crane or a fork lift. The delivering plant. This plant is determined per
order item either from the customer master record or from the material master record. However, you
can also enter it manually for each order item. You will find detailed information on determining the delivering plant in the sales order in the R/3 SD
online documentation on sales. Can you change the shipping point determined in the sales order manually?
Yes. If you have several shipping points in a sales order at item level. What would that have on the
delivery? Each item will individual deliveries. Why would you carry out route determination in the
delivery again? To reconfirm the weight of the item. At which different levels can you specify pick/pack and loading time?
Shipping point determination level : loading time. Route determination level : pick/pack time. Where do you specify the departure zone and the
arrival zone for route determination? Shipping point, Ship-to party. How can the route influence the material availability
date? Transit time & Transportation lead time.
Why would you carry out availability check in the delivery?
The availability check is calculated using planned inward and outward movements of goods. Therefore the delivery situation might have changed in the meantime due to unforeseen circumstances, such as
lost output. The availability check in the delivery takes any such changes into account. Where would you store partial/complete shipment
agreements and over/under delivery tolerances? Customer Master and Customer Material Information. Explain the effects of printing out the picking list.
Updates the picking quantity in the delivery. How does the system automatically determine the picking storage location in the delivery? Storage Condition.
Shipping Point. Plant. What is a transfer order and for what would you use
it? Document used to support every stock movement in the warehouse. It contains all the important movement data, such
as the material to be transferred, the quantity to be transferred, the storage bins involved, and so on
Define a shipping unit? Combination of materials which are packed together
in a shipping material at a particular time. Shipping units contain items which in turn are made up of shipping units or delivery items.
What effects does goods issue have? When the goods have left your plant, the business transaction is regarded as completed from the point of view of shipping. When goods are issued, the
following functions take place in the system: The material stock is reduced by the goods issue quantity and the corresponding value changes take place in accounting. This ensures that the quantity
and value flows are parallel. Material requirements for the delivery are reduced The delivery status is updated If you bill after goods issue, the delivery enters the billing work list
How can you delete a good issue? You cannot cancel a goods issue posting in isolation. You are also unable to change goods issue
quantities. If you make a mistake when processing a delivery, or if the goods are damaged leaving your plant and cannot be delivered, you must cancel the entire business transaction.
Procedure After you have invoiced the delivery, for which the
incorrect goods issue posting was carried out, proceed as follows: 1. Enter a returns order (order type RE) for the
customer and the material involved. 2. Create a returns delivery for the returns order. The system proposes the delivery type. The delivery quantities in the returns delivery must correspond to
the goods issue quantities in the incorrect goods issue document. 3. Post "goods issue" for the returns delivery. The system automatically recognizes the returns delivery
as goods receipt and clears the original goods issue posting by carrying out reverse posting. 4. Invoice the business transaction with a returns credit memo. The system proposes billing type. The
original billing document for the incorrect goods issue document is cleared by this credit memo. Is it possible to work without specifying a pick/pack or loading time for a shipping point?
Yes. When do you initiate packing activity-before or after goods issue? What is the material type for shipping material?
Before goods issue . VERP. When you post goods issue after packing, which two documents do you create? Picking List, Invoice.
Can the delivery quantity and the picking quantity in the delivery document be -different?
Yes. PRICING
Could you explain what condition technique in SAP is? Hierarchy of elements defining a data combination
which leads to certain actions. In pricing the condition technique refers to the method by which the system determines prices from information stored in condition records. In Sales and
Distribution, the various elements used in the condition technique are set up and controlled in Customizing. During sales order processing, the system uses the condition technique to determine a
variety of important pricing information. Name three areas/processes which use condition technique in SD? Material determination, Output determination,
Account determination. What are the four basic elements of condition technique?
Condition Types, Condition Tables, Access Sequences, Pricing Procedures. Please explain graphically the relationship between
the four basic elements in condition techniques? Procedures à Condition Types à Access Sequence à
Condition Tables à Condition Records. Explain what a pricing procedure is?
The primary job of a pricing procedure is to define a group of condition types in a particular sequence. The pricing procedure also determines: - Which sub-totals appear during pricing
- To what extent pricing can be influenced manually - Which method the system uses to calculate percentage discounts and surcharges - which requirements for a particular condition type
must be fulfilled before the system takes the condition into account. Explain what a condition table and an access
sequence is and the relationship between them? A condition table defines the combination of fields (the key) that identifies an individual condition record. A condition record is how the system stores the specific condition data that you enter in the
system as condition records. For example, when you enter the price for a product or a special discount for a good customer, you create individual condition records.
An access sequence is a search strategy that the system uses to find valid data for a particular condition type. It determines the sequence in which the system searches for data. The access sequence
consists of one or more accesses. The sequence of the accesses
establishes which condition records have priority over others. The accesses tell the system
where to look first, second, and so on, until it finds a valid condition record. You specify an access sequence for each condition type for which you create condition records.
What is a condition type? What are the two main groups of condition types? A condition type is a representation in the system of
some aspect of your daily pricing activities. For example, you can define a different condition type for each kind of price, discount, or surcharge that occurs in your business transactions.
Fixed Amount & Percentage. Is SD the only module that uses condition technique? No.
What is a condition supplement and why would you use it? A condition supplement is a supplement for a
particular condition type. For example, you can include a supplement every time you apply a material price. The supplement can contain various discounts. During pricing, the system automatically
applies the discounts defined in the supplement every time it accesses a material price. You define
for which condition types you want to use condition supplements in Customizing for Sales. Which partner function is relevant when it comes to
tax calculation in the sales order? Ship-to party. Name at least three different condition types in
pricing? Price, Discounts, Freight. PROO, K007, KF00. You can create scales for prices and discounts. Name the four possible scale basis in R/3.
Value, Quantity, Gross weight, Net weight, Volume. Where would you specify that a condition type is a discount or a surcharge? In Condition Type Details Screen.
If somebody adds price elements manually in the sales order or if somebody changes a discount the system determined automatically, do you have a possibility to see that in the sales order? Yes.
You want to list all condition records for a certain material or a certain sales organization. How would you do that?
By creating Pricing Reports. Does the pricing procedure apply for the pricing data at item level or for the pricing data at header level?
Both.
When you create a header condition manually in the sales order the system can copy the values in different ways to the items. Where would you
specify how the system should process? Condition Type. Which data do you have to maintain in SD so that the system can determine the sales taxes in the
sales order automatically? Tax rate with or without Jurisdiction. What does the condition exclusion indicator do for you?
The system can exclude conditions so that they are not taken into account during pricing in sales documents. Can you explain what a statistical condition is? Give
an example for a statistical condition? VPRS. For what do you use customer hierarchies? Pricing , Rebate. Can you track cumulative values in R/3? If yes, it
could be based on what? Yes. Maximum Value, Maximum Orders, Maximum Quantity. If you want to make sure that conditions records
apply for a certain time period only what would you have to do? Validity Period to be specified in condition record. What is a group condition?
Condition which can be used to determine a scale value based on more than one item in a document.
The system groups the items using either the condition key for the appropriate condition record or a separately defined condition key.
Name the influencing factors for pricing procedure determination during sales order entry? Customer, Sales Document Type and Sales Area. Can you copy condition records? If yes, are there
any restrictions? Yes. Field specific. If you create a new condition type-do you also have to create a new condition table and a new access
sequence? Yes. Where can you specify that a condition is
mandatory? In Pricing Procedure. Tax jurisdiction processing is a close link between which two modules?
FI & SD. Do you have to create a condition record for taxes in the SD application?
Yes. BILLING Name several billing types?
F1 : Order related Invoice F2 : Delivery related invoice.
F5 : Proforma Invoice for Sales Order F8 : Proforma Invoice for Delivery.
Can you delete an invoice? No. You can cancel it and create cancellation document.
When you create an invoice in SD, how do you post it to FI? Select Billing document à Release To Accounting. The system displays a message that the accounting
document has been saved. If the billing document contains an error, the reason for not forwarding the document is displayed. If the release was successful, the posting status in the billing document is set to C
(accounting document has been created). You find the posting status by selecting Header à Details in the billing document. When you create an invoice can you carry out
pricing again? Yes. From which documents can you create a proforma
invoice? Based on sales order or delivery. Do you transfer a proforma invoice to FI ? If yes,
how? If no, how do you customize the system in a way that the proforma invoice is not transferred to
FI? No. Billing status not assigned to proforma invoice. Posting bock in the billing document.
When you create a credit memo request do you always have to refer to a sales order or any other previous document?
Only sales order. In R/3 how can you make sure that invoices for a customer are always created at a specific date? Billing Schedule.
Can you combine deliveries into one invoice? When would you do that? Yes. If the header data and header partners for
specified delivery or sales order are identical and if requirements for splitting do not apply. Can you combine orders into one invoice? Yes.
Can you split deliveries into several invoices? When would you do that? Yes . If the data from the related reference
documents differs in the header fields of the billing document. The system will automatically split the invoice.
For what do you use the billing due list? What previous step in the process is necessary that a
delivery appears in the billing due list? Selection criteria – sold-to party, billing date or receiving partner.
a. a) separate invoice for each delivery b. b) split one sales order for delivery into several invoices. c) combine several sales orders for delivery into one
invoice. Name the five possible influencing factors for account determination for invoices?
Chart of accounts of the company code Sales organization Account assignment group of the customer (from the customer master record, Billing screen, Account
group field) Account assignment group of the material (from the material master record, Sales 2 screen, Account assignment group field) Account key (from the pricing procedure)
Can one business area be valid for several company codes? Yes.
What are the two possible ways to transfer sales data to business areas? Where do you specify which way you want to use?
sales area (if the accounts are to be posted according to sales)
plant/division (if the accounts are to be posted according to products)
There is an interface between SD and FI in invoicing . can you think of another interface between SD and FI? Credit check, Tax calculation, Cost estimate.
What is rebate processing? A rebate is a special discount which is paid retroactively to a customer. This discount is based
on the customer's sales volume over a specified time period What is an invoice list? Which prerequisite are
necessary to use an invoice list? How does an invoice list differ from a collective invoice? Invoice lists let you create, at specified time intervals or on specific dates, a list of billing documents (invoices, credit and debit memos) to
send to a particular payer. The billing documents in the invoice list can be single or collective documents (collective invoices combine items from more than one delivery).
The standard version of the SAP R/3 System includes two types of invoice lists: - for invoices and debit memos - for credit memos
If you wish, you can process invoices, debit memos, and credit memos at the same time. The system
automatically creates a separate invoice list for credit memos. Prerequisites for Invoice Lists
You can process invoice lists providing that the following prerequisite data is defined by your system administrator in Customizing for Sales: - Condition type RL00 (factoring discount) must be
maintained and, if required, condition type MW15 (VAT: factoring discount tax) - An invoice list type must be assigned to each billing type that you want to process in invoice lists -
the standard version of the SAP R/3 System includes two invoice list types: LR for invoices and debit memos, LG for credit memos - Copying requirements must be defined (for
example, the payer, terms of payment, and other fields that must be identical in the documents to be included in the invoice list) In addition, before you process an invoice list, you must maintain the following master data:
- A customer calendar must be defined, specifying the time intervals or dates on which invoice lists are to be processed - The customer calendar must be entered in the
Billing view of the customer master record of the payer (field: Inv. list sched.) - Pricing condition records for the condition type RL00 and, if necessary, MW15
Output condition records for condition types LR00 (invoice list) and RD01 (single invoice)
Collective Invoice If the header data and the header partners for the specified deliveries or sales orders are identical and
if the requirements for splitting do not apply, one billing document is created for all the deliveries or sales orders.
What is a product hierarchy and for what can it be used? Alphanumeric character string for grouping materials by combining various characteristics. The product
hierarchy is used for evaluation and pricing purposes. In Product Cost Controlling (CO-PC) : Structure consisting of the plant, product group, product, and
order. Used for the interactive analysis of the product costs for each level of the hierarchy. Can you name the two types of billing plans in the standard R/3 system?
Periodic billing, Milestone billing. Can you partially settle rebate accruals? Yes.
For what would you use a lump sum payment? A lump sum payment is a special condition which does not depend on sales volume but on a
promotional performance such as a front of store display or a local advertisement.
CUSTOMIZING
Explain what the IMG is? Tool for configuring the SAP System to meet customer requirements. Also referred to as the 'Implementation Guide'.
Explain how you can use the R/3 project Management in an implementation? For each business application, the implementation
guide explains all the steps in the implementation process tells you the SAP standard (factory) settings describes system configuration work (activities) and
opens the activities interactively. Implementation guides are structured as hypertext. The hierarchical structure reflects the structure of the R/3 business application components, and lists all the documentation to do with implementing the
R/3 System. Once you have activated the company IMG can you still add modules/areas?
Yes. If you deactivate the module CO in the company IMG could you still select the CO module in a project
you create? No.
Is it possible to link R/3 projects to the MS project? Yes.
What is the procedure model and how can it be used in an implementation? The R/3 Procedure Model is both the methodological
framework for the implementation and upgrade processes and a powerful tool that supports you at every stage of the implementation process. The R/3 Procedure Model provides
all the fundamental understanding you need at the cross-application level for implementing R/3 application components successfully, a hierarchically-structured plan of the activities,
a correct sequence of the activities the link to the system setting activities Explain shortly what the SAP business Navigator is and how it can be used in an implementation. The Reference Model integrated into the R/3
System The various ways into Business Navigator (the views) help you call just the models and list displays you need in the R/3 Reference Model
You can access other R/3 System components directly from the models, for example: data models, transactions, documentation.
What two ways of number assignment for documents or master data do you know? Explain the
difference between them. Internal & External. Can you share master data between several sales
areas? Yes. What does the account group of the customer
control? Number assignment, Screen Layout. What are the two influence factors for field selection
for customer master record maintenance? Account Group, Transactions. Name at least five features that you can control for
the sale document type? Text, Partner, Pricing, Taxes, Output, Delivery. Give an example of when you would specify that a sales document can only be created referencing
another sales document? Returns can only be created referencing sales order.
Why do you have different sales document types in R/3? For business transactions.
Name at least three features controlled by the sales document type?
Pricing, Taxes , Delivery. Name at least five features that you can control for
the item category? Pricing, Relevance for delivery, Relevance for billing, Incompletion log, Partner, Tax. Name at least five features that you can control for
the schedule line category? Relevance for delivery, Availability check, Transfer of Requirements, Goods Movement, Purchasing and Incompletion log.
Explain how the system can automatically determine the item category in the sales order. Sales document type + Higher level Item category + Item category group + Item Usage.
Explain how the system can automatically determine the schedule line category in the sales order? Item category + MRP type. Once the system determined the item level schedule
line category automatically in the sales order, can you still change it manually? Yes. At which levels in the sales document can you have
different incompletion procedures? Sales Document Type, Item Category, Schedule Line Category, Partner Functions, Sales Activities.
What is the item category group? Where do you maintain it?
The item category group determines how a material is processed in the sales order. It defines, for example, that pricing does not take place for a free
of charge item, such as a business gift; or that inventory management is not carried out for a service. When processing sales and distribution documents, the system uses the item category
group to determine the item category. The system determines the item category based on the item category group of the material and the current business transaction, and proposes it in the
respective document. When creating the material types non-stock material and services, DIEN is proposed in both cases for the item category group, because the order processing
for both material types is identical: for example, pricing is carried out for both, but no availability check. It is maintained in the material master.
What do you control at item category level in the delivery? Relevance for Picking, Determination of Picking Location, Minimum Delivery Quantity.
Do you have schedule lines in the delivery? No. Item categories from the sales order are copied into
the delivery. What happens if you add a new item in the delivery – how can the system still automatically
determine the item category for the delivery? If, yes, what do you have to do?
You can only enter an item that is not dependent on an order in a delivery if the delivery permits the item category for that item. The item category is determined on the basis of the delivery type and
item category group in the material master record. Thus, items for which an order has to be created first cannot be added to a delivery. Which materials can be included in a delivery, depend on your
system configuration. In the standard version of the SAP R/3 System, only materials with the item category VERP can be added to a delivery.
What does the billing type control? The document number The partner functions allowed at header level The partner functions allowed at item level
The billing type that can be used to cancel the billing document The transfer status of the billing document: Transferred to financial accounting
blocked from transfer not transferred The procedure for account assignment in Financial Accounting
The allowed output for a business transaction and the procedure for output.
When you think of the document flow – what do you control for it in customizing? You can specify for a particular sales document type,
which document type is to be assigned to copied reference documents, and which item categories or schedule line categories are to be copied. You must also make specifications for copying
requirements and data transfer, as well as quantity and value updates in document flow. This must be done for each copying procedure at header, item and, if necessary, schedule line level on a detail
screen. You can specify partner procedures for the customer master (linked to the account group) and you can specify partner procedures for the sales document.
Can you have different partner procedure at sales document type and item category level? If yes, why would you want to have different procedures for the item category? Yes. Different Ship-to party.
What is a partner type? Give some example? The partner type is an indicator which informs you of the type of partner, for example, partner type
customer "KU". You want to set up a new condition type. Name the necessary steps you have to do If you want the
system to determine the new condition type automatically during sales order entry?
Check to what extent you can use the condition types contained in the standard SAP R/3 System. Create new condition types by copying a similar
conditions type and changing it according to your requirements. One reason for creating a new condition type is you may require a calculation rule for a discount which is not available in the standard
system. Specify an alphanumeric key which can have up to 4 digits, and a textual description. Specify an access sequence for the condition types.
You do not need to specify an access sequence for header conditions. - Maintain the detail screen of the condition type. You can also assign a reference condition type if the
condition types you are working with are similar. Then you will only have to maintain condition records for the reference condition type. In addition, you can define the upper and lower limits for the value of a condition at condition type
level. This way, you limit the amounts or the scale values in the corresponding condition records. When you think of the five possible elements necessary for the account determining during
posting of a sales invoice – where from does the system get the information? Chart of Accounts, Sales Organization, Payer, Material Master, Account Key.
Name the necessary steps to setup a route? Define the transportation connection points which
mark the beginning and end of a leg Define the leg by specifying the transportation connection points at the beginning and end
Define the modes of transport and shipping types which are dependent upon the mode of transport. Define the routes by listing the individual legs one after another. The sequence of legs constituting the
route determines the itinerary. When you string together the individual legs of the route, you must also specify the shipping type for each leg. As a simple alternative you can also define routes
without specifying them more precisely by defining legs. Note that in this case the system cannot propose the office of exit for export. During route determination the system also needs to
know the departure Zone of the goods to be shipped. How does this information come into the sales order? Customer Master. What is the scope of check during availability check
and what do you specify with it? Stocks Safety stock, stock in transfer, stock in quality inspection, blocked stock.
Inward and outward movements purchase orders, purchase requisitions, planned orders, production orders, reservations, dependent reservations, dependent requirements, sales
requirements, delivery requirements. Where do you assign text determination procedures
for customer master records and for documents? Account Group, Item Category. Can you make texts mandatory for a customer
master or a sales document? Yes. Give examples for standard output types in SD. Order Confirmation, Delivery Note , Invoice.
Can you specify when output should be created? If yes, what possibilities do you have? Yes. Print out, Mail, EDI, Fax. What does the material type control ?
The material type determines a material's procurement type. It also controls - screen sequence - field selection
- number assignment type in material master maintenance - inventory management type • account determination Credits SAP CERTIFICATION IMPORTANT MATERIAL !! 1
Please excuse the funny words infront of the determinations like ex:cat, this was my way of memorizing for the certification exam.
Master Data
Master Data Cat---Customer Master
Mouse---Material Master Chase---Customer M. Info Record
Octopus---Output Master Data In---Incompletion Log
C---Customer Master in Pricing
Customer Master vary's by the Sales Organization /distribution channel /division
Company Code
Customer Master groups data into General Data
General data is relevant to Sales and Accounting. General data is valid for all sales area.
Marketing and Export Sales Data
Sales Area data is relevant to Sales, Delivery and Billing. Sales Area is valid for Sales Area. Shipping, Billing, and Partners
Company Code Data Company data is relevant to Accounting. Company data is valid for company
code Account Management, Payment Transactions
*If you have 3 sales organizations, 2 divisions, and 2 distribution channels and
you want to use each of the divisions and distribution channels, how many customer records do
you need to create for each customer? 1
*If you have 3 sales organizations, 2 divisions, and 2 distribution channels and
you want to use each of the divisions and distribution channels, how many sales area views need to be created for
a customer? 12
* When creating a customer master record through the menu path, the default value in the account
group field depends on the Business Partner
Account Group Controls: Not---Number Range
If---Internal or External number Assignment I---Input Screens and filed for partner functions
Fail---Field Selection One---One Time Account/Customer
Of---Output
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It---It can be automatically proposed
Mandatory in customer master Sold to Party---Pricing, Incoterms, and Shipping Conditions. Payer---Terms of
Payment and Credit Limit Check. Ship to Party---Shipping Address, Goods Receiving Hours, and Tax. Billing
Address---Bill to Party.
Partner Types AP-Contact Person
KU-Customer LI-Vendor
PE-Personnel
Partner Determination Procedure Super---Customer Master Slam---Sales Doc Header
Seven---Sales Doc Item Basket---Billing Header Ball---Billing Item
Dunk---Delivery Contest---Customer Master
Assigning of Partner Procedures
Partner Object Assignment of Partner Procedures Customer Master > Account Group Sales Doc. Header>Sales Doc Type Sales Doc Item> Item Cat in Sales
Delivery>Delivery Type Shipment>Shipment Type
Billing Header>Billing Type Billing Item>Billing Type
Sales Activities (CAS)>Sales Activity Type
Outline Agreements Two Types of Outline Agreements. 1. Scheduling agreements 2. Contracts
Three Types of Scheduling Agreements. 1. SA Scheduling agreement 2. BL Scheduling
Agreement with delivery. 3. Del Scheduling Agreement for external line agent. *Scheduling Agreements- Between you and customer sold to party. [Valid for a
certain period of time, Fixed Delivery Qty and dates, and Dates are contained in the Schedule
Lines.] Difference between S.A. and sales order is in S.A. you work on the schedule lines and is made manually.
Two Types of Contracts. 1. Quantity Contract 2. Value Contracts Quantity Contract- Is between you and customer. [Valid for certain period of
time, No schedule lines in contract, No delivery date, and no delivery quantities.]
Value Contract- Is between you and customer. (Like the quantity will be reserved and as you
consumed you will pay on the same price in contract.) Schedule lines are created in the release order when it is placed.
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Two Types of Value Contract- WK1=General value contract, WK2=Material
related value contract/Contains exactly 1 material. [In Contract you don't know when you have to delivery/release. In Scheduling
Agreement you do.]
Material Determination Tool for automatically exchanging materials in the sales document. When you
process a document the system automatically Searches for valid master records. You
don't need a master record for the material number that you are replacing. During order entry the material ordered by the customer is replaced by the substitute defined
in the master record.
Two Types of Material Determination
1. Manual Product Selection-[The system does not automatically replace the product.
Displays a list of all the substitution materials. There is 1 reason for substitution. 1. For
manual product selection=0005.] 2. Automatic product selection-[The system replaces the entered material
automatically. Reruns material determination. Fill the quantity of the order with the first
material; if not enough material it will fill the remaining quantity with the next material. Two reasons for
substitution 0004, 0006.] *Material Determination is assigned in condition Technique.
Material Type controls Views
Default Item Category Group Number Ranges
Determines Material Master Views
Material Type
Material Master varies by Sales Organization/Distribution Channel
Plant/Storage Location Division is at the Client Level Material Master Tabs
The Basic data on the material master is valid for all organizational units and relevant to all areas
The Sales: S/org data on the material master is valid for Sales Organization / Distribution channel and relevant to Sales.
The Sales: General/Plant data and Foreign Trade data on the material master is valid for
delivering plant and relevant to Sales
*Certain fields such as sales units can have multiple sales units depending on the Sales org / Distribution channels.
*Certain fields such as loading group's can have multiple loading groups depending on the plant. *A company sells 2 materials out of 10 plants. You
need 2 material master records. Material Types
VERP---Packaging HAWA---Trading Goods
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FERT---Finished Product
LEIH---Returnable packaging NLAG---Non Stock Item
*You want to create a material for an externally produced material. The material is kept in stock
and is used in the bill of materials. It is not sold directly. Which material type do you select? ROH.
*Which of the following data is proposed for the sales process from the material
master? Weight and volume
Delivering plant Text and availability
Pricing
Customer Material Info Record Cookies---Customer Material Come---Customer Description
Slow ---Search Term Peanut B. ---Plant
Doesn't----Delivery Priority Monkeys---Minimum Delivery Quantity Play---Partial Delivery/item
On---Over Delivery Tolerance Bed---Batch Split Allowed
Money ---Maximum Partial Delivery In ---Item Usage
UBL---Unlimited Tolerance Uvault---Under Tolerance
*What is maintained in the customer / material info record?
Information that is specific to when a certain customer orders a certain product. Customer material number and description. Texts.
*You can set specific shipping information for a customer / material such as:
Partial Delivery Indicators, Default Delivery Plant, and Delivery Priority and delivery tolerances
Output Types Pizza---Partner Functions
Tacos---Transmission Medium Tortilla---Time
Lasagna---Language
Output Type Controls Timing
Output Perimeters Medium
Layout Set
*Output determination takes place using the condition technique. *In the output master data you define the Medium, Time and Partner function
per output type. *Output types can be set up for Inquiries, Quotations, Sale Order documents,
Delivery and billing documents.
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*Transmission data include EDI, Printers, Mail and Fax.
Determining incompletion log Sales Doc Type (Sales Header)
Item Category (Item) Schedule Line Category (Schedule Line)
Partner Function (Partner Function) Delivery Type (Delivery Header) Delivery Item Category (Delivery Item Level)
*The system determines which fields will be displayed in the incompletion log.
These fields can be changed in customizing to suit a customer's unique requirements
*The incompleteness log function is available in the Sales order, Delivery and the Billing document.
Assign Incompleteness Procedures To
Daniel---Delivery Types So---Sales Document Types Dumb---Delivery Item Types
Person---Partner Functions Sitting---Schedule Line Categories
In---Item Categories Store---Sales Activities
Condition Master Please---Prices
Subscribe---Surcharge & Deals For---Freight The---Taxes
Diary---Discounts
*You can maintain values in condition records according to a scale and there is no limit to the number of scale levels.
*You can restrict a price agreement by using validity periods. *You can have a percentage, Quantity dependent or Amount dependent
discount or surcharge, depending on the condition type.
SALES
Sales Order Types Standard Order OR Contract
Cash Sales BV Rush Order SO Free Of Charge Delivery FD
Returns RE Consignment Fill Up KB Consignment Pickup KA Consignment Issue KE
Credit/Debit Request CR/DR
Sales Order Document Type Control D---Default Functions Date, Delivery Type, Billing Type, Blocks
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E---Enhancement for Contracts A---Allowed Item Categories
D---Determining Materials M---Mandatory Reference O---Output Types Available P---Partner Determinations
F---Free Date I---Incompleteness
N---Number Assignment P---Pricing
C---Checks Division, open quotes/contracts/Info Record
*In Sales Document Type you can block the delivery and billing.
Sales Order Processing Within a document you can fast change the Delivery date, delivery block,
delivery priority, billing block, reason of rejection, and plant.
In more than 1 document you can mass change the Plant, material, pricing, and currency.
In sales order you can block the delivery at header and schedule line. In sales
order you can block the billing at header and Item line.
During Sales Order Processing, it's Basic Functions C---Calculating pricing & Taxes
C---Checking Credit limits A---Availability check
T---Transferring requirements to materials planning (MRP) D---Delivery Scheduling
O---Outputs T---Text
S---Sales Information Systems
*When you click the Delivery Block in the order you can BLOCK: Order, Confirmation, Print Out, Delivery Pull List, Picking, and PGI.
Determine pricing procedure
Soda---Sales Area So---Sales Document Type
Cold---Customer Master
Pricing Types in Sales Order A---Copied from REF updated with scale
B---Perform New Pricing C---Manual elements copied others are redetermined G---Only tax redetermined
H---Only freight redetermined
Determination of Sales Item Category Auto. Examples of Item Categories Sales Document Type AFN-Standard Item in Inquiry
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Item Category Group (M.M) AGTX-Text Item in Quotation
Item Usage KMN-Standard Item in Quantity Contract High Level Item (BOM) TANN, BVNN, KEN, REN, TAN, KLN Basically from order type n Material
Sales Order Item Category Controls
P---Pricing Relevancy carried or not B---Billing Relevancy Carried out or not
O---Output M---Message if item cannot fully delivered
B---BOMS C---Completion Rule
I---Is difference allowed from header levels T---Text Determination
I---Incompleteness B---Billing Block I---Item level Partner Determination
D---Delivery Relevancy material or text item S---Schedule lines allowed
*In Item Category you can block the Delivery and Billing.
Copy Control Procedure
Data Transfer Routines---Control how fields are copied from the preceding document. Copying Requirements---Like incompletion Log if copy from
reference is not 100%. Switches---Set specific controls for each transaction. Ex: Activate or deactivate
transfer of item numbers from pre- docs.
Sources of Information (Document Data) Maria---Master Data
Enters---Existing Document Data Church---Customizing
Hourly---Hard-coded controls Information Structure is composed of:
Chicago---Characteristics Times---Time Units
Key Figures
Determine Availability Check at Schedule Line Category
Material Master
Availability Checking for Sales Order
Material Availability Date Plant
Controls Determination of Schedule Line Category Auto.
Item Category
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MRP Type
Schedule Line Category has an effect on Ant---Availability Check
Goes---Goods Movement Type for GI Down---Delivery Relevance
Town---They are assigned to Item Categories Round---Requirements Transfer to MRP
Park---Purchasing (PR auto created)
Controlling Schedule lines in Sales Documents Quotation Schedule Line--- Not Relevant for delivery, No Req. Transfer BN, No
Movement Type Requirements planning in order---Relevant for delivery, Requirements Transfer
CP, Movement Type 601
Returns Schedule Line---Relevant for delivery, No Requirements Transfer DN, Movement Type
651(Block Stock Return)
Cash Sale (BV) Pull---Payment made at the time of the order (invoice printed) Out---Order & delivery created at the same time
Gun---GI posted at a later date to avoid delays Unit---Uses billing doc type CS sends the invoice to the printer using RD03
Nine---No output determination Nine---No price determination
Four---FI posting made to cash settlement
Rush Orders (SO) When saved creates Delivery Type LF Auto.
Consignment Processing CF-Consignment Fill up- Stay in valuated stocks of delivering plant. [Order,
Delivery, Picking, PGI]
CI-Consignment Issue- When goods are issued both customers stock n stock in delivering Plant are reduced. [Order, Delivery, PGI, Billing Doc]
CP-Consignment Pick up- Return goods to you so you credit them. [Order, Inbound Delivery,
Goods Receipt]. No billing CR-Consignment Return- The goods issue puts stock back in customers' special
stock and issue a credit memo. [Order, Inbound Delivery, Goods Receipt, Billing Doc].
Determine Free Goods TANN
Sun---Sales Area Desert---Document Pricing Procedure
Cold---Customer Pricing Procedure Frost---Free Goods Procedure
Inclusive Bonus Quantity- Free goods that involve the same material. Quantity
units must be the same. Exclusive Bonus Quantity- Are extra goods delivered free of charge. Not
displayed on invoice.
3 calculation rules 1. Prorated
2. Unit Related
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3. Whole Unit Determination of Tax Rate in a document
Business transaction- domestic or export/import Tax Liability
Tax Liability of the material
What controls Delivery item scheduling? Transit Time
Pick/Pack Time Loading Time
Transportation Lead Time
Determination of Delivering Plant Customer Material Info Record. Customer Master from- ship to party
Material Master How do we handle customer complaints?
Returns request Credit/Debit memo request
Invoice correction Invoice Cancellation
Delivery
Delivery Types
EL---Inbound Delivery LB---Delivery for subcontract order
LD---Decentralized Shipping LF---Outbound Delivery
LO---Delivery without Reference LP---Delivery from Project
LR---Returns Delivery NL---Replenishment Delivery
The Delivery Type Controls W---Which Screens to Present
O---Output R---Route Re-Determination
D---Delivery Split by Warehouse Number Puerto---Picking Determination Rule?
Rico---Relevant for Shipment or Transportation Processing Puerto---Partner
Rico---Reference to Order Too---Text
Night---Number Assignment
Outbound Delivery Functions M---Material Substitution C---Credit & Risk Management
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Donald---Delivery Split by Warehouse Number
Eats---Export Control Tacos---Text
Gorditas---Group of Outbound Deliveries Cookies---Controllable Error Messages
Donuts---Dangerous Goods Check Quarter Pounder---Quantity Checks
Determination of Delivery Item Category Auto (When not copied from sales doc.)
Delivery Type Item Category Group (m.m.)
Item Usage (additional Usages)
The Delivery Item Category Controls P---Picking Relevancy A---Availability Check
C---Check for OverDelivery P---Packing Control
C---Check Minimum Delivery Quantity P---Picking Location Determination
A---Auto Batch Determination R---Relevant for Proof of Delivery
T---Text
What Determines the Delivery Schedule? Oh---Order Date
My---Material Availability Date (Sufficient Goods Available) Lord---Loading Date (picking/packing completion date)
Great---Goods Issue Date (From Delivery Plant) Directions---Delivery Date (Arrival Date at Customer)
Determination of Route
Ducks---Departure Zone from customizing for shipping point Swimming---Shipping Conditions from Sold To Party Customer Master
Thru---Transportation Group from Material Master Toronto---Transportation Zone from Ship-To Party Customer Master
Route Schedule contains A Route
A Weekday as departure date along with a depart time A list of ship-to-parties An Itinerary (optional)
What we find or see in a route?
Transit Time, Transportation Planning Time, and Forwarding Agent
Picking Location determined by (MALA rule) Shipping Point
Plant Storage Condition from MM.
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Copy Control in Delivery Specifies Which Sales Doc Types are to be copied into deliveries
Which Item Categories are copied into deliveries What conditions data is copied into deliveries Rules for combining orders into
one delivery Which Data is to be transferred
Whether the referenced doc in recorded in the document flow
Shipment Type Controls No---Number Assignment To---Texts
Ocean---Output Sea---Shipping type (Truck, Train, Etc)
Lion---Leg Determination Cause---Copying Rule
Lion---Leg Indicator Probably---Planning Profile
Seen---Split Profile Corps---Completion Type
Shipping Processing Functions
Making---Monitoring of Deadlines Chips---Creation & Processing of outbound deliveries
Making---Monitoring of goods availability Money---Monitoring of capacity situation in warehouse Stacking---Support for picking Paper---Packing of the Delivery
Putting---Printing & Distribution of Shipping Documents Pocket---Processing goods issue
Shipping Document Functions
Cargo---Combining inbound deliveries to form inbound shipments Passing---Partner Information
Atlantic---Assigning Service Agents, Modes of Transport, Shipment Types Ocean---Output
Down---Deadlines Too---Texts
Shiny---Shipping Stages South---Shipping Units Carolina---Combining outbound deliveries to form outbound shipments
Determination of Shipping Point Auto. (Normally determined in sales doc) Shipping condition field from sales doc type or sold to party C.M. (shipping
requirements) Loading Group from M.M (loading Equipment) (Sales/Plant Data screen)
Delivering Plant from CM, or MM
What do we find in a shipping point? Loading Lead Time Pick/Pack Lead time
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Post Good Issue
Updates the quantities in inventory management and delivery requirements in material planning.
Updates the value change in the balance sheet accounts for inventory accounting (cost of
Material) Generates additional documents for accounting. Generates the billing due list.
Updates the status in all relevant sales docs.
Warehouse consist of the following organizational units
Warehouse Number Storage Type Picking & Staging Area
Movement Type Controls
Change in stock quantity Change in stock type or material number
Goods Issue Goods Receipt
Transfer order includes the following info.
Material Number Quantity to be moved
Source & Destination bins
Billing Billing Types
F2---Invoice F8---Pro-Forma Invoice
G2---Credit Memo L2---Debit Memo RE---Returns
S1---Cancellation Invoice S2---Cancellation Credit Memo
LR---Invoice List LG---Credit Memo List
IV---Intercompany billing (invoice) &Delivery IG---Intercompany billing (credit Memo)
BV---Cash Sale
Billing Type Controls No---Number Assignment
Pay---Partner Functions Till---Texts
Received---Rebates Overtime---Outputs Properly---Posting Block
In---Invoice List Type Company---Cancellation Billing Type
At---Account Determination
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Seven---Special features of the FI interface Billing Document
Contains item line and header no schedule lines Header contains info of Billing date, customer number of payer, Net value of
entire doc. Item line contains info on Material and Billing quantity
System shows delivery number and sales order number at item line
Order Item Category determines if it is delivery related or order related billing.
Pricing Types in billing document determined by Billing Type
Item Category
Pricing Types in Billing Doc A-Copied from REF updated with scale B-Pricing redetermined
C-Manual elements copied others are redetermined D-All Copied with no changes
G-Only tax redetermined H-Only freight redetermined
Determination of Credit Control Area User Exit (only header data considered)
Sales Area segment from payer master record Sales Area
Company Code
Credit Check can be carried out at: Sales Order (blocked)
Outbound Delivery (blocked) Goods Issue (error Message)
Data flow from reference docs controlled by Billing Types
Copying Control Data Transfer Routines
Business Area
Blue---By Plant/Item Division Berry---By Sales Area
Boy---By Sales Organization. Distribution Channel, Item Division
Revenue Account Determination use to find the General Ledger Account Chart of Accounts, Sales Organizations, Account Assignment group of the payer,
Account assignment group for materials, Account Key (assigned to condition types)
*These things can be changed before an accounting document is created. 1. Billing Date 2.Billing Value 3.Account Determination 4.Output Determination
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*Reference field is in the accounting document header. Allocation number is in the customer line item and is used for sorting.
*The Goods receipt number and Goods Issue number cannot be used as a reference or allocation number for the accounting document type.
Billing Date
Billing Date can be changed in the billing document. You maintain the calendar if billing is to be done on specified days in the
customer master. It's proposed auto. But can be overridden. If using delivery-related billing the billing date is based on goods issue. If using
order-related billing the billing date is based from the order.
Periodic Billing is often used for rental & service contracts for agreements in order to bill the amount periodically at certain dates.
Milestone Billing is often used in plant engineering & construction in order to spread billing of the full amount over several dates within the billing plan.
Milestone can be blocked for billing. When created updates the status of the
billing plan dates. In sap milestone is stored in a network along with planned and actual project data.
M. are assigned to the billing plan dates & blocked for billing until the milestone is confirmed as completed.
In Milestone billing you can control whether a billing date is a *fixed date *required to be
updated with the actual date of the m. *Update with the actual date of the milestone, if production is completed before the planned billing date.
Determining the billing value needs a billing rule, in order to determine the
value to be billed on a particular date or not. Ex: Net Value X (%) of billing plan = Billing value
Determining billing plan type Document item category
Relevance for billing (relevant for order-related billing-billing plan) Date categories defined have a control function at billing date level. (They
determine which billing rule is used to settle the date, whether the billing date is a fixed date and
whether a billing block is set for this date.) Date rules are needed in the billing plan in order to define the start date & end date.
To differentiate between milestone and periodic billing you use billing plan
type.
Down Payments Request are usually arranged with plant engineering, construction, and capital good customers.
*Down Payment Agreements in the sales order When processing down payments the billing plan functionality is utilized.
Control is carried out via the billing rule: Billing rule 4: Down P. for percentage milestone billing. Billing rule 5: Down P.
for percentage milestone billing. Down payment agreement can be assigned to an item or for all the items in the
orders. Special Condition Type AZWR is used for down payment items in sales doc.
Condition Category E & Calculation rule B (fixed amount) are assigned to condition type AZWR. When AZWR is determined all other condition types are
set to inactive.
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As soon as the billing date (in the billing plan) for the down p. has been
reached, the system creates a sown payment invoice & sends to the customer. Billing Type
FAZ used for down payment request. This request can be created auto. Via billing due list
processing in a collective run or explicitly by specifying the order # via the transaction create billing doc.
Installment Plans only 1 billing document is created for all of the installment
payments. You have to define installment payment terms in customizing. And when you define the
payment terms you must specify the number & amount of the installment in percentage & payment term for each installment payment.
*Sales Account Determination is carried out using the condition technique depending on the billing type.
Pricing
Pricing Procedure can contain any number of subtotals between gross & net price.
You can mark a condition type in the pricing procedure as being:
Mandatory condition Manually entered condition For statistical purposes only
Pricing Procedure is determined by: Sales Area Sales Area
Customer pricing procedure field in the customer master. SD Document Sales Doc Type, Document pricing procedure field Sold to party
*The system reads the condition type of the first step. It determines the
assigned access sequence for the condition type. The system then reads the access sequence. The
sequence of condition tables represents the search strategy for finding the relevant condition record. Each condition
table represents one access which can be made for a condition record with the specified key. The
system searches for valid condition records with the key specified key. The system searches for
valid condition records with the key specified by the condition table (Accesses). If the first access does not find a valid condition record, then the system
searches for the next access using the next condition table. Once the system finds a valid condition record and copies the
value that corresponds to the scale into the sales order doc. The whole process is repeated
for each condition type until the system has finished the entire pricing procedure.
Group Condition
In customizing you can set a condition type to be a group condition. For group conditions with
varying keys, item quantities are accumulated for scale point determination purposes but the rate for each item is taken from its individual condition record.
Ex: discount if u purchase 10-20lb of ice cream 5% discount, 30-40lb 10% discount.
Control data: Entry for condition type Group condition: X
Unit of measure for accumulation, e.g. pieces GrKey Number: 1, 2, or 3 (see explanation below)
1. Complete document: All quantities with the same condition type are accumulated.
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2. For all condition types: All quantities are accumulated which belong to condition type routine 2.
3. Material pricing group: All quantities with the same condition type and material pricing group are accumulated
Condition Exclusion Indicator
In pricing Procedure there can be requirements on the conditions. This requirement can look at the condition exclusion indicator & ignore the condition
if set. Condition types to be compared are first placed in an exclusion group.
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*During pricing the conditions which result in the best price (lowest charge or highest discount)
are selected from this group. All others are deactivated. (19-8) There are several comparison methods which may be used:
A All conditions found within the first exclusion group are compared and the condition with
the best price is chosen. All others are deactivated. B All condition records found for one condition are compared. The best price is
chosen. All others are deactivated. This method can be used with condition type PR00, for
example. C The total of condition records found in the first exclusion group is compared to
the total of condition records found in the second exclusion group. The group resulting in
the best price is chosen. The conditions of the other group are deactivated. D If a condition record is determined for the condition types of the first
exclusion group, all condition records for the second exclusion group are deactivated.
E As for method B, except the worst (highest charge or lowest discount) price is chosen.
F As for method C, except the group with the worst overall price is chosen. The conditions of the other group are deactivated.
*The condition exclusion indicator can be set in either the condition type or the condition record.
Condition Supplements
*Group several conditions together in a condition supplement procedure if you want these
conditions to be accessed together during pricing.
Hierarchy Access 1
Hierarchy accesses optimize pricing for hierarchy data structures, such as the product hierarchy. Hierarchy Access 2
To define the condition table key for hierarchies like this, you might have to include partial
quantities for a pre-defined quantity of characteristics. Without hierarchy accesses, you would need to create a condition table for each
combination and assign all the accesses to these tables in an access sequence.
This requires a lot of maintenance and will reduce system performance. The sequence of the
accesses will also be fixed. This is particularly disadvantageous for hierarchy data such as product or
customer hierarchies. Hierarchy Access 3
The functions in hierarchy accesses enable you to solve these problems by using a single
access to a condition table.
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In condition record maintenance, when you create the access sequence for using this condition
table at field level, you have to define whether each field is a fixed component of the key or whether it is an optional field.
Priorities are assigned to the optional fields. During pricing, the system sorts the records found with this access according to priority and
displays the record with the highest priority. Hierarchy accesses also provide clearer and easier master data maintenance
because the different condition records for a condition type are created together in the quick
entry screen for maintaining conditions.
Data determination in Access *For pricing you can determine & use data that isn't contained in the document.
These can be performed in 2 steps: 1. Data Determination 2. Data Use
The two steps for determining and using the data differ in the way that they collect data, which
means that a distinction must be made between three data determination procedures: Data determination using the communication structure KOMPAZD
Data determination using routines (condition 202, base value calculation formula 202)
Data determination for sales deals (condition class H) Data determination in Access-Price Book
The term price book refers to a price determination strategy. Pricing procedure RVAA02 was delivered in the SAP standard system as an
example of this The aim here is to set certain prices for a group of customers.
Special agreements are also to be set for these prices, depending on the material.
This can be achieved using two-step data determination: Step 1: A sales deal number (condition type PBU) is determined, depending on
the customer group, for example.
Step 2: Using the material group as a basis, for example, special agreements are determined,
which take: Pricing date
Scale quantity Item price list Into account (condition type PBUD).
In the following condition type PBBS, the special agreements determined are used and base
prices therefore read. On the basis of these prices, the gross price is calculated in the following
condition type PBUP using the percentage value from condition type PBUD.
You can configure the pricing behavior in the pricing type. Controlling the New Pricing
Update prices on condition screens is available at header & Item level. To use the new pricing document function for sales or billing document Edit New
Pricing Document, assign a new pricing type to the pricing procedure. If you do not use
the entry it will use (B) carry out new pricing.*these functions are supported for billing & Sales Order.
Study guide prepared by Manoj Kumar [email protected]
Pricing type
A) Copy pricing elements and update scales B) Carry out new pricing
C) Copy manual pricing elements G) Redetermine taxes
H) Redetermine freight conditions X,Y) Reserved for Customer 1-9) Reserved for Customer
18
*Condition record are always created using a specific key.*Use tables for help in defining the
structure of condition record keys.*The key fields of a condition table must appear at the start of the table, in other words, non-key fields must not appear
between any two key fields.*An Access sequence is composed of one or more condition tables.
Creating Access Sequence (Search Strategy)
You can define prices, discounts, and surcharges at various levels. Each field is defined by a
combination of fields or by a field in a condition table. Access Sequence is assigned to condition type.
*Access Sequence is defined for each n every condition type except for header & Mandatory Condition Types.
*A.S. is the way the sap system reads the condition records for the condition type. *In each A.S. you have condition tables. Condition Table is combination of fields
which make the key for a condition record. (Each table represents one access which can be
made for a condition record with a specific key
Condition Types *Header condition HM00 allows you to enter the order value manually, and this
price will be distributed proportionally across the items based on previous net value.
* Item Condition PN00 allows you to enter a net price per Item. This will deactivate any other pricing for that item.
*Rounding can be down up or down depending on the setting. Condition DIFF is group condition and is distributed across all items according to value.
*Condition VPRS is used for cost of sales in the pricing procedure. *Condition MWST is used for tax. Special Condition Types
*HM00 and PN00 are also included. *Condition AMIW allows you to create a minimum value for each order. (If the
value in the order header falls short of this minimum order value in pricing, the system will take
this price and replace the net order value automatically). *Condition AMIZ Has calculation formula 13 assigned to it in the pricing
procedure. This calculates the minimum value surcharge by subtracting the net item value from
the minimum order value AMIW. *Condition PR02 (Internal Price) allows you to maintain condition records with
interval scales if the condition type is set to scale type D in customizing. Interval scales can't be
used for group conditions. *Condition KP00 (Pallet Discount) grants the customer discount for whole units
of measure only. Ex: Controlled by basic formula 22 in p.p. which takes complete whole pallet into account.
*Condition KP01 (incomplete pallet surcharge) if customer has incomplete pallet they have to pay. Ex: order 70 but 50=1 pallet. Condition record $50 per pallet.
Use formula 24 in p.p. *Condition KP02 (Mixed Pallet Discount) Adds the quantities of the individual
items, and then calculates the discount for complete pallets only. This is controlled by condition
type KP02 (group condition = X, unit of measure = PAL) and the corresponding condition record.
*Condition KP03 (Surcharge for incomplete mixed pallets) adds the quantities of the individual
items. It then calculates the surcharge on any fractional portion of the total quantity. This is
Study guide prepared by Manoj Kumar [email protected]
19
controlled by condition type KP03 (group condition = X, unit of measure = PAL
and scale formula 23, which calculates the fractional proportion of the total quantity).
*Rounding DIFF You can maintain a rounding unit in Table T001R for each company code and currency. If the final amount in the order header differs from
the rounding unit, the system will round the amount up or down as specified. Condition DIFF determines the difference amount.
Condition type DIFF is a group condition and is distributed among the different items according to value. Statistical Condition Types
When processing a pricing procedure, it is often necessary to determine and make values in the
procedure available for various purposes. These however, do not change the net value of the item. This can be done by marking a condition type as "statistical".
*Cost (VPRS) is used to retrieve standard cost of the material. This is used for information value
purposes only by the pricing procedure. In the condition category G, of VPRS, accesses the
valuation segment of the material master locating either the standard cost of the moving average
cost. Condition category S Always accesses the moving Average Cost. Condition category T Always accesses the moving average cost.
*Cash Discount (SKTO) is used to retrieve the cash discount rate. Used for info. Purposes only.
*Customer Expected Prices (EDI1 & EDI2) can be entered manually in the order or retrieved
from the incoming IDOC in an EDI environment. EDI1 is used to compare the net price for each item. EDI2 is used to compare the overall item value (net
price x quantity).
Condition Types are combined in required sequence in pricing procedure 1. Price
2. Material Discount
Customer Hierarchy Can be used during sales order & Billing for determining pricing. Customer
Hierarchy consists of nodes (A point in a network at which lines cross or branch.)
*To create Customer Hierarchy: 1.Create Master Records per node. 2. Assign nodes to each other. 3. Assign Customer Master to relevant nodes.
*Hierarchy nodes are only valid for a certain period of time. They may also be moved. If node is
moved, system automatically reassigns all related nodes & customer master records. Basically, you can assign price or rebate agreements to higher level
nodes. These agreements will be valid for all subordinate levels to this node. Each node can also, have pricing condition records which
are relevant for pricing. If one or more node in the hierarchy path of sales orders contains pricing,
info system then takes them into account automatically. Condition HI01 Ex: customer **** is from Pakistan give 8% discount.
*Condition Table-Define key fields of the condition records.
*Access Sequence-Contains Hierarchy for condition record access. *Condition Type-Represents properties of the pricing conditions. *Pricing Procedure-Defines how condition types are linked. *Procedure Determination-
Selects correct pricing procedure.
Determining Condition Records 1. Customer/Material
2. Price List Type/Currency/Material 3. Price List Type/Currency/Material Foreign Currency
4. Material Creating Condition Records with Reference
Study guide prepared by Manoj Kumar [email protected]
20
New condition Records can be created with reference to existing condition
records.*Changes can be made to the Rate, Validity Period, and additional sales data. <---This is good
for efficiently updating condition records simultaneously. Changing condition records *Can be changed using price change function which will allow you to
maintain multiple condition records simultaneously. Copying Condition Records *Multiple condition records can be creating copying existing condition records. If
you are copying a Customer-Specific Price condition record the system offers 2 possibilities: 1. Create the target conditions over a specified range of customer
numbers. 2. Create the target conditions over a specified range of material numbers. Searching for Condition Records using Condition Indexes You can
create and use condition indexes to search for condition records that were created for a variety of condition types & condition tables. Ex: Want to see all
C.R. for particular cust or prod. The activation function displays a list of all available condition indexes & indicates which are active. The system can only use the condition indexes when there active. Note: Before you can use condition
indexes you must first ACTIVATE them. However if you create your own index the system activates them when you generate them. But you must specify an
update requirement for each index. You can specify if the system updates the cond. Index when you post cond. Records for the corresponding condition type.
Release Procedure for Conditions When a condition table is created you can allow a release procedure to be used, by selecting the with release status
checkbox. This then adds 2 functions to the condition table: 1. KFRST-Release status as last key field. 2. KBSTAT-Processing status as a field of the variable
data part (Non Key Field). The release status is set indirectly by defining a processing status in customizing for pricing and assigning a release status to it.
Also, you can convert old records to new ones. Now you can choose a calculation type when creating condition records at the same time. Pricing
Condition Tables Additional Condition tables can be created for specific requirements They are used to determine the key in the condition records. You can add fields to the field catalog in order to create new condition records based
on different criteria. It is important to list the fields in a condition table in the proper order. *Long text can be added to Rebate Agreements, Promotions, and
Sales Deals. *Long text in the rebate agreement can be copied into a credit memo request for rebate payments and then into the credit memo. *Text is not
copied when you create condition records with reference. *A condition type can be classified as a group condition. Price Update Values can be accumulated in
condition records to test against those limits. Condition type must be set for "condition update" in IMG. Condition update can be set for maximum condition
value. FALSE Study guide prepared by Manoj Kumar [email protected] 21 Cumulative values cannot be displayed.
Condition update cannot be set for number of orders. *Condition supplement do not have their own access sequence but is based on other conditions. They are
found with the underlying condition records. * Multiple conditions can be grouped together in a group supplement procedure. * The system will allow you
create conditions based on customer or material hierarchy. The system process however requires a lot of maintenance and reduces system performance and is
considered a disadvantage. * Without hierarchy accesses you need to create a condition table for each combination and assign all accesses to these tables in
the access sequence. Taxes *You can assign a rule (Blank, A, or B) at the sales organization level to determine sales tax id# in the order & billing. For the
status 'BLANK', the standard priority rules are as follows: 1. If PY has a sales tax ID and a different SP - The tax number and tax classification are taken from
PY (the SH is then no longer relevant). The tax number is determined according to the 'tax destination country'. 2. If 1. does not apply: - If the SH has a sales
tax ID or the SP has NO sales tax ID, the tax number and tax classification are taken from the SH. 3. If 2. does not apply: Tax number and tax classification
are transferred from the sold-to party. With status 'A', the tax number and tax classification are generally transferred from the sold- to party. The tax number
is transferred according to the 'tax destination country'. With status 'B': Data is transferred from the payer in the same way as rule A. The following factors play a role in tax determination: Business transaction - domestic or export/import
Tax liability of the ship-to party/comes from the customer master Tax liability of the material/comes from the Material Master The system determines a tax rate
in the document (order/billing document) on the basis of these three criteria. *Taxes are determined with the normal 5 step condition technique *Condition
type for tax will be part of the normal pricing procedure Agreements (Promotions & Sales Deals) *You can define a promotion or general marketing
plan for a product line for a certain period of time. You can then link this promotion with specific sales deals, which are linked to special condition
records. These condition records can be used for promotional pricing or discounts. The sales deal number and the promotion number will be displayed in
the detail of the billing document item line and will then also update SIS accordingly. Study guide prepared by Manoj Kumar
[email protected] Release Status for Sales Deals The release status of a sales deal controls where you can find the condition records for a sales agreement. __=Released, A=Blocked, B=Released for price simulation,
C=Released for price simulation and Planning. Rebates The following must be activated for rebate processing to function: Sales Organization (If not needed
deactivate for better performance) The Payer Master Billing Document Type 22 Rebates are discounts, which are granted subsequently to rebate recipients,
based on defined sales volumes within certain periods of time. To determine the values required for a rebate settlement within the validity period, you create
rebate agreements. The system uses the accumulated amounts in the rebate agreement to create a rebate settlement. Rebate Agreement Types 0001---
>Material Create 0002--->Customer Rebate
0003--->Customer Hierarchy Rebate 0004--->Material Group Rebate
0005--->Independent of Sales volume
Rebate Agreement is created with a specific Rebate Agreement types. Rebate Agreement types contain all the rules and control that will influence the
behavior / features of a rebate agreement. Rebate condition records are linked to rebate agreements specifying the Rebate
rate & Accrual rate. You can specify in the agreement type 1) Condition types used with this rebate agreement type. 2) Validity period proposal.*Rebate
agreements can be settled partially.
*The payer must be relevant for rebate processing. Rebate processing begins by creating a rebate relevant billing document. The valid rebates are
determined by the pricing procedure using rebate basis total. Each rebate condition type has an assigned access sequence. The system then uses the
Access Sequence to look for valid rebate condition records. If found then the accrual rate is read. Requirement 24 in pricing procedure says that the rebate
condition are used only in billing doc. Requirement 25 in p.p. says that rebate conditions be used only in rebate-relevant billing doc. The
rebate accrual amount is calculated using rebate basis in billing doc. The system posts an accrual to FI-Accounting as soon as the rebate-relevant billing doc. is
released to accounting. The system then updates the rebate basis & accrual amount in the rebate agreement sales volume screen.
Rebate Settlement The system uses the accumulated amounts in the rebate agreement to create a
rebate settlement. Status A refers to an open rebate agreement. The system generates a rebate
credit memo request for the rebate payment amount specified. You can display the sales volume and drill down in the rebate agreement.
You can carry out a final settlement for the rebate agreement either: *manually
*automatically *in the background (batch programs: RV15C001 and RV15C002) Accruals are reversed as soon as the rebate agreement is settled by credit
memo.
Retroactive rebate agreements
Study guide prepared by Manoj Kumar [email protected]
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Retroactive rebate agreements allow you to take into account billing documents
created before the rebate agreement is created. The rebate basis for the billing documents
created previously is accumulated and recorded in the rebate agreement. The accrual amount is not
automatically updated for previously created billing documents. This amount must be entered manually.
Rebate-relevant billing documents created after the rebate agreement has been created, will update both the rebate basis and accrual fields automatically.
Partial Rebate Settlement Partial rebate settlements can be limited for each rebate agreement type as
follows: *up to the accumulated accrual amount
*up to the calculated payment amount for the current date *Unlimited
Accruals are cancelled automatically when a credit memo is created, provided that the rebate
agreement type is set accordingly in Customizing Settlement Material You may have a rebate that does not refer to a particular material, but rather to
a group of materials or to a customer. In this case, you must refer to a settlement material
in order to provide information at the material level. Maintain the rebate material in the material
master in the Sales and Accounting views. When creating a credit memo, the settlement material is
the source for important material master data. For example, account determination.
Free Goods You have created an exclusive free goods agreement and you would like the
ordered item to absorb the cost of the free goods. In order to transfer the correct information to
CO-PA from SD billing, you have to deactivate pricing in the item category of the free item, and Set the cumulative indicator in copying control for the billing item.
Solution Manager
The system landscape does include solution manager.
Solution manager is needed to efficiently and effectively only implement and
operate an enterprise sap solution. False
In implementation soleman covers more than one of the following areas:
functional implementation, technical implementation, and implementation of operations.
Sap soleman is a customer platform that enables representation and
documentation of the entire customer-specific solution, including sap and non-sap components.
Soleman enables process-oriented versus component-orientated configuration &
Testing.
Sap roadmap 5 phases: Project preparation, Business Blueprint, Realization, Final Preparation, and Go live & support.
Phase 2--->Finalizing the project scope, Defining and documenting all business requirements, both functional and technical.
Phase 3--->Configuring the system, testing the system to ensure that it meets the specified business requirements, and developing training materials.
*It is an integrated platform that controls both implementation and operation of the live system.
*Supports customers in ALL project phases, from creating a blueprint to configuring business processes and testing through support of the live environment.
Study guide prepared by Manoj Kumar [email protected]
24
*Accelerators are found in the Knowledge Warehouse in SAP Solution Manager
in the form of templates.
Document Management Systems in soleman have these key highlights: *Central Storage of all
project documentation. *Provides functionality for creating, editing, storing, uploading and downloading documentation. *Reporting features (by assignment-
>Documentation) allow you to track and filter all available documents.
Soleman as the technical and operations infrastructure has more than the following
components: Services for operations, Solution monitoring, and Support
Sap Soleman is more than *A Proactive Methodology *Business Process Orientated *Software
Solution landscape Oriented *Configurable
Sap marketplace can be accessed thru Solution Manager whenever needed.
*A new business process procedure can be created from a standard template. *The Knowledge Warehouse contains numerous accelerators.
MATERIAL YOU MUST STUDY FOR ESTABLISHING YOUR SAP CAREER !!
Important Tips for Interview for SAP SD
Let me share some important tips for interview for SAP SD: 1. Please be through with the projects you have mentioned in your resume.
2. Remember all the versions you have worked upon. 3. If your projects are in Indian scenario be thorough with CIN/Excise VAT and
pricing procedure. 4 For offshore client specially in Europe and NASA prepare yourself for
Warehouse/Lean warehouse 5. Third party billing / Intercompany / Make to order are important topics.
6. Cost booking that is accounting enteries after PGI and Billing should be known to you.
7. Mug up all the determinations. 8. Remember your last ticket.
9. Have general awareness about ALE/EDI/IDOC, as this provides added advantage. (not very tough)
10. Please be through with your basics, the process, the pricing and the master data. 11. People who are thorough with route, transportation, shipping always have
an added advantage. The MOST IMPORTANT THING:
Do not try to fool your interviewer, say exactly and only what is asked do not show your excitement and do not speak too much if you know the topic too
well, and say a straight NO if you have not worked on something, or don't know about something, pls pls pls don't not go for flukes otherwise you will end up in
soup. What I understand is most of the companies especially in the US are
looking for a candidates with 1) good communication skills (SAP is all about interacting with the
client, users and team) 2) good business knowledge
3) are you able to convince the client That comes in next round when you are interviewed to be deputed for any
US/Europe project, in this round take care of the following: 1. Speak slow, I mean normal, because usually Indians speak english too fast.
2. Listen to them carefully, if you are not able to understand their question request them to repeat it, rather than assuming it to be something else and
giving a wrong reply. 3. Again I should repeat prepare yourself for warehouse, I mean even general
knowledge will help.
4. Say a straight no when you don't know or have not worked on the topic. 5. Always be strong on SD MM FI integrations
What the job responsibilites would be for the Support Consultant? If the Consultant is working in Offshore Support, How the business
interaction would be there between the Consultant and Customer? How the Customer Queries were handled successfully sitting from his
location. Job responsibility of a Support consultants is to handle routine tickets, which
can be incident (routine problems), change tickets (need configuration change, therefore a change request), normally a support consultant can only advice a
change but can't do it , because there is always a change advisory board on client end to evaluate and implement the adviced change.
Business intercation between users and customer can be through mail box utilities, outlook, even telecons and some companies also allow chat.
Usually the customer provides with the number of the document and client/company code and other necessary info. about the process which is facing
problem, the consultant tracks the project by logging in to development server and search out for causes, the solution is then sent to user, maybe with snapshot if required.
For those people who asks for for tickets: 1. Tickets are normally raised by end user and carry a priority.
2. Those who are asking SAP gurus to tell them about tickets, pls note that most of the problems except for the basic questions discussed in this group are
the tickets themselves, tickets are nothing but the routine incidents the SAP consultants get, if you regularly read the mails in the group you will soon start
recognizing tickets. And the most important thing "Believe in yourself and God, as there is always
somebody there to help you". Tips by : Nitin
What is the team size? Duration of the project. Hardly the team of the sd will be 4 to 5 and entire team of the project will be
around 20-24 (all modules like fi/co, sd, mm, pp, hr, qm, pm). If its big project, it will be around 40. Team size means the employees who you are working on sap r/3 implementation.
For the project completion it will take around 8-10 months to get into golive. After that, post implementation for 3 months. After that supporting it depends
as project time line for every company is different. *-- Suresh Kumar
SAP SD Interview Questions
Following are some SD Interview questions that might be asked. 1. What is the purpose of text determination, account determination,
partner determination, output determination,storagelocation determination
2. What are the five imp fields to be maintained in account determination
3. How to create excise invoice and what is it 4. What is meant by transfer of data from legacy code to sap
5. What do you do really in pricing determination, and what are the main deifferences between
one pricing procedure determination to the others, which data control these differences
6. What type of reports generally a support consultant maintain and report
7. What are interfaces used generally an indian organisation which is in retail business
and and which is in banking business and oil business. 8. What is the purpose of shipping point determination not menu path 9. What and where types of copy controls we change
10. How to and where to maintain copy controls 11. What is purpose of maintaining common distribution channels and
common divisions Q.No.11
Common Distribution Channel and Common Divison are maintained so that if any master data like customer or material maintained with respect to one
distribution channel can be used in other DCh. It prevents the multiplication of master records.
Eg: A customer is created for say sales area 1000/20/00 then the same customer can be used in sales area 1000/30/00 if we maintain 20 as common
distribution channel. Hence no need for extending the customers...the same for materials also.
Rajendra Babu As of what I know answer to question 5 would be: 5. we determine how the prices are calculated, taking into account sales
area(sales org, distribution channel, division), document type and customer(generally sold-to-party).
The main differences between pricing procedures would be the differences as I mentioned above, from the point of view of field entries.
Coming to the output and the procedure, I suppose the condition types used will be different and hence the following whole procedure.
Uday 1. What is the purpose of text determination, account determination, partner
determination, output determination, storage location determination
Text determination: For transferring information from material or customer to order/delvery or invoice (and anything inbetween)
Account determination: For transferring financial and costing information to proper financial docs
Partner determination: For determing who is is legally resposible for A/r, who the goods are going to and whatever else you waana drive through this
functionality. Output determination: What kinda output does a sales/delivery/billing document
create and who gets it, where?. For example A partner might get an EDI notification for a sales order just confirmed, whereas a financial/leasing
company gets the invoice! 2. What are the five imp fields to be maintained in account determination
Go to IMG and find out 3. How to create excise invoice and what is it.
I've never worked in india so I dunno 4. What is meant by transfer of data from legacy code to sap Legacy Code ?
It should be legacy data to SAP. What it means is you want to transfer all the customer and materials and all other information from Older (legacy system) to
new SAP system. You can do it using many tools, most noticeably MDMs. Vivek Regarding q-3,
As per Indian tax system, Excise duty (16%) is payable by each manufacturing unit on the value of manufactured goods / on the value added. The
manufacturing plant is supposed to submit an excise duty report on fortnightly / monthly basis. Various registers (RG1, RG23A, RG23C, PLA) are maintained for
that purpose, which record all the transactions including movement of goods, cenvat credit available and cash balance available.
In SAP, we use transaction j1id for configuration and j1iin, j2i7, j1i5, j2i5, j2i6, j1ip for creating, extracting and printing excise invoice.
Jitesh 1. (a) Text Determination: Any Texts in Masterial Master/Material
Determination/Order/Delivery , etc is meant to convey messages to the subsequent documents for compliance. e.g. "Give Top Priority" message
mentioned in Order is meant for Production Dept. (b) Account Determination:is integration between Finance and SD. The A/P along with Account Keys need to be allocated accordingly with combination of
Account Determination Group for Customer and Material if required. (c) Partner Determination:To identify which type of Partner it is so that if
required for same Customer different Partner Functions may be required e.g Only One Sold To Party per Customer. More than One Ship to Party/ Bill to
Party/ Payer possible. Accordingly different Masters will have to be created. Useful for despatch of Material in casae of Ship to Party, sending Bill in case of
Bill to Party and payment followup/Dunning in case of Payer. (d) Output Determination: What type of Output (Fax/Mail, etc) is required,
where and in what Format(ABAP Customisation may be required in some cases especially Invoices).
(e) Storage Location Determination: depends on Plant, Shipping Point and Storage Conditions
(2) Account Determination: Sales View, Sales Organisation, Distribution Chanel, Chart of Accounts, Account Assignment Group for Customer and Material and
Account Keys. (3) I will check and let you know within week.
(4) Before installation of SAP, Data maintained by Company is called Legacy Data. At the time of instalation, it is required to transfer Data from Legacy to
SAP like Masters (Material/Customer, etc). It can be done in various ways like BDC, LSMW, etc.
(5) Pricing is determined by combination of Sales Organisation, Distribution Channel, Division, Customer Pricing Procedure and Document Pricing
Procedure. (6) Depends on Customer requirements.
(7) Its not clear. (8) So that Shipping Point is determined automatically once the settings for the
same are done. (9) Copy Control: is basically meant so that Data is copied from preceding
Document to subsequent one. What subsequent Document is required is to some extent determined by Customer Requirements as well as Document Types. e.g. In general case of Standard Order, it will be Copy Control (Order to
Delivery) from OR to LF . (10) Check for yourself in IMG (Sales Document types and Delivery Document
Types) Shailesh
What is the difference between the Avaialbility check 01 (Daily requirement) and 02 (Individual Requirement) in material master?
01 and 02 are the checking group. Availability check is carried out with the help of these checking group and checking rule. Checking group 01 and 02 are
maintained on the material master. 01 - Individual requirement -For this system generates transfers the
requirement for each order to the MRP .So that MM can either produce or procure.
02- Collective requirement.-In this all the requirements in aday or in a wek are processed at a time. System stores all req and passes on to the MRP in MRP run.In this system performance is high however you can not do the backorder
processing whereas in other you can do. *-- Vishwajit
Some SAP SD Interview Questions 1
1. What exactly is automatic posting can you explain? 1. Automatic posting could be, posting of accounting documents to FICO once
invoice is created which can also be controlled manually. Automatiaclly detremine the freight while pricing in ship doc. and post to the relevant account
to fico. usually automatic posting is posting of documents to FICO based on variuos account keys and account groups. 2. How many clients we will create in land scape (like in development
server, quality server, production server ) if we are creating more than one in each server what is exact use of
that client. 2. Client landscape : Basic layout : dev -testing- production also
- Sandbox env. for trial and error - Development env. for actaully creating transports(CTS)
- Global env. If you have global implementations at different client locations (eg;canada, US, UK) (for testing purposes with actual master dataas well)
- Testing env.(for regression testing purposes before moving to prodcution, integration etc..)
- Prod. env. the actual production system The clients could be variable and could be created to a specific env. usually a
dev. where abap, functional would mess around. say : client 100-functinal consultants
client 300- abapers client 400- other users(like super etc)
3. How we will configure export sales in sd (respect to plants assign and sales process)? 4. How we can do invoice split depending on item category in which
scenario we will use? 4. You first need to go for copying controls either from sales to billing (invoice)
or delivery to billing or billing to billing use transactions (vtaa,vtaf,vtla,vtfa,vtfl,vtff) all possibilities for copy controls.
this basicly is flow of doc to doc. (may it be sales to billing, del to bil, or bil to bil etc..)
-> this is where you see the Item category and you control whether split is possible or not with the indicator"B". eg: representing split in invoice based on
item category. The field here "data VBRK/VBRP" (headre/item)whcih actually is used for splits or combining different deliveries. create a splitting rule using
VOFM (you need access key to get here). Here you define comparisions for the fields at header table and item tables and the comparision fields say
SPART"division". "purchase order "BSTKD Instance: 5 sales orders combined into 2 deliveries and the split at the invoice would be 5 individual billing with respect to fields PO and DIv. of each sales order would let you create 5 billings.
You need to define the exact "field" in the comparisions both at header and item level that could lead to invoice split. the key here is the field that is different
from header to item will cause split at the item level. 5. Can any one explain how we will configure milestone billing , periodic
billing and which scenario we will use? 5. Menu path:
IMG->sales &distr->Billing->billing plans->define billing plan types. You set the start date and end dates if applicable to the type of billing you are
using. What time to be billed (end of month, start of month etc..) Milestone is a billing plan type where a customer is billed for the amount
distributed between the dates until total value is reached eg: if the total billing amountis 1000 USD for a year. You will bill the customer in different amounts
say 200, 500, 300 at different intervals as per customer agreement. On the other hand Periodic billling is billing the customer for the total
amount(here 1000 USD) at regular intervals peridically until the customer agreement is reached. eg: 1000/12 for a 1 year agreement and say billed at the
1st day of every month. 6. What are some pricing routines and sd functional specs?
6. Form routines for prcing and variuos other functions can be maintained form routines are something todo with ABAP code.
Go to (VOFM) where all requrements whcih are represented by form routines can be maintained. Requrements are available to be assigned where access
sequenses are used (for determination procedures, here pricing). Once the tcode VOFM is accessed you will see requrements and go select
"pricing" again you need access key to create your own or copy a routine. Say you want header price not to have effect the item pricing, you need to go to
the program to change abap code to meet the requirement. this specific requirement you created will be assigned in the pricing proc. determination
"requirements field" usaully with a number beyond 600. Note: make sure you activate your routine for its effect to take place.
SAP SD Tips by : Sunil David
Some SAP SD Interview Questions 2
Some of the interviewed questions and answers are as follows:
What is the movement type you used in consignment process? ### 632, 633, 634, 631
Can team size be 40 in a project? Is there any generalized team size no. for any project? If we tell my team size is 40 in that what no. we can
say sd people are? ## Team size cant be forty, Theres no genralized size of team. Never
40 sd consultants work together on same project.
What is ALE? ## Application Linking and Enabling - Generally ABAPers work on it.
What is meant by condition technique: can we say it is the combination
of condition types, access sequence and condition tables? ## yes
Where do we can find pricing procedure indicator in sd ?
## Pricing procedure is where we maintain all Conditions (like PR00, K004, mwst, kp00, etc)
Where do we assign calender in the master records? ## In IMG screen Global Settings.
What is the importance of customer account groups?
## We maintain the customer account to maintain payment terms and incoterms. Lets say, if SP is only booking order but the goods should deliver in
foreign country and for which SP is not going to bare the excise and other taxes then the SH party or payer will tke teh responsibity then the tax is calculated
based on account groups.
What are incoterms? Where do we fix them? Where do you find in regular process?
## Incoterms or international comm. terms and u find in CMR - Sales area Data - billing Tab.
How can you make some of the fields as key field in generic tables?
## Some fields in all tables have a indicator on it.To see, then go to SE11, display VBAK, u will find MANDT on top, if you see after description 2 tick marks, those are key fields. Gernerally, these key fields are used in writing any
Program or Interface. The key fields will extract data of non key fields .
What is the standard group condition routine in condition type, what is its importance?
## Its better u read Group Conditions in PR00.
How do you control entry possibility of condition values at order through condition type settings?
## You can maintain the maximum and minimum value for all conditions.
What are the customizing settings in pricing procedure for tax condition type?
## Check out the standard pricing procedure RVAA01 - MWST. A bunch of data need to be imported. A huge no.of creations are
required, how it is possible in SAP? ## thru LSMW, BAPI.
What is the difference between PGI cancellation and returns order?
## PGI cancellation is done before the transportation of goods. But return order means its already transported reached customer during transit if materil
is spoiled or broke or the goods r not delivered as per customer requested date.then customer send the goods baack to company.
What is the integrated areas in SD AND FI, SD AND MM, SD AND PP in
both implementation and support projects? ## SD & FI - Possible in Account Determination, for posting the conditions to
revelant G/l account like all prices goes to one particular g/l account. Also in Credit Management, Taxes.
SD & MM - Possible in Batches, Material Requirement Planning.
SD & PP - Possible in Material Requirement planning.
Link Between SAP SD, MM & FI
Tips by: Kumar
Availability Check on Quotation SAP standard does not do an availability check on the quotation, as it is not a definite order, usually just a pricing quote. When it is converted to an order, the first availability check is carried out, as
well as credit checks. The system will check stock in the plant, plus what is contained in the availability checking rule (scope of check) eg: can add POs for
replenishment, purchase reqs, different planned orders, and subtract sales orders, deliveries etc already created against that material in that plant (and
possibly Storage location). If there is enough stock in the plant/SLoc, the system will give you a confirmed
date, or give you a date based on the production time or purchasing time from the material master. The date the system proposes is based on the customer's
requested delivery date. SAP first backward schedules looking at the required delivery date, less
transportation time, less transportation lead time, less pick and pack time, less production/purchase time if applicable. If the date it calculates is equal or later
than today‟s date, then it will confirm the customer‟s required date. If it falls in the past, SAP will then forward schedule for today‟s date, plus the times listed
above to get the date when the customer can actually have it. ATP is the single most complex part of the SD module, depending upon how PP and MRP is set up.
MRP works semi-separately, depending on how it is set up. Basically, MRP looks at the demand on the plant, and if it the stock does not meet expected sales
orders and deliveries, it will create a purchase requisition (outside purchase) or requirement or planned
Interview Question and Answers on SAP SD
1.What are the responsibilities of a functional consultant in an implementation project? a) Responsibilities in implemention project
- Preparing the functional specification documents. - Review and approval of functional specifications.
- Designing a road map and setting approval from client. - Changing existing configuration whenever needed.
- Setting up configuration for new enhancements. - Handling basic issues of MM module.
b)Responsibilities in support project - Handling customization, configuration, and enhancement related issues
- Handling tickets on Day to Day basis - Monitoring S&D reports on daily basis required by clients
- Preparing functional specification documents - Preparing end user training Documents
2.What are the responsibilities of a technical consultant in an implementation project?
Preparation of techinical specifications, getting apporvals from functional consultant and PM,assitance to functioal consultant.
3.What are the main and sub modules in SAP? MM,FICO,PP,ABAP
4.What is ERP and SAP?and why inplementing SAP in an organization? Explain the special features of SAP over other
ERPs? SAP is an ERP package. SAP can be fit it any language. It is used to get exact
data with a fraction of section which will be use fully for management to take correct decision in a short span of time. Using of sap means there is no need to maintain the
middle management in the organization because the CEO of the company is able to direct the executives direcltly with the system. SAP is able to integrate
all functional organizational units togethere and retrieve exact data needed by management. Therefore, investing on middle management will become less.
and the user will be able to acess instance reports using the logistic informaion systems in SAP.
5.Explain the business flow of an implementation project? - Project prepration
- Business blue prints - Fit gap analysis
- Realization - Golive
- Support 6.Explain breifly about your role in current/previous project? (If you have one)
Team member 7.Explain your functional experience prior to SAP?
For this you will give explanation depends of your previous experience. 8.Can you explain the modern technologies in SAP? Do you use this in
your current project? I think the ans is APO, BW, CRM, if its wrong pls guide me any body.
9.Explain the terms "AS IS" and "FIT GAP ANALYSIS"? Business blue print stage is called as is process. Fit gap means, before
implementing the SAP all the business data is in the form of documents, we cannot keep this data as is in the SAP. There should be a gap. So by filling this
gap, we make configuration with the help of these documents. This is called as fit gap analysis. In this stage, we should analysis the gap between as is and is
as process 10.What are the responsibilities of "CORE TEAM" and "FUNCTIONAL
TEAM" in an implementation? Core Team are the power users who are selected for the SAP implementation.
The Functional Team gather the initial implementation requirement from these core team users who will be the bridge between the SAP Functional Team and
their department users with the expert work knowledge. Tips by : Uday Hyderabad
Important Tables for SAP SD Sales and Distribution:
Table Description
Customers KNA1 General Data
KNB1 Customer Master – Co. Code Data (payment method,
reconciliation acct)
KNB4 Customer Payment History
KNB5 Customer Master – Dunning info
KNBK Customer Master Bank Data
KNKA Customer Master Credit Mgmt.
KNKK Customer Master Credit Control Area Data (credit
limits)
KNVV Sales Area Data (terms, order probability)
KNVI Customer Master Tax Indicator
KNVP Partner Function key
KNVD Output type
KNVS Customer Master Ship Data
KLPA Customer/Vendor Link
Sales Documents VBAKUK VBAK + VBUK
VBUK Header Status and Administrative Data
VBAK Sales Document - Header Data
VBKD Sales Document - Business Data
VBUP Item Status
VBAP Sales Document - Item Data
VBPA Partners
VBFA Document Flow
VBEP Sales Document Schedule Line
VBBE Sales Requirements: Individual Records
SD Delivery DocumeLIPS Delivery Document item data, includes referencing PO
LIKP Delivery Document Header data
Billing Document VBRK Billing Document Header
VBRP Billing Document Item
SD Shipping Unit VEKP Shipping Unit Item (Content)
VEPO Shipping Unit Header
SD Tcodes
An Introduction to SAP
SAP was founded in 1972 in Walldorf, Germany. It stands for Systems, Applications and Products in Data Processing. Over the years, it has grown and
evolved to become the world premier provider of client/server business solutions for which it is so well known today. The SAP R/3 enterprise application
suite for open client/server systems has established a new standards for providing business information management solutions.
SAP product are consider excellent but not perfect. The main problems with software product is that it can never be perfect.
The main advantage of using SAP as your company ERP system is that SAP have a very high level of integration among its individual applications which
guarantee consistency of data throughout the system and the company itself. In a standard SAP project system, it is divided into three
environments,Development, Quality Assurance and Production. The development system is where most of the implementation work takes
place. The quality assurance system is where all the final testing is conducted before moving the transports to the production environment. The production
system is where all the daily business activities occur. It is also the client that all the end users use to perform their daily job functions. To all company, the production system should only contains transport that have
passed all the tests. SAP is a table drive customization software. It allows businesses to make rapid
changes in their business requirements with a common set of programs. User-exits are provided for business to add in additional source code. Tools such as
screen variants are provided to let you set fields attributes whether to hide, display and make them mandatory fields.
This is what makes ERP system and SAP in particular so flexible. The table driven customization are driving the program functionality instead of those
old fashioned hard-coded programs. Therefore, new and changed business requirements can be quickly implemented and tested in the system.
Many other business application software have seen this table driven customization advantage and are now changing their application software based
on this table customizing concept. In order to minimized your upgrading costs, the standard programs and tables should not be changed as far as possible. The main purpose of
using a standard business application software like SAP is to reduced the amount of time and money spend on developing and testing all the programs.
Therefore, most companies will try to utilized the available tools provided by SAP.
What is Client? What is the difference between Customization and Configuration?
The difference between cutomizing and configuration is:
- CONFIGURATION: we will configure the system to meet the needs of your business by using the existing data.
- CUSTOMIZING: we will customise or adapt the system to your business requirements, which is the process of mapping SAP to your business process.
- CLIENT: A client is a unique one in organizational structure, can have one or
more company codes. Each company code is its own legal entity in finance. Configuration vs. Customization
When considering enterprise software of any type, it is important to understand the difference between configuration and customization.The crux of the
difference is complexity. Configuration uses the inherent flexibility of the enterprise software to add fields, change field names,modify drop-down lists, or
add buttons. Configurations are made using powerful built-in tool sets. Customization involves code changes to create functionality that is not available
through configuration. Customization can be costly and can complicate future upgrades to the software because the code changes may not easily migrate to
the new version.Wherever possible, governments should avoid customization by using configuration to meet their goals.Governments also should understand
their vendor's particular terminology with regard to this issue since words like "modifications" or "extensions" often mean different things to different
vendors. *-- Sivaprasad, Sonali Sardesai What is SAP R3?
We know that SAP R/3 is software, it particular it is client-server software. This means that the groups/layers that make up a R/3 System are designed to run simultaneously across several
separate computer systems. When you install Microsoft Excel on your PC, each component of Excel (printing
components, graphing components, word processing components, and etc.) is stored, managed, and processed via the hardware of your PC. When a
company installs SAP‟s software each component (or "layer” in R/3‟s case) is stored, managed, and processed via the hardware of separate and specialized
computer systems. Each of the various layers is capable of calling upon the specialty of any of the other installed layers in order to complete a given task.
Those components/layers that are requesting services are called “clients”, those components/layers that are providing services are called “servers”. Thus the
term
SD material Determination based on availability check
For SD material Determination you can create a Substitution reason and
on the Strategy field, the following info. is available: Product selection in the background is performed on the basis of the
availability check. We want to have the material determination only in case on material shortage. We expect the Substitution reason to give us this
functionallity. It does not hovever take the availabilty into account before substitution.
We thought the worse case is to create a ABAP which is linked to the "requirement" field in the Procedure (OV13).
Has anyone had the same requirement? Is this a bug or just incorrectly documented?
I also encountered this abnormally recently using material determination. In order to combat the problem, the first product substitution should be for the
original material. I've illustrated this below: Original Product: ABC
Substitutes: DEF, XYZ In order to perform product substitution ONLY in the case of ATP failure for
product ABC, structure the Material Determination record as follows: Material Entered: ABC Substitutes: ABC
DEF XYZ
There seems to be a devaition at availability check and or on a conceptual note still.
Availability check can be configured both at requiremnt class and at the schedule line categories level.
Whilst the availabilty check at the requirement class level via global and mandatory configuration the schedule line catgry availability check deals with
the order. It is mandatory that the reqmnt class is flagged off for avlblty check and the schdelu line cat need not be.
The following are the mandatory for Availability check to happen-- 1. Must be swithced on at the requirment class level and at the schedule line
level. 2. Reqmnt type must exist by which a requiremnt class can be found
3. There must exist a plant and is defined 4.Checking group must be defined in Material Master records(it controls whthr
the system is to create individual or collective reqmnt) A combination of checking gropup and checking rule will determine the scope of
availbaility check. With Compliment by: Srini
Fast Links:
Creating Multiple Materials in Material Determination
Material Determination is used to swap one material for another.It is possible to get a list of materials for substituiton,but remember you can substitue only one
material from the list. This can be done through substituiton reason T Code [OVRQ]
See the substitution reason number for Manual Material Selection - check the Entry box - check the Warning box
- select A for Stategy - save.
Go To VB11 to create Material Determination (taking into consideration that all the previous steps for material determiantion i.e. maintaining condition
types,maintaining procedures for material determination and assigning procedures to sales doc. types have been done)
Create one material determination,dont forget to give the Subst reason on top and also on the line.
Click the Variants Icon on top left-Sreen opens Specify different materials you want to swap with the material you have enterd
Note that the subst reason is already copied on the screen Remember materials should be of the same sales area,atleast Divisions should
be same.
Backward and Forward Scheduling
Backward scheduling is the calculation of deadline dates: the arrival time at the
customer site is calculated as the earliest possible goods receipt time at the customers unloading point on the requested delivery date. All four of the delivery and transportation scheduling lead times are subtracted from the
customer's requested delivery date to determine if this date can be met. The transit time, loading time, and pick/pack time are subtracted from the
customer‟s requested delivery date to calculate the required material availability date.
The system calculates backward scheduling as follows: Requested delivery date minus transit time = Goods issue date
Goods issue date minus loading time = Loading date Loading date minus transportation lead time = Transportation scheduling date
Loading date minus pick/pack time = Material availability date By default, the system will calculate delivery dates the closest day, taking into
consideration the working days of the shipping point and a rounding profile. In this case the system assumes a 24 hour work day and lead times can be
entered in days up to 2 decimal points. This is referred to as daily scheduling. Precise scheduling calculated down to the day, hour and minute is supported.
This allows the scheduling of a delivery within a single day. It is activated by maintaining the working hours for a particular shipping point. Backward scheduling is always carried out first. If the material availability date
or transportation scheduling date is calculated to be in the past, the system must then use forward scheduling.
Forward scheduling is also done if no product is available on the material availability date calculated by backward scheduling. The system does an
availability check to determine the first possible date when product will be available. This new material availability date forms the starting point for
scheduling the remaining activities. The loading time, pick/pack time, transit time, and transportation lead time are added to the new material availability
date to calculate the confirmed delivery date. *-- Manoj Mahajan
Settlement Downpayment with Installment payment Term
Scenario :- Problem with Down payment settlement using installment payment term.
1. When we create Sales order, (sales item value = 100) use payment term : 0009 (Installment Payment term, 30%, 40%, 30%). In the Billing Plan, I
specify 2 records, 1st record is Downpayment request 30% of Order value, billing type is FAZ . the 2nd
record is Final invoice 100%, billing type is F2.
2. Create Billing type Down payment request , it will document as Noted item in the accounting document.
3. Receive Downpayment from customer via FI screen , at this stage the asccounting document is created as following
Dr. Cash/Bank 30 Cr. Advance from customer 30
4. When I create Billing document for the sales item, the down payment value will be proposed for settlement at Billing
Creation, I then accept the default value of down payment clearing. The accounting document is as below Dr. AR 30 (*split AR by installment payment term)
AR 40 AR 30
Cr. Sales 100 Dr. Advance from customer 30
Cr. AR 9 (DP. 30% * 30) Cr AR 12 (DP. 30% * 40)
Cr AR 9 (DP. 30% * 30) It seems SAP settlement Down payment by Installment Payment term. I was
wondering that is there are alternative or an option to setup the Down payment settlement independent of Installment term. I meant, I don't want to have the
last 3 Credit item as above, I want only 1 line item of credit, the accounting should be
Dr. AR 30 (*split AR by installment payment term) AR 40 AR 30
Cr. Sales 100 Dr. Advance from customer 30
Cr. AR 30 (Not separate by Installment payment term) Solutions : Suggesstions on how I could proceed?
Your problem with Down payment settlement is common. Many users object to the down payment or security lodgement mechanism. In our case we often park
and apply the advance manually to final invoice. However, following the above case we sometimes use this with our PS orders:
1. Create Sales order, (sales item value = 100) with billing plan with three steps 30% down payment,30% std billiing on
order completion and 70% on delivery. A little different to your original Billing Plan, but 1st record is Downpayment
request 30% of Order value, billing type is FAZ . the 2nd & 3rd records are std F2 invoices 30% ,70%.
2. Create Billing type Down payment request , it will document as Noted item in the accounting document.
3. Receive Downpayment from customer via FI screen , at this stage the accounting document is created as following :-
Dr. Cash/Bank 30 Cr. Security deposit payment 30 ( In many countries this may be subject
to TAX laws) 4. Create the First Billing documents , the down payment value will be proposed
for settlement at Billing Creation, then accept the default value of down payment clearing as these equal each
other. The accounting document is as below Dr. AR 30
Cr. Sales 30 Dr. Advance from customer 30
Cr. AR 30 5. Create the Second Billing document ( down payment value has expired and will not be proposed) The accounting
document is as below is then standard for the last installement. Dr. AR 60
Cr. Sales 60 This alternative provides a cleaner option with the Downpayment.
Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff http://www.sap-img.com
Sales and Distribution - Upload Condition Pricing
RV14BTCI - Batch Input for Uploading Condition Pricing After executing the program, you have to use SM35 to process the update
program. Envirionment : 4.6x
Require flat file :- ROW 1 BGR00 ROW 2 BKOND1
ROW 3 BKOND2 - no scale ROW 4 BKOND2 - no scale
ROW 5 BKOND3 - with scale ROW 6 BKOND2 - no scale
Sample flat file for uploading table A305 - Customer/Material with release status :-
0BIPRICE 123SAPABAP X 1VK15 A305V PR00
2ALL 990000123456SAP8204142100
2002043020020401 50USD 100PC 2ALL
990000123456SAP8217168100 2002043020020401 50USD 100PC
3 100PC 2 3 200PC 1
2ALL 990000123456SAP8220133910 There a total of 4 flat file format :-
BGR00 - Session Header Record
-----------------------------------------------------------------------------
-------------
| Field name | Description | Report header | Cat. |
Length | Dec. |
-----------------------------------------------------------------------------
-------------
| STYPE | Record type | 0 | CHAR |
000001 | 000000 |
| GROUP | Group name | BI Session Name | CHAR |
000012 | 000000 |
| MANDT | Client | Your client no | CLNT |
000003 | 000000 |
| USNAM | User ID | Queue user ID | CHAR |
000012 | 000000 |
| START | Lock until: | Queue start date | DATS |
000010 | 000000 |
| XKEEP | Keep indicator | X - don't delete SESS| CHAR |
000001 | 000000 |
| NODATA | No batch input | / | CHAR |
000001 | 000000 |
-----------------------------------------------------------------------------
-------------
BKOND1 - Header Record
-----------------------------------------------------------------------------
-------------
| Field name | Description | Report header | Cat. |
Length | Dec. |
-----------------------------------------------------------------------------
-------------
| STYPE | Record type | 1 | CHAR |
000001 | 000000 |
| TCODE | Transaction code | TCode = VK15 | CHAR |
000020 | 000000 |
| KVEWE | Usage | U | CHAR |
000001 | 000000 |
| KOTABNR | Table | Table e.g. 305 | CHAR |
000003 | 000000 |
| KAPPL | Application | App e.g V | CHAR |
000002 | 000000 |
| KSCHL | Condition type | CTyp e.g PR00 | CHAR |
000004 | 000000 |
-----------------------------------------------------------------------------
-------------
BKOND2 - Main Data Record
-----------------------------------------------------------------------------
-------------
| Field name | Description | Report header | Cat. |
Length | Dec. |
-----------------------------------------------------------------------------
-------------
| STYPE | Record type | 2 | CHAR |
000001 | 000000 |
| VAKEY | VarKey | VarKey | CHAR |
000100 | 000000 |
| DATBI | Valid to | Valid to | DATS |
000010 | 000000 |
| DATAB | Valid on | Valid on | DATS |
000010 | 000000 |
| KBETR | Amount | Amount | CHAR |
000015 | 000000 |
| KONWA | R/2 table | R2tab | CHAR |
000005 | 000000 |
| KPEIN | R/2 table | R2tab | CHAR |
000005 | 000000 |
| KMEIN | | | CHAR |
000003 | 000000 |
| MWSK1 | Tax code | Tx | CHAR |
000002 | 000000 |
| KONMS | Scale UoM | UoM | UNIT |
000003 | 000000 |
| MXWRT | Amount | Amount | CHAR |
000015 | 000000 |
| GKWRT | Amount | Amount | CHAR |
000015 | 000000 |
| STFKZ | Scale type | S | CHAR |
000001 | 000000 |
| KZNEP | Exclusion | CndEx | CHAR |
000001 | 000000 |
| LOEVM_KO | Deletion indic. | D | CHAR |
000001 | 000000 |
| SKONWA | R/2 table | R2tab | CHAR |
000005 | 000000 |
-----------------------------------------------------------------------------
-------------
BKOND3 - Scale Data Record
-----------------------------------------------------------------------------
-------------
| Field name | Description | Report header | Cat. |
Length | Dec. |
-----------------------------------------------------------------------------
-------------
| STYPE | Record type | 3 | CHAR |
000001 | 000000 |
| KSTBM | Quantity | Quantity | CHAR |
000018 | 000000 |
| KONMS | Scale UoM | UoM | UNIT |
000003 | 000000 |
| KBETR | Amount | Amount | CHAR |
000015 | 000000 |
-----------------------------------------------------------------------------
-------------
Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff http://www.sap-img.com
Sales Order Changed History Display *
* Sales Order Changed History Display
*
* You can execute the report by :
* 1. Change Date
* 2. User Name
* 3. Sales Order Number
*
* Submitted by : SAP Basis, ABAP Programming and Other IMG Stuff
* http://www.sap-img.com
*
REPORT ZSDCHANGE LINE-SIZE 132 NO STANDARD PAGE HEADING
LINE-COUNT 065(001)
MESSAGE-ID VR.
TABLES: DD04T,
CDHDR,
CDPOS,
DD03L,
DD41V,
T685T,
VBPA,
TPART,
KONVC,
VBUK.
DATA: BEGIN OF ICDHDR OCCURS 50.
INCLUDE STRUCTURE CDHDR.
DATA: END OF ICDHDR.
SELECT-OPTIONS: XUDATE FOR ICDHDR-UDATE,
XNAME FOR ICDHDR-USERNAME,
XVBELN FOR VBUK-VBELN.
SELECTION-SCREEN SKIP.
SELECTION-SCREEN BEGIN OF BLOCK BLK1 WITH FRAME TITLE TEXT-001.
PARAMETERS: SUDATE RADIOBUTTON GROUP R1,
SNAME RADIOBUTTON GROUP R1,
SOBID RADIOBUTTON GROUP R1.
SELECTION-SCREEN END OF BLOCK BLK1.
DATA: WFLAG,
WCHANGENR LIKE CDHDR-CHANGENR,
WUDATE LIKE CDHDR-UDATE,
WNAME LIKE CDHDR-USERNAME,
WVBELN LIKE VBUK-VBELN,
WDEC1 TYPE P DECIMALS 3,
WDEC2 TYPE P DECIMALS 3,
WDEC3 TYPE P DECIMALS 3,
WDEC4 TYPE P DECIMALS 3.
DATA: UTEXT(16) VALUE 'has been changed',
ITEXT(16) VALUE 'has been created',
DTEXT(16) VALUE 'has been deleted'.
DATA: BEGIN OF ICDSHW OCCURS 50.
INCLUDE STRUCTURE CDSHW.
DATA: END OF ICDSHW.
DATA: BEGIN OF ITAB OCCURS 10.
INCLUDE STRUCTURE CDSHW.
DATA: UDATE LIKE CDHDR-UDATE,
USERNAME LIKE CDHDR-USERNAME,
CHANGENR LIKE CDHDR-CHANGENR,
VBELN(10),
POSNR(6),
ETENR(4),
INDTEXT(200),
END OF ITAB.
SELECT * FROM VBUK WHERE VBELN IN XVBELN.
CLEAR CDHDR.
CLEAR CDPOS.
CDHDR-OBJECTCLAS = 'VERKBELEG'.
CDHDR-OBJECTID = VBUK-VBELN.
PERFORM READHEADER.
PERFORM READPOS.
LOOP AT ITAB.
CASE ITAB-TABNAME.
WHEN 'VBPA'.
IF ITAB-FNAME = 'KUNNR' OR
ITAB-FNAME = 'LIFNR' OR
ITAB-FNAME = 'PARNR' OR
ITAB-FNAME = 'PERNR' OR
ITAB-FNAME IS INITIAL.
MOVE ITAB-TABKEY TO VBPA.
SELECT SINGLE * FROM TPART WHERE SPRAS = SY-LANGU
AND PARVW = VBPA-PARVW.
IF SY-SUBRC = 0.
REPLACE '&' WITH TPART-VTEXT INTO ITAB-INDTEXT.
ENDIF.
ENDIF.
WHEN 'VBAP'.
IF ITAB-FNAME IS INITIAL.
REPLACE '&' WITH 'Item' INTO ITAB-INDTEXT.
ENDIF.
WHEN 'KONVC'.
MOVE ITAB-TABKEY TO KONVC.
SELECT SINGLE * FROM T685T WHERE SPRAS = SY-LANGU
AND KVEWE = 'A'
AND KAPPL = 'V'
AND KSCHL = KONVC-KSCHL.
IF SY-SUBRC = 0.
REPLACE '&' WITH T685T-VTEXT INTO ITAB-INDTEXT.
ENDIF.
ENDCASE.
IF ITAB-INDTEXT(1) EQ '&'.
REPLACE '&' WITH ITAB-FTEXT(40) INTO ITAB-INDTEXT.
ENDIF.
IF ITAB-CHNGIND = 'I'.
REPLACE '%' WITH ITEXT INTO ITAB-INDTEXT.
ELSEIF ITAB-CHNGIND = 'U'.
REPLACE '%' WITH UTEXT INTO ITAB-INDTEXT.
ELSE.
REPLACE '%' WITH DTEXT INTO ITAB-INDTEXT.
ENDIF.
CONDENSE ITAB-INDTEXT.
MODIFY ITAB.
ENDLOOP.
ENDSELECT.
IF SUDATE = 'X'.
SORT ITAB BY UDATE VBELN POSNR ETENR.
ELSEIF SOBID = 'X'.
SORT ITAB BY VBELN POSNR ETENR UDATE.
ELSE.
SORT ITAB BY USERNAME VBELN POSNR ETENR UDATE.
ENDIF.
LOOP AT ITAB.
CLEAR WFLAG.
IF SUDATE = 'X'.
IF WUDATE NE ITAB-UDATE.
SKIP.
WRITE:/001 ITAB-UDATE,
023 ITAB-USERNAME,
037(10) ITAB-VBELN.
WFLAG = 'X'.
WUDATE = ITAB-UDATE.
WCHANGENR = ITAB-CHANGENR.
ENDIF.
ELSEIF SOBID NE 'X'.
IF WVBELN NE ITAB-VBELN.
SKIP.
WRITE:/001 ITAB-VBELN.
WVBELN = ITAB-VBELN.
ENDIF.
ELSE.
IF WNAME NE ITAB-USERNAME.
SKIP.
WRITE:/001 ITAB-USERNAME.
WNAME = ITAB-USERNAME.
ENDIF.
ENDIF.
IF WCHANGENR NE ITAB-CHANGENR.
WRITE:/023 ITAB-USERNAME,
037(10) ITAB-VBELN.
WFLAG = 'X'.
WCHANGENR = ITAB-CHANGENR.
ENDIF.
IF WFLAG = 'X'.
WRITE: 013 ITAB-CHNGIND,
049 ITAB-POSNR,
057 ITAB-ETENR,
065 ITAB-INDTEXT(60).
ELSE.
WRITE: /013 ITAB-CHNGIND,
049 ITAB-POSNR,
057 ITAB-ETENR,
065 ITAB-INDTEXT(60).
ENDIF.
WRITE:/065 ITAB-F_OLD.
WRITE:/065 ITAB-F_NEW.
ENDLOOP.
FORM READHEADER.
CALL FUNCTION 'CHANGEDOCUMENT_READ_HEADERS'
EXPORTING
DATE_OF_CHANGE = CDHDR-UDATE
OBJECTCLASS = CDHDR-OBJECTCLAS
OBJECTID = CDHDR-OBJECTID
TIME_OF_CHANGE = CDHDR-UTIME
USERNAME = CDHDR-USERNAME
TABLES
I_CDHDR = ICDHDR
EXCEPTIONS
NO_POSITION_FOUND = 1
OTHERS = 2.
CASE SY-SUBRC.
WHEN '0000'.
WHEN '0001'.
MESSAGE S311.
LEAVE.
WHEN '0002'.
MESSAGE S311.
LEAVE.
ENDCASE.
ENDFORM.
FORM READPOS.
LOOP AT ICDHDR.
CHECK ICDHDR-UDATE
IN XUDATE.
CHECK ICDHDR-USERNAME
IN XNAME.
CALL FUNCTION 'CHANGEDOCUMENT_READ_POSITIONS'
EXPORTING
CHANGENUMBER = ICDHDR-CHANGENR
TABLEKEY = CDPOS-TABKEY
TABLENAME = CDPOS-TABNAME
IMPORTING
HEADER = CDHDR
TABLES
EDITPOS = ICDSHW
EXCEPTIONS
NO_POSITION_FOUND = 1
OTHERS = 2.
CASE SY-SUBRC.
WHEN '0000'.
LOOP AT ICDSHW.
CHECK ICDSHW-CHNGIND NE 'E'.
CLEAR ITAB.
MOVE-CORRESPONDING ICDHDR TO ITAB.
MOVE-CORRESPONDING ICDSHW TO ITAB.
CASE ITAB-TABNAME.
WHEN 'KONVC'.
MOVE ICDHDR-OBJECTID TO ITAB-VBELN.
MOVE ICDSHW-TABKEY(6) TO ITAB-POSNR.
WHEN OTHERS.
MOVE ICDSHW-TABKEY+3(10) TO ITAB-VBELN.
MOVE ICDSHW-TABKEY+13(6) TO ITAB-POSNR.
MOVE ICDSHW-TABKEY+19(4) TO ITAB-ETENR.
ENDCASE.
MOVE '& %' TO ITAB-INDTEXT.
APPEND ITAB.
CLEAR ITAB.
ENDLOOP.
WHEN OTHERS.
MESSAGE S311.
LEAVE.
ENDCASE.
ENDLOOP.
ENDFORM.
TOP-OF-PAGE.
WRITE:/ SY-DATUM,SY-UZEIT,
50 'SALES ORDER CHANGE HISTORY',
120 'Page', SY-PAGNO.
WRITE: / SY-REPID,
60 'SALES ORDERS STATISTICS'.
SKIP.
ULINE.
IF SUDATE = 'X'.
WRITE:/001 'Change Date',
013 'Time',
023 'User Name',
037 'Sale Order',
049 'Line',
057 'Sch No',
065 'Changes'.
ELSEIF SOBID = 'X'.
WRITE:/001 'Sale Order',
013 'Line',
021 'Sch No',
029 'Change Date',
041 'Time',
051 'User Name',
065 'Comment'.
ELSE.
WRITE:/001 'User Name',
015 'Time',
025 'Change Date',
037 'Sale Order',
049 'Line',
057 'Sch No',
065 'Changes'.
ENDIF.
ULINE.
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Difference between Condition Type
Please explain the difference between Ek01 ( Actual Cost) and EK02
Calculated Cost. These are the condition type that will display the results of the unit costing for
certain type of sales document. EK01 :
If you use this condition type, the result of unit costing is issued to the first position on the conditions screen for the item. The value can be used as a basis
for price determination. EK02:
If you use this condition type, the result of unit costing is simply a statistical
value which you can compare with the price. Please note the following points :
1) The condition type must have condition category 'Q' (costing). 2) The condition type must agree with the condition type defined for unit
costing in the pricing procedure. I have a customer who is being offered two discounts ie k007 and k005,
now I want to exclude k007 for the next 2 orders or so? I have set the exclusion indicator for the condition
type,but still the condition is being accepted when I create a sales order. Am I missing something, how do I do it?
I think u need to change the validity of the condition record for the condition type K007 defining it not valid for that particular 2 months. And also the
settings of the Requirements as it is correct that it overrules the exclusion. Arvind Rana
Related SD Queries:
SD Questions About Pricing Condition
Add a Field To New Condition Table in Pricing
Get help for your SAP SD problems
SAP SD Forums - Do you have a SAP SD Question? SAP Sales and Distribution Books
SAP SD Books - Certification, Interview Questions and Configuration SAP Sales and Distribution Tips
SAP SD Discussion Forum and Sales/Distribution Tips Best regards,
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reserved. All product names are trademarks of their respective companies. The site www.sap-
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Creating New Pricing Procedure
What is the transaction code for creating new pricing procedure and how to attach it to specific plant?
You create PP in spro > Sales and Distribution > Basic Functions > Pricing > Pricing Control > Define and Assign Pricing Procedures > Maintain Pricing
Procedures You can't attach PP to specific plant. Pricing Procedure is determined thru trx
OVKK. The defining parameters for pricing procedure determination are: 1. SalesOrg
2. Distribution Channel 3. Division
4. Document Procedure (defined in Sales doc\Billing doc maintenance) 5. Pricing procedure assigned to customer (defined in customer master)
Hope this helps. Sabir
Reg pricing procedure. 1. Use transaction code v/07 to create a access sequence and assign tables
based on which you want to carry on pricing as accesses.
2. Use transaction code v/06 to define condition type. It can be for base price, discount, freight etc., (Do assign relevant access sequence)
3. Use transaction code v/08 to define pricing procedure. 4. Assign this to your relevant sales area+ dpp+cupp.
While specifying requirement, we can give reqt no.22 which specifies that plant has to be set. This is generally done for output taxes since output taxes depend
upon the delivering plant. But directly there is no assignment between plant and pricing procedure.
Hope this helps,
Re-pricing in a Quotation
How can I, or am I able to find anything on a way of RE-Pricing be done in a QUOTATION?
You can always 'Update" pricing manually in a quotation the same way you do in a sales order, either in create or change modes. Menu path Edit --> New
Pricing or press the 'Update pricing' button on the item conditions tab. If you are asking how to reprice a quotation when it converts into a sales order,
that can be done with the copy controls of the Item Category. IMG: Sales & Dist --> Sales --> --> Maintain Copy Control for Sales Docs --> Sales Doc to Sales
Doc (transaction vtaa). Just choose the combination of documents and the respective item category. The field you need to be concerned with is "Pricing
type". However, from a business process perspective it makes absolutely NO sense to reprice a quotation when converting to a sales order. After all, the entire point
of using quotations is to firm up details like pricing before creating the sales order.
Do you have a SAP SD Question? SAP Sales and Distribution Reference Books
Quantity Based Discounts in Bulk Quantities Sales You're looking to implement quantity based discounts in 4.6c. You are
trying to sell items in specific bulk quantities, and only give the discount for specific quantity intervals.
For example, if a customer orders 1 piece, 2 pieces, 3, etc. of part ABC, the price is $100.
If the customer orders 10 pieces of part ABC, the price is $50. However, this is not only a standard minimum quantity discount. If the
customer tries to order 11 pieces, 12, 13, etc. it should return $100 again.
The only values for which $50 should apply are 10, 20, 30, etc. - multiples of the bulk quantity 10.
You have discussed changing your part number to reflect a bulk qty of 10, however you have in house consumption that is allowed to consume
only 1 part at a time. You would vastly prefer to keep one part number that you order from the supplier, consume internally and ship
externally. You are fairly certain there is basic functionality that covers this, but you're just not sure where to start.
Taking your requirements literally. Standard SAP scale pricing will not do it in
that you only want the reduced price to come into effect when the order quantity is multiple of some bulk factor.
It is agreed with that creating a separate material number is not a good idea. You can try this :-
Determine Sales Price with Shipping Point
You are trying to use shipping point as a key field (with sales org. distribution channel and ship-to party together) to determine the sales
price. You created a condition table with the above key fields, and maintained the relevant setting (access sequence, condition type and
pricing procedure). There is an error message in the sales order pricing analysis ("access
not made" in the shipping point field).
In the access sequence, you found that the shipping point field's document structure is KOMK.
Can you put to item level field in the condition table and access sequence?
Structure KOMK refers to header of the sales order, but shipping point of course is on item level.
You'll have to do some settings to reach your goal, it is possible. Step 1
Append structure KOMP. Do this by changing through SE11 the table KOMPAZ.
This is the include for structure KOMP. Add a component e.g. ZZVSTEL with component type VSTEL.
Save, activate. If you want to make more points, assign search help H_TVST to the
component. Ask a programmer if you don't understand this part.
Step 2 Change user exit MV45AFZZ. Say there that field ZVSTEL should be filled with information from your shipping point.
Do this under part FORM USEREXIT_PRICING_PREPARE_TKOMP. The coding should be like tkomp-zzvstel = vbap-vstel.
Save, generate. Step 3
Make a new table as you did before, but first maintain your new field in Condition: allowed fields.
When you create your new table you will see you have two shipping points. With the button technical view you can check which one ZZVSTEL or VSTEL.
Step 4 Finish with the steps you did before. That was ok.
Now, you will see in your sales order that the shipping point is filled with information.
Pricing date based on delivery date
Used transaction VOV8.
This configuration is by order type. There is a field called proposal for pricing date.
There you can select pricing date as requested delivery date. A - Proposed pricing date based on the requested dlv.date (Header)
This control is set at the document level as oppose to the condition type level (PR00).
That means your other condition types such as surcharges and discounts are also determined using the requested delivery date.
If your requirement is for PR00 to alone to be priced at delivery date then this will not work.
How pricing date is determine in the sales order and billing document? Where is the setting?
The pricing date is proposed based on the setting you make in the Sales document configuration. ( T code : VOV8)
You have a field" Prop.f.pricing date " in the Requested delivery date / pricing date / purchase order date segment.
Then you can choose the follwoing options:
Blank - Indicates the current date as the pricing date A - Indicates the date based on the requested delivery date
B - Indicates the date based on the order validity start from date And the pricing in the billing document is copied from thte sales order / Delivery
document..
It again depends on the setting u have in the copy control from order - billng or delivery - billing.
In the copy control, in the item settings you have two fields relavant for this.
One is pricing source and the other is pricing type. The pricing sources are generally the order. But if you want you can change it
to other values mentioned in the drop down, but this values have no effect if the pricing type is B.
Any other value other than B in the pricing type will take the reference document price mentioned in the pricing source field.
but for the pricing type B. The new price is determined in the billing order.
SAP Tips by: Sreenivas
Report to Check the Entered Pricing Condition
Price
Which is the best transaction code to check the Pricing condition price entered in "VK11"?
Other than "VK13", to display the price, you can use V/LD - Execute Pricing
Report to check the prices entered into the Pricing Master. Normally Pricing Report - "07 Cust.-specific Prices with Scale Display" will do.
Other Pricing Reports you can tried are these: ---------------------------------------------------------------------------
|LR|Report title |
-- ------------------------------------------------------------------------
|01|Comparison of Price Lists Without Scale Display |
|02|Comparison of Price Groups Without Scale Display |
|03|Incoterms with Scale Display |
|04|Incoterms Without Scale Display |
|05|Price List Types Without Scale Display |
|06|Price List Types with Scale Display |
|07|Cust.-specific Prices with Scale Display |
|08|Cust.-specific Prices W/out Scale Display |
|09|Material List/Material Pricing Group with Scale Display |
|10|List Mat./Mat.Pricing Groups Without Scale Display |
|11|Price Groups With Scale Display |
|14|Taxes |
|15|Material Price |
|16|Individual Prices |
|17|Discounts and Surcharges by Customer |
|18|Discounts and Surcharges by Material |
|19|Discounts and Surcharges by Price Group |
|20|Discounts and Surcharges by Material Group |
|21|Discounts and Surcharges by Customer/Material |
|22|Discounts and Surcharges by Customer/Material Group |
|23|Discounts and Surcharges by Price Group/Material |
|24|Discounts and Surcharges by Price Group/Material Group |
|25|VAT/ATX1 |
|26|Canada/USA |
|27|I.E.P.S Mexico |
|28|Conditions by Customer |
|30|Conditions by Customer Hierarchy |
|31|Price List with Release Status |
|AC| |
|AD| |
---------------------------------------------------------------------------
Mass Update of condition pricing
You can update the condition pricing for a range of sales order.
For e.g. if you create sales order for 15 months or so, and at the beginning of each year, you have to update the prices for lots of sales orders.
Other than using VA02 and make an Update of the conditions at item level which is a big work because you will have lots of open sales order after so many
months. Use VA05, select your Orders and on the result screen :-
click Edit- > Mass Change -> New Pricing (menu). or if you don't want to do that Online, write your own abap report and use
FunctionSD_BULK_CHANGE (check where-Used at SE37, Trace VA05 on how to fill the parameters, Function MPRF => New Pricing)
Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff
Make Material Master Price of a material as sales price automatically
The first method is not to set the pricing condition VPRS as statistical.
Simply remove PR00 and it will work fine if you always use VPRS as your pricing base inside the pricing procedure.
VPRS will reads both prices based on the price control in the material master. Price control S for standard price.
Price control V for moving average price. It is this simple if you do not have any other "Prices" in the price procedure.
However, if you are using one pricing procedure where for some items you price
using VPRS and some others using PR00, then you should use requirement routines to enable the correct price condition type at the right time. The second method involves more work as you need to write a formula (VOFM)
to get that information. This is how it goes :-
1. Set VPRS to be the first step in the pricing procedure and to be subtotal B (as standard).
2. Set PR00 with alt. calc. type formula, which sets the value of PR00 to be equal to the subtotal B.
The routine (created with transaction VOFM) is: RV64A901
FORM FRM_KONDI_WERT_600. XKWERT = KOMP-WAVWR.
ENDFORM. The pricing procedure than looks like that:
Step 1 VPRS statistical, subtotal B, reqt 4 Step 2 PR00 Altcty 600
Best regards, SAP Basis, ABAP Programming and Other IMG Stuff
http://www.sap-img.com
Customer discounts on effort only
-----Original Message-----
Subject: Customer discounts on effort only Hi All,
We have a requirement of giving a discount to customer based on the total amount invoiced so far (across financial years).
Where do we set this up? We have seen so far the discounts are calculated based on the value of the current invoice.
The discount should be on a graduated scale basis for example 0 - 100000 No discount
100000 - 200000 5% 200000 - and above 10% This means that discount would only start after the customer's net sale
value crosses 100000. For example, if the customer has been billed for 99000 and the current
invoice is for 3000, a discount of 5% should be given on 2000 i.e. 100. Another complication is that, the discount is not based on the total amount
billed so far, but only on the effort billed and not on reimbursements (like airfares, living expenses, visa charges, beeper charges etc). The discount
applies only to the effort and not to the reimbursements. In the above example (invoice of 3000) say the effort billed is only 1500, the rest being
reimbursements. The discount is only on the 500. (the rest being taken up by the lower limit for eligibility of 100000)
For example the customer might have been billed say 150000 so far but actual effort billed might be only 90000, the rest being reimbursements of actual
costs and hence the customer is not eligible for the discount. Kindly help,
-----Reply Message----- Subject: RE: Customer discounts on effort only Hi,
The solution for this is Using rebate condition types and suitable condition records.
Of this to handle your first problem that is the rebate has to be applied only on the "effort" you have to set up a line in the pricing procedure
which gives the rebate basis i.e the value to be used for rebate cond types. This I believe solves your problem of rebate only on effort.
Your second problem i.e the discount should start getting applied automatically when it reaches the first scale for which the values span few
financial years. This I am not really sure whether it can be made possible in the invoice itself. But a work around is not giving the discount directly
in the invoice but settling it against the rebate agreements by Credit notes periodically.
Hope it helps. Thanks -----Reply Message-----
Subject: RE: Customer discounts on effort only Hi
Arent we looking at rebate agreeement. That appears to be a straightaway solution to your problem. You activate the sales organization and the
payer for that Regards
-----Reply Message----- Subject: RE: Customer discounts on effort only
I am in SAP R/3 rel.30F. We have 2 options to meet your requirement.
1. Using scale in condition type ( tcode V/06 ), choose scale basis G.Scale based on a formula ( be: your based amount is invoice ). Define
scale formula. You need ABAPER to define it. 2. Using routine in Alt.calc.type ( tcode V/08 , Maintain Pricing
Procedure ). Here, you also need ABAPER to create routine. hope this help
-----End of Message----- Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff http://www.sap-img.com
Steps to Create Commission for Agent
For creating commission agent, you have to follow below steps. 1) Establish Partner Functions for the Commissionee(s)
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PARTNER DETERMINATION ->;
DEFINE PARTNER FUNCTIONS Transaction Code: VOPA 2) Assign the Partner Functions to Partner Procedures
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PARTNER DETERMINATION ->;
DEFINE PARTNER FUNCTIONS Transaction Code: VOPA
3) Create a Partner Procedure for the Commissionees Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES
AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PARTNER DETERMINATION ->; DEFINE PARTNER FUNCTIONS
Transaction Code: VOPA 4) Create New Customer Account Group(s) for Commission Agents
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; LOGISTICS GENERAL ->; LOGISTICS BASIC DATA: BUSINESS PARTNERS ->;
CUSTOMERS ->; CONTROL ->; DEFINE ACCOUNT GROUPS AND FIELD SELECTION FOR CUSTOMER Transaction Code: OVT0
5) Assign the Partner Functions to the Customer Account Group(s) Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES
AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PARTNER DETERMINATION ->; DEFINE PARTNER FUNCTIONS ->; GOTO ->; PARTNER FUNCTIONS ->;
ENVIRONMENT ->; ACCOUNT GROUP ASSIGNMENT Transaction Code: VOPA
6) Assign the Partner Functions to the Partner Procedure for the Sales Document Header
Menu Path: Tools ->; Business Engineer ->; Customizing ->; Sales and Distribution ->; Basic Functions ->; Partner Determination ->; Define Partner
Functions Transaction Code: VOPA
7) Assign the Partner Functions to the Partner Procedure for the Sales Document Item (OPTIONAL)
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PARTNER DETERMINATION ->;
DEFINE PARTNER FUNCTIONS Transaction Code: VOPA 8) Edit the Pricing Communication Structure (KOMKAZ) to Hold the New
Functions (Client Independent) Menu Path: Menu Path: TOOLS ->; ABAP WORKBENCH ->; DEVELOPMENT ->;
DICTIONARY Transaction Code: SE11
9) Edit MV45AFZZ – userexit_pricing_prepare_tkomk (Client Independent) Menu Path: TOOLS ->; ABAP WORKBENCH ->; DEVELOPMENT ->; ABAP
EDITOR Transaction Code: SE38
10) Edit RV60AFZZ - userexit_pricing_prepare_tkomk (Client Independent) Menu Path: TOOLS ->; ABAP WORKBENCH ->; DEVELOPMENT ->; ABAP
EDITOR Transaction Code: SE38
11) Edit MV45AFZB - userexit_new_pricing_vbkd changing new_pricing (Client Independent) Menu Path: TOOLS ->; ABAP WORKBENCH ->; DEVELOPMENT ->; ABAP
EDITOR Transaction Code: SE38
The following code should be inserted into program MV45AFZZ to allow the system to re-execute pricing if the user makes a change to the relevant partner
function (alteration, addition, deletion). 13) Add the KOMKAZ Fields to the Pricing Field Catalog (Client Independent)
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PRICING ->; PRICING
CONTROL ->; DEFINE ACCESS SEQUENCES ->; MAINTAIN ACCESS SEQUENCES
Transaction Code: OV24 14) Create Condition Tables (Client Independent)
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PRICING ->; PRICING
CONTROL ->; DEFINE ACCESS SEQUENCES ->; MAINTAIN ACCESS SEQUENCES
Transaction Code: V/03 15) Create an access sequence containing the new tables (Client Independent)
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PRICING ->; PRICING
CONTROL ->; DEFINE ACCESS SEQUENCES ->; MAINTAIN ACCESS SEQUENCES
Transaction Code: V/07 16) Create a new condition type
Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PRICING ->; PRICING
CONTROL ->; DEFINE CONDITION TYPES ->; MAINTAIN CONDITION TYPES Transaction Code: V/06
17) Add the Condition Type to the Pricing Procedure Menu Path: TOOLS ->; BUSINESS ENGINEER ->; CUSTOMIZING ->; SALES AND DISTRIBUTION ->; BASIC FUNCTIONS ->; PRICING ->; PRICING
CONTROL ->; DEFINE AND ASSIGN PRICING PROCEDURES ->; MAINTAIN PRICING PROCEDURES
Transaction Code: V/08 11) Create Commsission Report ZZCOMMISSION (Client Independent)
Menu Path: TOOLS ->; ABAP WORKBENCH ->; DEVELOPMENT ->; ABAP EDITOR
Transaction Code: SE38 With Compliments by: Kamles
Fast Links:
SD Questions About Pricing Condition
The Most Important Tips in Pricing For SAP SD Module to crack
interviews... Whenever we define our pricing procedures, we remain least interested in
creating our own Condition Types,Condition Tables & Access Sequences. What we do is, we just define our own pricing
procedures by using the existing condition types (i.e: PR00, K004, K007, KA02, KF00 etc.) & then assign that Pricing Procedure with " Sales Area, Document
Pricing Procedure & Customer Pricing Procedure " . After that we put the values against each Condition Types, mentioned in our Pricing Procedure by using the T-Code "VK11". But we also need to know about
the Condition Tables, Condition Types & Access Sequence Creation. So for that purpose we have to use the following T-Codes respectively : "V/05", "V/06" &
"V/07". Now it will become easy to create the same. Also to inform that, using T-Codes is more smarter than following paths through
IMG screen. Utsav Mukherjee - utsavmukherjee143@hotmail.
What is the difference of VK11 and VK31 (condition records)? My condition type is PR00 and Access sequence is PR02. And in this
access sequence table 304 is available. Now when I was entering the PR00 in VK31 it shows error Table 304 is not defining for the condition
type PR02. But when I was entering the PR00 at VK11 it is accepting it.
Difference between VK11 and VK31 - if you go through the menu path you will get the vk 31 as condition record from the tamplets whereas vk11 as simple
condition record. In VK11 you can store condition record for more than one condition
type. This means you can have same condition record for different condition types.This feature is given to enhance the system's performane and not to create the duplcation of the work for each condition type.
Again system is not allowing to store the record in the vk31 for the condition type pr00 and access sequence pr02.This is because if you see this ac seq
cointains two accessses 20 and 30 having the same table no.But you see there is the difference between the technical view of it for transfering the data from
document field and condition field,so you can not maintain the data at VK31.
What is the difference between Header condition and Item condition? I know item condition applies to each item in a sales document. Header
condition can only be applied to an entire document. Difference between header and item condition - as YOU CORRECTLY SAID
HEADER CONDITION IS APPLICABLE FOR THE WHOLE DOCUMENT where as item is for item.Ex-Say fright is dependent on the total weight of all the items in
the documents then header condition adds on weights of all items and calculates the record accordingly. You have two different types of the header conditions.
a) In one you can duplicate the same value throughout the document for each item.Say discount 2% at header level which is also applicable to all the items
b)Second is the accumulation of the values of all the item at the header level,as earlier explained for the weight/fright.
These differenes are controlled through the indicator of group condition in the cond.type configuration.
And so obviously header condition can not have the condition record and hence access sequence.
SAP SD Tips by : Vishwajit
Disallowing Condition Types - How I can accomplish the following: Be able to DISALLOW Z0BP Condition type to be negative ( Invoice
Block) You can modify condition type from customising;
Sales and Distribution->Basic Functions->Pricing->Pricing Control->Define Condition Types->Maintain Condition Types
Change condition type ZOBP's plus/minus indicator to "A" which means only positive is allowed. *-- Arvind Rana
In pricing procedure there are column such as requirement, sub total
altclty, altbv, accurals. What are these and where we calculate all these values which we put.
1. Requirement: Denoted by nos and maintained in VOFM, this is a condition required for a particular condition type to be executed. Eg. PR00: req 2 ie item
relevant for pricing VPRS/EKO1: req 4 ie cost
Rebate BAO1 Req 24/Req 25 etc 2. Subtotal: this represents where a which table a value is stored, which can be
processed for further calculation. Eg. for PR00, if this value is to be used for credt check of a customer, we mark the subtotal as A.
3 Alternate Calculation type: this is also denoted by numbers and maintained in VOFM. Eg. Suppose for 45 units , each unit is charged $100 per unit, the order
value comes out to be $4500, that is calculation is done as per unit price, if the client wants calculation type to be based on volume or wieght, alternate
calculation type can be configured. 4. Alternate base value: Denoted by no. and maintained in VOFM.
Eg, if the pricing scale is maintained and pricing for 45 units comes under the scale of $100 per unit., the base value is 45 units, but if the client wants a
standard base value in some casesto be assumed inspite of maintaining the scale, an alternate base value is confihured, that is the base value based on
which the order value is to be calculated changes. 5. Accruals: Accruals are maintained for rebate agreements, it constitutes the
total accumulated value which customer has earned through rebate, one the rebate for certain amount is settled the amount from the accruals get deducted.
Add a Field To New Condition Table in Pricing
Add a field to a new condition table in Pricing (Condition Technique):-
I will explain you the process with below example...Please follow steps in below sequence-
Try to add the filed from the field catalog. In case the required combination field is not there, you can add the field through the following process to filed
catalog and create the condition table. It is most common that one or other time we need to use this function while configuring multi tasking & complex
Pricing Architecture. Here I'm giving a simple guide to add fields to the Pricing Field Catalogues: For example you want to use field PSTYV ('Sales document item category') that
is included in structure KOMP ('Pricing Communication Item') as a key for a condition table.
When you create a condition table (Transaction V/03), however, the system does not propose the field in the field catalog.
Condition access, field catalog, allowed fields, KOMG, KOMK, KOMP, KOMPAZ, KOMKAZ, PSTYV are the other terms which we need to know about, to add
Fields. Reason and Prerequisites:
For technical reasons, field PSTYV was included in structure KOMP, however, not in structure KOMG ('Allowed Fields for Condition Structures').
Proceed as follows: 1. Call up the ABAP Dictionary (Transaction SE11) and create data type
ZZPSTYV. Choose PSTYV as a domain.As a short text, you can use, for example, 'ZZ - sales document item category' and as a field label, you can use the field
labels of PSTYV.Save, check and activate your entries. 2. Call up structure KOMPAZ in the ABAP Dictionary (Transaction SE11) in the
change mode and make the following entry: Component Component type: ZZPSTYV ZZPSTYV
Save, check and activate the change you made. 3. Note:Because of the change in structure KOMPAZ, field ZZPSTYV is now
known in structures KOMG and KOMP because structure KOMPAZ is included in both structures.
4. Call up Transaction SPRO. Navigate to 'Sales and Distribution -> Basic Functions -> Pricing -> Pricing Control' and execute 'Define Condition Tables'.
Choose 'Conditions: Allowed fields' and include ZZPSTYV as a new entry. 5. Note:Now you can use field ZZPSTYV as a key field when you create a
condition table Axxx. 6. Supply the new field you defined by including the following source code line
in USEREXIT_PRICING_PREPARE_TKOMP: MOVE xxxx-PSTYV TO TKOMP-ZZPSTYV.
In order processing you find the user exit in Include MV45AFZZ, and in billing document processing you find it in Include RV60AFZZ. Consider that you can also use this note as a help if you want to use other
customer-specific fields as key fields in a condition table. For header fields, use structure KOMKAZ instead of structure KOMPAZ and
USEREXIT_PRICING_PREPARE_TKOMK instead of USEREXIT_PRICING_PREPARE_TKOMP.
For more information, see Transaction SPRO via the path 'Sales and Distribution -> System Modifications -> Create New Fields (Using Condition Technique) ->
New Fields for Pricing' and OSS Note 21040. *-- Manoj Mahajan
Billing cannot be Release to Accounting
This SAP message will appear if the system is unable to find the G/L codes
match from the configuration in transaction VKOA No account is specified in item 0000001001
Message no. F5 670 Diagnosis
No account was specified for account type "S" in item "0000001001" of the FI/CO document.
System Response The Financial Accounting program cannot process the document.
Procedure A system error has probably occurred in the application you called up. Check the data transferred to item "0000001001" of the FI/CO document.
Assuming that one of the key combination is Account Assignment Group, you will have to check whether have the Account Assignment Group been input in
the Customer Master (Billing tabstrips - Accounting sections - Field name: Acct assgmt group).
The Account Assignment Group will be copied automatically into the sales order.
Check whether the configuration in transaction VKOA have been done correctly. Check whether the sales order (VA03 - Goto - Header - Financial Accounting -
Field name: AcctAssgGr) have been filled in automatically. Check whether the billing document (VF03 - Goto - Header - Header - Field
name: AcctAssgGr) have been filled in automatically. If the customer master have not been maintained and the user have already
input the sales order, then the user will have to maintained the Account Assignment Group manually either in the sales order or the billing documents.
Take note for One Time Customer, the user have to input the Account Assignment Group manually into the sales order. One Time Customer can be used by many customer, therefore, the system will not be able to determine the
Account Assignment Group manually.
Default Start Variant for VF04
There are two types of variant in VF04. One is the selection variant before clicking the Display Billing List Button.
You can set the start variant via SE93 using the Change mode. The second variant is the Billing Layout display variant.
This is after clicking the Display Billing List Button. After creating your layout display variant, you can set it by clicking :-
Settings -> Display Variant
-> Administration Select the layout display variant you want and click :-
Edit -> Define default settings
Best regards,
Condition Exclusion which will be determined in the billing document
The system can exclude conditions so that they are not taken into
account during pricing. For example:
Material 4711 costs 150 USD. Some customers receive a discount of 10 USD per 100 pieces.
However, a specific customer can buy the material for 100 USD. Since this is a particularly good price, the customer should not also have a
discount of 10 USD per 100 pieces. Therefore, this discount is to be excluded from pricing.
To create a condition exclusion procedure which will be determined in the billing document.
Assign the procedure to the pricing schema, and maintain copy control so that pricing is not copied from Sales Order.
To achieve this, copy the standard pricing to a ZXXXX Pricing.
Define new document pricing procedure in SM30 - V_TVKV for billing. Assign new document pricing procedures to billing types in SM30 - V_TVFK_PR
Define the Condition Exclusion Groups in OV31.
Assign the Condition type for the Condition Exclusion Groups in OV32. Assign the Billing Pricing Procedure in VOK8 for the Condition Exclusion
Groups. When billing document is being created just enter manually your new price and
the pricing program logic will include only the higher price one, excluding the rest that are lower price.
Related Topics: Create/Modify Billing Document Type
Steps for creating new or changing existing Billing Doc Type Get help for your SAP SD problems
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SAP Sales and Distribution Tips SAP SD Discussion Forum and Sales/Distribution Tips
Steps for creating a new or changing an existing Billing Document Types
Create/Change your Billing types configuration in VOFA. Some of the IMG stuff are :-
1) To block automatic transfer of the billing document to accounting, mark the field.
Indicates whether the system blocks automatic transfer of the billing document to
accounting. During document processing, you can manually transfer blocked billing
documents to accounting by selecting:
Billing -> Change -> Release accounting 2) Account determination procedure
3) Output determination procedure etc. ... After customizing, use transaction VCHECKVOFA to check your configuration :-
1) Proforma billing types: If it is a proforma billing type, (VBTYP = U), the field
must be blank and the account determination procedure must be empty. 2) Cancellation billing document types: : A check is made to see if the
cancellation billing document type has the right VBTYP. An F2 invoice, for example,
(VBTYP 'M') can only be canceled with billing type S1 with VBTYP 'N' . A billing type with
VBTYP '5' can only be canceled with the VBTYP '6' and vice versa. 3) Cancellation billing document type partner functions A check is made to see if
the cancellation billing document type partner functions are empty or if those
that correspond to the billing type used are empty.
Next, make sure that you maintain the copy control for the Billing Types: Sales documents in VTFA
Target Source e.g. F1 - Invoice OR - Standard Sales Order F1 - Invoice ZOR - Your Sales Order
Billing documents in VTFF e.g. G2 - Debit Memo F1 - Invoice
G2 - Debit Memo F2 - Invoice Deliveries in VTFL
e.g. F1 - Invoice LF - Delivery F1 - Invoice ZOR - Your Delivery
Usually for copy control, you let the rest of the settings remains as SAP defaults.
You only assign the new Billing Document Types. After that use transaction VCHECKTVCPF to check your Copy control
customizing. Related Topics:
Integration between SD, MM, FI Link Between SAP SD, MM & FI
Get help for your SAP SD problems Do you have a SAP SD Question?
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SAP Sales and Distribution Tips
Billing Block will not worked if you did not
assign it
Define the possible block indicators in SM30 - V_TVFS and
allocate them to the billing types concerned in SM30 - V_TVFSP.
Your Billing Block will not worked if you did not assigned it to the desired billing types.
You can auto block by :-
1. sales document type in transaction VOV8, fields Billing Block, or
2. item categories in SM30 - V_TVAP, by filling the fields Billing Block.
Billing Plan for Milestone Billing
Milestone billing means distributing the total amount to be billed over
multiple billing
dates in the billing plan.
As each milestone is successfully reached, the customer is billed either a
percentage of
the entire project cost or simply a pre-defined amount.
During sales order processing, the system determines from the item category
whether a
billing plan is required and, if so, which type of plan
The type of billing plan that is determined at this point is set up in
Customizing and
cannot be changed in the sales document.
Billing plans for periodic billing and milestone billing plans for project-
related milestone
billing have different overview screens so that you can enter data relevant
to your
processing.
For example, for milestone billing, you must be able to enter data to
identify the
individual milestones.
IMG configuration requires :-
1. Maintain billing plan types for milestone billing in OVBO.
2. Define date description in SM30 - V_TVTB.
3. Maintain Date Category for Billing Plan Type IN OVBJ.
4. Allocate date category in SM30 - V_TFPLA_TY.
5. Maintain date proposal for Billing Plan Type in OVBM.
6. Assign Billing Plan Type to Sales Documents Type in OVBP.
7. Assign Billing Plan Type to Item Categories in OVBR.
8. Define rules for determining the date in OVBS.
Milestone billing is typically used for billing projects, such as plant
engineering and
construction projects. Such projects often include a series of milestones
that mark the
completion of different stages of the work. In the SAP R/3 System, milestones
are defined
in a network along with planned and actual dates for the completion of work.
The milestones
are also assigned to the billing dates in the billing plan.
Each milestone-related billing date is blocked for processing until the
Project System
confirms that the milestone is completed.
Delivery-relevant order items for which a milestone billing plan applies are
billed on the
basis of the requested delivery quantity and not on the total of the
confirmed quantities.
The connection between the project and the sales document item is made in the
individual
schedule lines of the item. Each schedule item can be assigned to a network
in a project.
To display the project-related data for a schedule line, proceed as follows:
In one of the overview screens of the sales document, select
1. Item -> Schedule lines.
2. Mark the schedule line and select Procurement details.
The following figure shows an example of milestone billing where only the
Contract have
been billed :
Order Item Turbine 100,000
Billing Plan
Billing date Description % Value Billing Block Milestone Billing
Status
01-10-94 Contract 10 10,000 - x x
01-03-95 Assembly 30 30,000 x x
01-04-95 Maintenance 30 30,000 x x
01-05-95 Acceptance 30 30,000 x x
01-06-95 Final invoice .. .. x
Network/Activities
Milestone Estimate Actual
Assembly 01-03-95 01-03-95
Maintenance 01-04-95
Acceptance 01-05-95
For each billing date in a milestone billing plan, you can specify whether
the billing
date is:
1. fixed
2. always updated with the actual date of the milestone
3. updated with the actual date of the milestone, if the date is earlier
than the
planned billing date for the date
SAP Billing - Combine Billing for deliveries
with different date
When using transaction VF04 or Billing (background), the date of the billing document (e.g. the current date) must be entered (In VF04 : settings, default
data.) In VF06 or background: variant with parametrization) to avoid an unwanted
split due to the billing date. This OSS notes is very helpful :-
11162 - Invoice split criteria in billing document 36832 - Invoice split in fields from the sales order
Best regards,
Billing Spilt by Item Category
Is it possible to split invoice Item category wise. I mean If in sales order there is TAN and TANN then the invoice should split,is it
possible? Naina
Yes, it is possible. Create a modification of copy control routine for billing and use VBAP-PSTYV as an additional split criteria there.
Martishev Sabir
Thank you for your reply. Can you please tell me the exact steps what should I add under that(additional split criteria).
Naina
In trx VTFA (if your billing is sales order based) choose your billing type and SO type, there select your item categories and there select the field VBRK/VBRP
data. In that field you will see the currently used routine. With the help of your ABAP guy create a copy of that routine under a different number and add your
lines of code. Let's say you use routine 001.
FORM DATEN_KOPIEREN_001. * Header data
* VBRK-xxxxx = ............ * Item data
* VBRP-xxxxx = ............ * Additional split criteria
DATA: BEGIN OF ZUK, MODUL(3) VALUE '001', VTWEG LIKE VBAK-VTWEG,
SPART LIKE VBAK-SPART, END OF ZUK.
ZUK-SPART = VBAK-SPART. ZUK-VTWEG = VBAK-VTWEG.
VBRK-ZUKRI = ZUK. ENDFORM.
This is how it should look after modification:
* Header data * VBRK-xxxxx = ............
* Item data * VBRP-xxxxx = ............ * Additional split criteria
DATA: BEGIN OF ZUK, MODUL(3) VALUE '001',
VTWEG LIKE VBAK-VTWEG, SPART LIKE VBAK-SPART,
PSTYV LIKE VBAP-PSTYV, <- New line END OF ZUK.
ZUK-SPART = VBAK-SPART. ZUK-VTWEG = VBAK-VTWEG.
ZUK-PSTYV = VBAP-PSTYV. <- New line VBRK-ZUKRI = ZUK.
ENDFORM. After this routine is created and activated place it as the default copy control
routine instead of the old ones.
Martishev Sabir Fast Links:
Dunning Process In Credit Management
Explain about dunning process in credit management?
Let me explain in simple terms: 1) You have a Customer which you had felt, he is doing good business and
supplied material on Credit of 45 days. 2) Since this customer is good as you felt, you have not managed Credit Checks
as well. So, he had comfortably reached to the fullest credit (or even more) which you can afford for any customer. 3) One fine day you got realised that, there is very bad debt with this customer
and need to recover from him and till then, there will be no further supply to the customer.
4) Your company's legal department has laid a policy that, inorder to recover any bad debts, like:
a) We will send a normal payment reminder. b) In case customer doesnt respond, we will send at least further reminder
(dunning notice) may be 9 times (9 reminders) (Dunning level) and what intervels of time (dunning
frequency) c) Still if the customer doesnt resopond for the reminders, you will file a law suit
against the customer for recovering the Payments.
d) Finally, after getting veridict, you may proceed for auction of his property or as per the order for Law.
Now in SAP, the definition of Dunning procedure is a pre-defined procedure specifying how customers or vendors are dunned. For each procedure, the user defines
- Number of dunning levels - Dunning frequency
- Amount limits - Texts for the dunning notices
In SAP, you will maintain the Dunning Procedure at customer master. Referring to this your SD Team / FI Team (user team) will effect Dunning
PS: You might remembered the dunning procedure laid by Relaince Mobile, sometime back, sending street rowdies for recovering the bad debts from users.
That is dunning. Remember Reliance, you will not forget dunning forever. Tips by : Kumar
Restricting Number Of Items In Billing Doc
How I can restrict number of items in an invoice? If I enter more than 8 items in a sales order and those items get copied
into delivery doc then to billing doc. But our client want to restrict number items to 8 (max) in an invoice.
You can restrict delivery with delivery tolerance, thereby causing invoicing of the desired.
or Go to SPRO>>>IMG>>>Sales & Distribution>>>Billing>>>Billing
Documents>>>Country-specific features>>>Maintain Maximum No. Of Billing Items.
This is where you can define a maximum number of items allowed for all billing documents within a given sales organization.
However, maintaining data here is not enough alone to bring about a billing split by number of billing items.
You must also go to copying control for order/delivery to billing document at item level under "Data VBRK/VBRP" and maintain routine 006 "individual invoice
limited" or a similar routine that accesses the data maintained here. SAP SD Tips by : Amol
How To Do Configuration For Credit Management
Credit and risk management takes place in the credit control area. According to
your corporate requirements, you can implement credit management that is centralized, decentralized, or somewhere in between.
An organizational unit that represents the area where customer credit is awarded and monitored. This organizational unit can either be a single or
several company codes, if credit control is performed across several company codes. One credit control area contains credit control information for each customer.
For example, if your credit management is centralized, you can define one credit control area for all of your company codes.
If, on the other hand, your credit policy requires decentralized credit management, you can define credit control areas for each company code or
each group of company codes. Credit limits and credit exposure are managed at both credit control area and
customer level. You set up credit control areas and other data related to credit management in Customizing for Financial Accounting. The implementation guide
is under Enterprise Structure -> Definition or Assignment -> Financial Accounting and then Maintain credit control area. You assign customers to
specific credit control areas and specify the appropriate credit limits in the customer master record.
Tips by : Kapilaa Settings for determining the credit control area of a document. The settings of items 1 - 4 are taken into account according to their priority. The credit control
area found is stored in field VBAK-KKBER. 1. Transaction OB38
Check which credit control area is assigned to the company code. Company code:
Credit control area: 2. Transaction OVFL
Check which credit control area is assigned to the sales area. Sales area:
Credit control area: 3. Transaction XD02 or VD02
Check which credit control area is assigned to the payer. Payer:
Credit control area: 4. Transaction SE37
Is user exit EXIT_SAPV45K_001 being used? 5. Transaction OBZK
For the settings under items 2 - 4, field "All company codes" must be marked in Transaction
OB45, or the credit control area must be entered under the relevant company code in table
T001CM of the credit control areas allowed. Company code:
Credit control areas allowed: 6. Settings for the credit checks 7. Transaction OVAK
Which settings do exist for the sales document type used? Sales document:
Check credit: Credit group:
8. Transaction OVAD Which settings do exist for the delivery type used?
Delivery type: Credit group for delivery:
Credit group for goods issue: 9. Transaction OB01
Credit management/Change risk category Definition of the risk category for each credit control area. This risk category
can be assigned to a credit account by using Transaction FD32. 10. Transaction OVA8
Here, the individual credit checks for key fields o credit control area
o risk category o credit group are set. Take these key fields from the above settings and go
to the detail screen. In particular, check whether fields "Reaction" and "Status/block" are
set correctly. To carry out follow-up actions in case of a credit block, the credit
check status must be set (field "Status/block").
11. Transaction FD32 Credit master data for the payer of the relevant document.
Credit account: Credit limit:
Risk category: Currency:
12. Settings for updating the credit values Update of the credit values is required for the limit
check (static or dynamic credit limit check). 13. Transaction OVA7
Update of the credit value is active for the corresponding item type if the check box is marked. This field corresponds to
field "Active receivable" in Transaction VOV7. Item type:
Active receivable: 14. Transaction V/08, Pricing
In the pricing procedure used for pricing, subtotal "A" must be entered in a line for
determining the credit value (mark the pricing procedure and doubleclick on "Control"). Usually, the net value plus taxes is used. This way the system is determined
to use this subtotal for credit pricing. The credit price is stored in field VBAP-CMPRE and
used for update and credit check.
You can find the used pricing procedure of the order under "Item -> Condition -> Analysis".
Pricing procedure: Line with subtotal = 'A':
15. Transaction OB45 Which update group (field "Update") do you use in the relevant credit control
area? The default setting is "12". If you use another update group, check whether this
is fine with you. If you open an OSS message, please tell us the alternative update group.
Credit control area: Update:
16. Transaction OMO1 Which kind of update did you choose for structure S066?
In any case, "Synchronous update (1)" has to be chosen as the kind of update.
All other settings will lead to errors.
MRP block for Credit limit attained Customers
How to block the requirement (MD04) generated by the item category in a sales order when the customer has attained the credit limit? The
MRP requirements still appear even though the schedule is zero. You should try and use one of the standard requirements.
See in transaction "VOFM". Under Requirements / Subsequent Functions / Reqs.Availablity.
Try using routine 103, you may have to tweak if it doesn't work exactly as you'd like.
For example, you can write a routine 903 because you only wanted this reaction for certain business units. Irregardless, using a routine similar to this
will prevent the requirement from appearing in MD04 for orders blocked on credit.
Code: DATA: W_ZSDCRD TYPE ZSD_CREDITBLCK.
DATA: W_CMGST LIKE VBUK-CMGST. SELECT SINGLE * INTO W_ZSDCRD
FROM ZSD_CREDITBLCK WHERE KKBER = VBAK-KKBER AND CTLPC = VBAK-CTLPC.
IF SY-SUBRC = 0 AND VBUK-CMGST CA 'B'. IMPORT VBUK-CMGST TO W_CMGST FROM MEMORY ID 'CREDIT'.
IF W_CMGST = SPACE. MESSAGE I706(Z1).
EXPORT VBUK-CMGST TO MEMORY ID 'CREDIT'. ENDIF.
*} REPLACE
*{ INSERT DEVK966908 1 *} INSERT
* Read the subsequent function information for the message PERFORM FOFUN_TEXT_READ USING GL_FOFUN
CHANGING FOFUN_TEXT. MESSAGE ID 'V1' TYPE 'E' NUMBER '849' WITH FOFUN_TEXT
RAISING ERROR. *{ INSERT DEVK966908 2
*} INSERT ENDIF.
ENDFORM. Do you have a SAP SD Question?
Best regards, SAP Basis, ABAP Programming and Other IMG Stuff
Credit Mgmt Dynamic checking
-----Original Message----- Subject: Credit Mgmt Dynamic checking
From: Richard Dragani Hi credit experts,
Does anyone know how I can automatically re-execute a dynamic credit check a few days prior to shipment for future dated sales orders. Any ideas would be
appreciated. Rich Dragani
-----Reply Message----- Subject: Re: LOG: Credit Mgmt Dynamic checking
From: Swami Subramanyan Program RVKRED08? Or manually execute function module
SD_ORDER_CREDIT_RECHECK. Regards
Swami -----Reply Message-----
Subject: Re: Credit Mgmt Dynamic checking From: Leslie Paolucci
We check credit at the time of the delivery (at delivery creation and before picking) and use the blocked sales doc process/list to release them. This can be set up in customizing under risk management-> credit management.
-----End of Reply Message-----
Best regards, SAP Basis, ABAP Programming and Other IMG Stuff
http://www.sap-img.com
Sales value field in not getting updated after creating the billing
-----Original Message-----
Subject: Sales value field in not getting updated after creating the billing we are on 4.6b. we are going for credit management but facing one problem. in
fd32- customer credit management change - the sales value feild in not getting
updated after creating the billing.
eg. when i create the order - the order value get updated in the sales value in fd32. after
creating the delivery - that value remains same in the feild of sales value. but when i am going for billing (delivery related), the bill value is appearing in 'receivables' but
the amount in 'sales value' is not getting reduced. because of this the credit exposure is
increasing continuously.
update group for corrosponding credit ctrl area is 12. also the item is mark for credit
update. can anyone tell the missing link?
thanking in advance -----Reply Message-----
Subject: RE: Sales value field in not getting updated after creating the billing Hi,
You need to check couple of settings like: 1. Your customer should be assigned the credit control area.
2. In your Item Category Credit should be active. Regards,
-----Reply Message----- Subject: RE: Sales value field in not getting updated after creating the billing
customer is assign to concorn CCA and item category is mark for credit active -----Reply Message-----
Subject: RE: Sales value field in not getting updated after creating the billing Hi,
Check the credit update group in the transaction OB45. The credit update group controls when the values of open sales orders, deliveries and billing documents are
updated. It should be '000012'.
Further also refer to the OSS note 18613. Have fun
-----End of Message-----
Best regards, SAP Basis, ABAP Programming and Other IMG Stuff
http://www.sap-img.com
Difference Between Simple and Automatic Credit Check Types
Explain in detail difference between simple and automatic credit check
types. In automatic check, difference between static and dynamic checks.
SIMPLE CREDIT CHECK : Tr.Code - FD32 It Considers the Doc.Value + Open Items.
Doc.Value : Sales Order Has been saved but not delivered Open Item : Sales Order has been saved , Delivered, Billed & Transfered to FI, but not received the payment from the customer.
Eg: Customer Credit Limit is Rs.1,00,000/- Suppose Doc.Value + Open Item Value is Rs.1,10,000/-
Here credit limit exceeds then system reacts. Options : A) Warning Message
B) Error Message (Sales Order won't be saved) C) Error Message with Delivery Block
AUTOMATIC CREDIT CHECK : Give extra credit facilities to the particular
customer. STATIC CREDIT LIMIT DETERMINATION :Checking Group + Risk Catageory +
Credit Control Area.
A) Credit Checking Groups : Types of Checking Groups. 01) Sales
02) Deliveries 03) Goods Issue
At all the above 3 levels orders can be blocked. B) Risk Catageory : Based on the risk catageories company decide how much
credit has to give to the customer. HIGH RISK (0001) : LOW CREDIT
LOW RISK (0002) : MORE CREDIT MEDIUM RISK(0003) : Average Credit
Static Credit Check it checks all these doc value & check with the credit limit 1) Open Doc.Value / Sales Order Value : Which is save but not delievered 2) Open Delivery Doc.Value : Which is delivered but not billed
3) Open Billing Doc.Value : Which is billed but not posted to FI 4) Open Item : Which is transfered to FI but not received from the customer.
DYNAMIC CREDIT CHECK : 1) Open Doc 2) Open Delivery
3) Open Billing 4) Open Items
5) Horizon Period = Eg.3Months Here the System will not consider the above 1,2,3& 4 values for the lost 3
months Then assign the Sales Doc & Del Documents.
Sales Doc.Type(OR) + credit Check(0) + Credit Group (01) Credit Limit Check for Delivery Type : Del.Type (LF) + Del Credit
Group (02) + Goods Issue Credit Group (03)
Set Up for Credit Card Payment Processing
Given below is the set up for credit card payment processing:
Set Up Credit Control Areas: Define Credit Control Area
Transaction: OB45 Tables: T014
Action: Define a credit control area and its associated currency. The Update Group should be „00012‟. This entry is required so the sales order will calculate the value to authorize
Assign Company Code to Credit Control Area Transaction: OB38
Tables: T001 Action: Assign a default credit control area for each company code
Define Permitted Credit Control Area for a Company Code
Transaction: Tables: T001CM
Action: For each company code enter every credit control area that can be used Identify Credit Price
Transaction: V/08 Tables: T683S
Action: Towards the end of the pricing procedure, after all pricing and tax determination, create a subtotal line to store the value of the price plus any
sales tax. Make the following entries: Sub to: “A”
Reqt: “2” AltCTy: “4” Automatic Credit Checking
Transaction: OVA8 Tables: T691F
Action: Select each combination of credit control areas, risk categories and document types for which credit checking should be bypassed. You need to
mark the field “no Credit Check” with the valid number for sales documents. Set Up Payment Guarantees
Define Forms of Payment Guarantee Transaction: OVFD
Tables: T691K Action: R/3 is delivered with form “02” defined for payment cards. Other than
the descriptor, the only other entry should be “3” in the column labeled “PymtGuaCat”
Define Payment Guarantee Procedure Transaction: Tables: T691M/T691O
Action: Define a procedure and a description. Forms of Payment Guarantee and make the following entries Sequential
Number “1” Payment Guarantee Form “02”
Routine Number “0” Routine Number can be used to validate payment card presence.
Define Customer Payment Guarantee Flag Transaction:
Tables: T691P Action: Define a flag to be stored in table.
Create Customer Payment Guarantee = “Payment Card Payment Cards (All Customers can use Payment Cards)”.
Define Sales Document Payment Guarantee Flag Transaction:
Tables: T691R Action: Define the flag that will be associated with sales document types that
are relevant for payment cards Assign Sales Document Payment Guarantee Flag
Transaction: Tables: TVAK
Action: Assign the document flag type the sales documents types that are relevant for payment cards.
Determine Payment Guarantee Procedure Transaction: OVFJ
Tables: T691U Action: Combine the Customer flag and the sales document flag to derive the
payment guarantee procedure Payment Card Configuration
Define Card Types Transaction: Tables: TVCIN
Action: Create the different card types plus the routine that validates the card for length and prefix (etc…)
Visa , Mastercard, American Express, and Discover Create the following entries for each payment card
AMEX American Express ZCCARD_CHECK_AMEX Month DC Discover Card ZCCARD_CHECK_DC Month*****
MC Mastercard ZCCARD_CHECK_MC Month VISA Visa ZCCARD_CHECK_VISA Month
The Routines can be created based on the original routines delivered by SAP. *****SAP does not deliver a card check for Discover Card. We created our own
routine. Define Card Categories
Transaction: Tables: TVCTY Action: Define the card category to determine if a
payment card is a credit card or a procurement card. Create the following two entries
Cat Description One Card Additional Data CC Credit Cards No-check No-check
PC Procurement Cards No-check Check Determine Card Categories
Transaction: Tables: TVCTD
Action: For each card category map the account number range to a card category. Multiple ranges are possible for each card category or a masking
technique can be used. Get the card number ranges from user community. Below is just a sample of what I am aware are the different types of cards.
Visa Credit Expires in 7 days. 400000 405500
405505 405549 405555 415927
415929 424603 424606 427532
427534 428799 428900 471699
471700 499999 Visa Procurement Expires in 7 days.
405501 405504 405550 405554
415928 415928 424604 424605
427533 427533 428800 428899
Mastercard Credit Expires in 30 days 500000 540499 540600 554999
557000 599999 Mastercard Procurement Expires in 30 days
540500 540599 555000 556999
American Express Credit Expires in 30 days 340000 349999
370000 379999 Discover Card Credit Expires in 30 days
601100 601199 Set Sales Documents to accept Payment Card Information Transaction:
Tables: TVAK Action: Review the listing of Sales Document types and enter “03” in the column
labeled “PT” for each type which can accept a payment card Configuration for Authorization Request Maintain Authorization Requirements
Transaction: OV9A Tables: TFRM
Action: Define and activate the abap requirement that determines when an authorization is sent. Note that the following tables are available to be used in
the abap requirement (VBAK, VBAP, VBKD, VBUK, and VBUP). Define Checking Group
Transaction: Tables: CCPGA
Action: Define a checking group and enter the description. Then follow the below guidelines for the remaining fields to be
filled. AuthReq Routine 901 is set here.
PreAu If checked R/3 will request an authorization for a .01 and the authorization will be flagged as such. (Insight does not use pre-authorization
check). A horizon This is the days in the future SAP will use to determine the value to
authorize (Insight does not use auth horizon period).
Valid You will get warning message if the payment card is expiring within 30 days of order entry date.
Assign Checking Group to Sales Document Transaction:
Tables: TVAK Action: Assign the checking group to the sales order types relevant for payment
cards Define Authorization Validity Periods
Transaction: Tables: TVCIN
Action: For each card type enter the authorization validity period in days. AMEX American Express 30 DC Discover card 30
MC Master card 30 VISA Visa 7
Configuration for clearing houses Create new General Ledger Accounts
Transaction: FS01 Tables:
Action: Two General Ledger accounts need to be created for each payment card type. One for A/R reconciliation purposes and one for credit card clearing.
Maintain Condition Types Transaction: OV85
Tables: T685 Action: Define a condition type for account determination and assign it to access
sequence “A001” Define account determination procedure Transaction: OV86
Tables: T683 / T683S Action: Define procedure name and select the procedure for control. Enter the
condition type defined in the previous step. Assign account determination procedure
Transaction: Tables:
Action: Determine which billing type we are using for payment card process. Authorization and Settlement Control
Transaction: Tables: TCCAA
Action: Define the general ledger accounts for reconciliation and clearing and assign the function modules for authorization and settlement along with the
proper RFC destinations for each. Enter Merchant ID‟s
Transaction: Tables: TCCM
Action: Create the merchant id‟s that the company uses to process payment cards
Assign merchant id‟s Transaction:
Tables: TCCAA Action: Enter the merchant id‟s with each clearinghouse account
Implement the Product Allocation Functionality
We are required to implement product allocation functionality in SAP R/3 (Enterprise Version).
We tried to do the elaborate steps as per the implementation guide but are not successful. Can you kindly help by giving the simple steps for
implementation. Please see if the following helps:
Configuration Overview; Allocation Specific Usage 1.Allocation Procedure (OV1Z) The product allocation procedure is the parent of the entire allocation process. All materials that are to be included in the
allocation scheme are required to have an allocation procedure assigned to it in the material master. In addition, as of release 4.0, it is in the procedure that
the method of allocation is defined. The user has the opportunity to set an indicator to identify their choice of two different methods (discrete and
cumulative allocation) to evaluate the quantities to be considered for product allocation.
2.Allocation Object (OV2Z) The allocation object is the root level of the allocation process where actual data is entered and planned in LIS. The object
allows the user to further break down a procedure into smaller parts for future validation of components comprising a specific material
3.Allocation Hierarchy Mapping (OV3Z) Primarily, this transaction permits the assignment of an allocation procedure to an LIS information structure.
Secondly, a character is assigned to the information structure to permit collective planning. Finally, the user can assign a step level to the procedure and information structure to sequence the order in which allocation quantities
are checked. This functionality allows the user the opportunity to check product allocation against several product allocation scenarios, before the required
quantity is confirmed 4.Define Consumption Periods (OV5Z) The allocation consumption periods
functionality is only valid if the allocation method flag has been set (OV1Z). If you have de-selected the method field, this functionality is not available. The
consumption window indicates the number of past and future periods to be used in the allocation check.
5.Control Product Allocation (OV4Z) In order for the allocation process to function properly, allocation control records are created primarily to map
allocation procedure steps to their corresponding objects so that the allocation data records can be located for validation. Secondly, validity periods must be
established to indicate when the allocation control records are active. Finally, the user has the option of establishing a conversion factor per allocation control
record to accommodate BOM listings of constrained materials 6.Activate Allocation for Requirement Class (OVZ0) In order to turn on
allocation in the standard order processing functionality, the requirements class must have a flag indicating that allocation is relevant.
7.Activate Allocation for Schedule Line Category (OVZ8) In order to turn on allocation in the standard order processing functionality, the schedule line must
have a flag indicating that allocation is relevant 8.Create Planning Hierarchy (MC61) In order to adequately establish allocation
quantities, the user must initially determine the level at which the allocation is to take place and the aggregation factor of the allocation quantities. In this step, the levels for the collective allocation search procedure are also
identified. 9.Generate Masking Character (OV7Z) Upon completion of the level
determination for the planning hierarchy, the collective allocation masking character must be generated to allow aggregation indicators to be established.
This transaction simply reads the hierarchy established in the planning table and then generates a collective mask character for each level of the hierarchy
10.Modify Planning Hierarchy (MC62) This step is a repeat of MC61 where the initial hierarchy was established. In order to complete the hierarchical set up,
the collective allocation (mask character) hierarchy must now be maintained with the appropriate aggregation factors
11.Allocation Procedure Assignment to Material Master (MM02) At the root level of the allocation process are the materials. Each material that is to be
considered in allocation scenario must be mapped to an allocation procedure. In order entry, then, when a material is entered with a valid allocation procedure in the material master, the allocation data is verified prior to confirming the line
item ordered 12.List of Suitable Structures (OV9Z) This report is used to identify potential LIS
information structures that can be used in the product allocation process. This report simply reads through the data dictionary and selects all the active
information structures that contain the field product allocation object (KONOB) as the first field. This data can then be utilized in the mapping transaction
(OV3Z) to link the allocation procedure step to an information structure (previous step).
Fast Links: Get help for your SAP SD problems
Do you have a SAP SD Question?
Sending a billing document by e-mail First, your SAP system must be configure by the basis people in order for you to send an external mail.
Whether it can send pdf or other file format will depends on the Mail Server you are using.
The basis people must also maintain the conversion parameters so that SAP knows how to convert the billing documents to be send as a pdf file or other
desired format specified by your company. Finally, you have define the IMG in Maintain Output Determination for Billing Documents (Output type MAIL)
SAP Customizing Picking Output
From Release 4.5A, the system does no longer display the actions for SD
picking in the implementation guide. If you want to use the picking list according to the "old" procedure, you can
maintain the list as follows: o Carry out Transaction V/38 to maintain the output types.
o Carry out Transaction OVLT to assign the picking list types to the shipping points.
o Carry out Transaction V/53 to assign the picking lists to own forms and programs.
Program for Sales Order by Customer, Date, Sales
Sales Order by Organisation, Customer - To create the Sales Order by More no of Date's User's can easily take the Report from this by selecting Different kinds like
Customer Specific [And/Or] Sales Organisation Specific [And/Or] duration of date but Here Date is Mandatory Fields user must have to give date as a
selection criteria In Second level this report will interact with user where they can select date to
see the full Details of Sales Order Selection
- Sales Organisation - Date
- Customer this will be usefull when Selecting the Checkbox Standard Variants
- Output - Sales Order
Example Date SalesOrderNo Material Amount Currency
10.01.2007 8530 732 1000 INR
*&---------------------------------------------------------------------*
*& Report ZCHE_SALES_ORDER
*&--------Done by V.Chellavelu on 11.01.2007
--------------------------*
REPORT zche_sales_order .
****************************Declarations********************************
TABLES: vbkd,vepvg.",vbak,vbap,vbpa,vakpa, vapma.
DATA: BEGIN OF sal OCCURS 0,
ch TYPE checkbox,
vbeln LIKE vbak-vbeln, " sales document
netwr LIKE vbak-netwr, "Net Value of the SalesOrder
matnr LIKE vbap-matnr, "material no.
waerk LIKE vbak-waerk, "curr.
dat LIKE vbak-erdat, "date.
END OF sal.
DATA: newsal LIKE sal OCCURS 0 WITH HEADER LINE.
DATA: amount LIKE vbak-netwr, date2(15),date3(8),date4(1),
date5(2),date6(2).
DATA: lin LIKE sy-curow VALUE 1,"Screens, vertical cursor position at
"PAI available in SYST struc.
checkbox TYPE c ,
dat LIKE vbak-erdat.
*******************Selection**Screen**Design****************************
SELECTION-SCREEN BEGIN OF BLOCK blk1 WITH FRAME TITLE text-001.
PARAMETERS: vkorg LIKE vepvg-vkorg,
vtweg LIKE vepvg-vtweg,
spart LIKE vepvg-spart.
SELECT-OPTIONS date FOR vbkd-bstdk DEFAULT sy-datum TO sy-datum
OBLIGATORY.
SELECTION-SCREEN END OF BLOCK blk1.
SELECTION-SCREEN BEGIN OF BLOCK blk2 WITH FRAME TITLE text-002.
SELECTION-SCREEN BEGIN OF LINE.
SELECTION-SCREEN POSITION 10.
PARAMETERS: chk1 AS CHECKBOX.
SELECTION-SCREEN POSITION 20.
PARAMETERS: kunnr1 LIKE vbpa-kunnr.
SELECTION-SCREEN END OF LINE.
SELECTION-SCREEN END OF BLOCK blk2.
********************First**Level**Operation*****************************
IF chk1 <> 'X'.
IF vkorg <> ''.
PERFORM organisation.
ELSE.
PERFORM organisation_else.
ENDIF.
ELSE.
IF vkorg <> ''.
PERFORM cus_orga.
ELSE.
PERFORM cus_orga_else.
ENDIF.
ENDIF.
* Displaying the contents which is selected from table by
* -selection conditions
SORT sal BY dat.
LOOP AT sal.
ON CHANGE OF sal-dat.
* FORMAT HOTSPOT ON.
IF sy-tabix = 1.
WRITE: sy-vline, sal-ch AS CHECKBOX,sal-dat .
CLEAR amount.
ELSE.
WRITE:sy-vline, amount,/ sy-vline, sal-ch AS CHECKBOX,sal-dat.
CLEAR amount.
ENDIF.
ENDON.
amount = amount + sal-netwr.
AT LAST.
WRITE:sy-vline, amount.
ULINE.
SUM.
* FORMAT HOTSPOT OFF.
FORMAT COLOR = 3.
WRITE:/ ' Total Amount:', sal-netwr UNDER amount.
ENDAT.
ENDLOOP.
**********************Interaction with report**************************
SET PF-STATUS 'BANU'. " To create Application ToolBar for Display
Button
* To verify Double click on BANU
AT USER-COMMAND. " This will execute after pressing Display Button
CASE sy-ucomm.
WHEN 'DISP'.
free newsal.
DO.
READ LINE lin FIELD VALUE sal-ch INTO checkbox.
IF sy-subrc NE 0. EXIT. ENDIF.
IF checkbox = 'X'.
PERFORM datecon.
PERFORM process.
ENDIF.
lin = lin + 1.
ENDDO.
PERFORM selection.
ENDCASE.
************************ SUB ROUTINE Area
******************************
*This Process SubRoutine will assign the values from current
* -InternalTable (sal) into other IT(newsal), by date which is
* - selected by CheckBox
FORM process.
LOOP AT sal WHERE dat = dat.
newsal-ch = 'X'.
newsal-vbeln = sal-vbeln.
newsal-netwr = sal-netwr.
newsal-matnr = sal-matnr.
newsal-waerk = sal-waerk.
newsal-dat = sal-dat.
APPEND newsal.
ENDLOOP.
ENDFORM. "process
*&---------This will display the values for selected dates from new --*
*---------------------internal Table (newsal)-------------------------*
*& Form SELECTION
*&--------------------------------------------------------------------*
*---------------------------------------------------------------------*
FORM selection.
ULINE.
FORMAT COLOR = 1.
WRITE:sy-vline,'Date',AT 14 sy-vline, 'Order NO', AT 27 sy-vline,
'Order Material', AT 48 sy-vline,'Order Value(AMT) Currency '.
FORMAT COLOR OFF.
ULINE.
LOOP AT newsal.
ON CHANGE OF newsal-dat.
IF sy-tabix <> 1.
WRITE:/ sy-vline, AT 14 sy-vline,AT 27 sy-vline,AT 48 sy-vline.
WRITE:/ sy-vline,newsal-dat,sy-vline,AT 27 sy-vline,AT 48 sy-vline.
ELSE.
WRITE: sy-vline,newsal-dat,sy-vline,AT 27 sy-vline,AT 48 sy-vline.
ENDIF.
ENDON.
WRITE:/ sy-vline, AT 14 sy-vline,newsal-vbeln,sy-vline,
newsal-matnr, sy-vline, newsal-netwr, newsal-waerk.
AT LAST.
SUM.
ULINE. FORMAT COLOR = 3.
WRITE:/ sy-vline, AT 15 'Total Amount for selected month:',
newsal-netwr UNDER newsal-netwr.
FORMAT COLOR OFF.
ULINE.
ENDAT.
ENDLOOP.
lin = 1.
FREE newsal.
ENDFORM. "SELECTION
* This Date convertion is must for pick the particular Date from the
* -displayed line, and here we are reversing the Date like
YYYY/MM/DD
* -because to Check or assign the date we need to give in reverse
order
*&--------------------------------------------------------------------*
*& Form DATECON
*&--------------------------------------------------------------------*
* text
*---------------------------------------------------------------------*
FORM datecon.
date2 = sy-lisel(17).
SHIFT date2 LEFT BY 4 PLACES.
WHILE date2 <> ''.
SHIFT date2 RIGHT.
date4 = date2+11.
IF date4 <> '.'.
CONCATENATE date4 date3 INTO date3.
ENDIF.
ENDWHILE.
date5 = date3(2).
date6 = date3+2.
date3 = date3+4.
CONCATENATE date3 date6 date5 INTO date3.
dat = date3.
* SORT dat BY dat.
* DELETE ADJACENT DUPLICATES FROM dat COMPARING dat.
ENDFORM. "DATECON
* Here we are doing different kinds of selections by the EndUser's
needs
*&---------When user selectiong an Sales Organisation-----------------*
*& Form ORGANISATION
*&--------------------------------------------------------------------*
* text
*---------------------------------------------------------------------*
FORM organisation.
SELECT f~vbeln p~matnr c~netwr c~waerk p~audat INTO (sal-vbeln,
sal-matnr, sal-netwr,sal-waerk, sal-dat) FROM ( vakpa AS f INNER JOIN
vbak AS c ON f~vbeln = c~vbeln ) INNER JOIN vapma AS p ON
f~vbeln = p~vbeln WHERE p~audat IN date AND p~vkorg = vkorg.
APPEND sal.
ENDSELECT.
ENDFORM. "ORGANISATION
*&---------Without Sales Organisation i.e All Organisation------------*
*& Form ORGANISATION_ELSE
*&--------------------------------------------------------------------*
* text
*---------------------------------------------------------------------*
FORM organisation_else.
SELECT f~vbeln p~matnr c~netwr c~waerk p~audat INTO (sal-vbeln,
sal-matnr, sal-netwr,sal-waerk, sal-dat) FROM ( vakpa AS f INNER JOIN
vbak AS c ON f~vbeln = c~vbeln ) INNER JOIN vapma AS p ON
f~vbeln = p~vbeln WHERE p~audat IN date.
APPEND sal.
ENDSELECT.
ENDFORM. "ORGANISATION_ELSE
*&------------When Selecting Customer by choosing CheckBox------------*
*& Form CUS_ORGA
*&--------------------------------------------------------------------*
* text
*---------------------------------------------------------------------*
FORM cus_orga.
SELECT f~vbeln p~matnr c~netwr c~waerk p~audat INTO (sal-vbeln,
sal-matnr, sal-netwr,sal-waerk, sal-dat) FROM ( vakpa AS f INNER JOIN
vbak AS c ON f~vbeln = c~vbeln ) INNER JOIN vapma AS p ON
f~vbeln = p~vbeln WHERE p~audat IN date AND p~vkorg = vkorg AND
p~kunnr = kunnr1.
APPEND sal.
ENDSELECT.
ENDFORM. "CUS_ORGA
*&------------Without Customer by without choosing CheckBox-----------*
*& Form CUS_ORGA_ELSE
*&--------------------------------------------------------------------*
* text
*---------------------------------------------------------------------*
FORM cus_orga_else.
SELECT f~vbeln p~matnr c~netwr c~waerk p~audat INTO (sal-vbeln,
sal-matnr, sal-netwr,sal-waerk, sal-dat) FROM ( vakpa AS f INNER JOIN
vbak AS c ON f~vbeln = c~vbeln ) INNER JOIN vapma AS p ON
f~vbeln = p~vbeln WHERE p~audat IN date AND p~kunnr = kunnr1.
APPEND sal.
ENDSELECT.
By Chellavelu .V - [email protected]
Duplicate customer purchase order
If you are facing a problem with duplicate customer purchase order as your company does not allowed a same customer purchase order with the same sales
order type. You can activated the check for duplicate purchase order with "VOV8".
In the General Control Section, look for the field Check Purchase Order No and put in "A".
Best regards,
Default First Date is not Today
When end user created a new sales order with VA01, default First Date wasn't today, why?
Note: 1. Before today, default First Date was always today.
2. Nobody change system configuration. Although you mention that nobody change the system configuration, it is very
unlikely that the system will mis-behaved after one day. Usually, after checking, you will find that someone have actually change the
configuration as it could not be a software bug since you have been using it for
quite sometime without any problems. The date is control by each Sales Order Type for each Sales Document type
whether is it a - OR - Standard Order,
- RE - Returns etc. Verify the Sales order type configuration with the following path:
IMG: Sales and Distribution --> Sales --> Sales Docs --> Sales Doc Hdr --> Define Sales Doc Types (transaction vov8) will let you control this by sales
document type. There is one field (Lead time in days) which "specify the number of days after
the current date that the proposal for the requested delivery date in the sales document should be".
This should be blank if you want the system to propose current day for delivery date.
Auto proposed all the dates when creating Sales Order
How can I make the system auto create all the Sales Order date during
creation? Each Sales Order can have different date proposal settings.
Follows this step to set the default Sales Order Type proposal date: - Goto VOV8, double click on sales order type.
- Look and tick the fields Propose delivery date and Propose PO date. After making the necessary IMG changes, you need to input the Delivery Plant field for each Materials that you want the system to propose the default date.
To change the Materials field Delivery Plant: Goto MM02, Select the View Sales: Sales Org. Data 1 and fill in the Delivery
Plant. Testing:
Now, try creating a new sales order for the material and SAP will auto proposed all the dates in the sales order.
Define whether the Material can be used at which Sales and Distribution process
Here you define how the system responds when entering a sales and
distribution document with this material in the differenet Sales and Distribution Process Flow..
You can use the material status, for example, to prevent orders from being entered for
parts to be discontinued. OR To temporary block the creation of Sales Order for a certain materials.
Set the material status parameters in transaction SM30, Table
Views V_TVMS. Click Maintain and double click into the Materials Status code.
You can set three types of reponse for each Sales and Distribution process :- 1. no dialog
2. warning when entering the document 3. error message (that is, the sales and distribution document cannot be
entered on the basis of the material status)
Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff
Assign a Cost Center manually in a Sales Order (VBAK-
KOSTL)
The Cost Center Determination settings is in OVF3 - but there are some cases where
the Cost Center must be exceptionally changed.
If the document category for order type in IMG VOV8 is defined to be "I" which belong to
order type FD - Deliv.Free of Charge, then the field cost center is active for input during
transaction VA01.
Alternatively, you can specify an order reason and assign a cost center to an order reason.
However the standard SAP works only at the header level though, so it would not work if cost
center is needed on the line item.
The cost center are assign for such business transactions as :
- Free deliveries
- Returns
- Deliveries of advertising materials
You can also make cost center allocation dependent on the order reason, for example:
Order reason: Damage in transit
Order reason: Free sample
Both the IMG settings are done in transaction OVF3, either with/without the order reason.
Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff
http://www.sap-img.com
Sales and Distribution - Transfer of
Requirements
The MRP department is informed about the quantities and deadlines by which
incoming orders
should be delivered. The system checks the availability of the goods based on
the requested
delivery date of the customer and creates MRP records which contain all
necessary information
for passing on to planning. It ensures that the goods are available in time
for the delivery.
Materials planning transfers the reported requirements and creates orders or
purchase
requisitions from them etc.
For controlling transfer of requirements, you have to carry out the following
steps:
1. Each requirement type has to be allocated to one requirement class only.
2. The transfer of requirements must be switched on at requirements class
level, the sales
documents at schedule line level.
3. You must define a check group. It is possible to have this check group
proposed for the
initial creation of a material master record.
4. Note that a plant must exist for transfer of requirements to be carried
out at document
item level.
OVZG - Requirement class
It specifies the following points:
- whether an availability check and a transfer of requirements is carried out
for a
transaction (for sales documents, fine tuning using the schedule line
category is possible),
- whether the requirements are relevant for MRP,
- the allocation indicator from the sales view which controls the settlement
of customer
requirements with requirements
- whether an item is to be settled to an auxiliary account assignment,
- the settlement profile,
- the results analysis key.
(Use transaction SM30 for V_* configuration)
OVZH - Requirements type
V_TVEPZ_V - Assignment of requirement type to Transaction
V_TVEP_V - Schedule line category
OVZ2 - Define Checking Group
V_TMVFU - Define the checking group that the system proposes when you
create a new material
master record. You can overwrite the default value for the
checking group in the
material master record.
Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff http://www.sap-img.com
Define Tax Determination Rules
You specify the valid tax types in transaction OVK1. More than one tax type can be defined for a country by defining the sequence.
The SAP System determines the taxes automatically within pricing. In the standard SAP R/3 System, the elements of tax calculation are predefined
(for example, tax condition type "MWST" for taxes on sales and purchases). Assign the plant for Tax Determination in OX10, using the country key, the SAP
System recognizes which tax type is valid for a plant and thus which taxes are relevant when creating an SD document.
Define the Customer Taxes in OVK3, you will maintain the tax code in Customer Master.
Define the Material Taxes in OVK4, which will then be maintain in Material Master.
For example :- MWST GST 0 Tax Exempt
MWST GST 1 Liable for Taxes Now, you define the Tax Determination in VK12.
VK12 - Domestic Taxes/Export Taxes Condition Type MWST
Customer Taxes Material Taxes Rate Taxes 0 0 0 %
0 1 0 % 1 0 0 %
1 1 9 % In this example, if both the Customer Master and Material Master Tax code is 1, Tax will be included when you create the Sales Order.
Tax Code in Customer Master / Sales Order
How can we maintain the Tax Code (Tax code - which we maintain in MWST Condtion Records) in Customer Master or in Sales Order?
There are few points which I would like to remind you: 1) MWST is a tax condition which is applied to customer to whom we are selling.
The rate of tax is depend on various parameteres, whether is fully liable for tax or expemted (in case of Defence Customer) 2) There are few parameteres which we apply tax condition. Whether customer
is tax liable? Whether material is tax exempted? For example, if you are selling a goods which are free for tax to any customer,
put the Tax Indicator (at MMR as '0'). If your material is tax liable pur the Tax Indicator (at MMR as 1). If your customer is
not liable for tax at all (like the case of Indian Defence organisations) put the Tax Indicator (at CMR as 0) or 1 in case fully tax
liable. 3) Now, at VK11 you need to mainatain your pricning conditions with all the
combinations like: 1 0
1 1 0 1
0 0 4) While maintaining your Material Master Records or Cusotmer Master Records, you must identify, which are tax liable and which are tax exempeted.
5) In anycase, as a SAP standard Best Practises, while processing a sales order, you must retrieve a Tax condition record from SAP database only and not
entered Manually. Accordingly, at V/06, the MWST condition Defintions, the field for 'Manual Entries', it would be marked as - D (Not possible to process
Manually). Due to this setting, normally, you cannot maintain Condition tax code during
sales order processing. And in Cusotmer Master, you can only maintain Tax Indicator and not Tax Code.
6) In case your client insists for Manual entry of Tax code during Sales Order processing, you can change the field at point 5) above to C-Manual entry is
priority instead of D.
Taxation Explain with an example
I'm assuming that, the country is India and based on its requirement: Sales tax is a state government revenue. There are two types of sales taxes,
Local sales tax & central sales tax. Local sales tax is intra state whereas CST is inter state. Example of LST : Point of sale i.e. delivering plant & ship to party are within the
same state. The rates are defined by the respective state governments. Example of CST : The Delivering plant & Ship to party geographic locations are
2 different states. At the point of sales from one state, the ST goes to that state govt. & consignment is despatched to the Ship to party. Once that consignment
is received at the ship to party state, sales tax will be levied once the sales is registered there. For this case, the LST that is applicable by the Ship to party
further will not be applicable in all probability to be captured in SAP. Stock transfer : This does not attract any sales tax. The consignment is
transferred from one D plant to another D plant irrespective of inter/intra state sales. The invoice that is accompanied with the consignment thus shall not have
any final value. It's a zero value invoice, but the basic prices needed to be mentioned.
The selling organisations normally needs to register with the sales tax authority of the respective state to have a warehouse or D plant to avoid the double
taxation for their dealers/distributors. Now, the pricing procedure that is there in 4.7 is Factory sale with formula-JFACT, in which the CST condition type is JIN1 & the LST is probably JIN2.
There may be surcharge cond types as well which will calculate the amount on either JIN1 or JIN2.
For config : 1.SPRO > S&D > Basic fn. > Pricing > Pricing control > Define & assign Pric.
procedure > Maintain Pric proc. 2. The tax rates are normally driven from the Tax classification of Customer &
Material access. To do this config, S&D >Basic fn. > Taxes. You need to include the condition type for country IN in 'Define tax determin rule'.
3. Same path : But go to Tax relevancy of master records where you configure the condition type & options of rates that will flow to these masters. One needs
to understand here properly as u need to have unique combinations for picking the sales tax rates. I will try to demonstrate the smallest example. Let's say,
the LST rates are 2%,4% & 0%. I will have two options for material master here. 1 for taxable & 2 for not taxable. For customer master, I will have 1-LST 2%, 2-LST4% & 3-LST0%. When I
create master records for LST thru VK11 for JIN2, I will chose the access where the combinations of customer & material tax classifications are available. If this
access does not exist create it under an access sequence. But normally this is standard. The condition records will look like,
Cust-Tax classi. Material tax claasi. Rate Tax code 1 1 2% A1
2 1 4% A1 3 1 0% A1
Remember, rates are flown from the tax codes. Tax codes can be created thru T code FTXP. This is normally a FI job.
SAP SD Tips by: Soumya
Return material From customer You need to receipt the rejected goods through SD Module (VA01 - Sales Order
type RE). The steps are as follows :
1. Create a return request. (Using Sales Order in SD) 2. Create outbound delivery according to return request.
3. If the setting is correct in the outbound delivery screen SAP will automatically switch post goods issue button into post goods receipt. The setting is in sales
order item category and delivery type. 4. In the standard system the movement type used is 651.
5. After post goods issues receipt is done using outbound delivery, the quantity is placed in blocked stock without value updating.
6. You will then decide if the return quantity are indeed bad stock or not. 7. Transfer Posting from block stock to unrestricted stock (mvt type 453), this
will have accounting effect (Debit Inventory, Credit COGS) 8. Goods Issue to scrap account how to create new titles which can be used in
creating the "address" view on the Vendor master.{T-Code: XK01} In config go to Basis Components --> basis services --> Address Management --> Maintain title texts
Do you have a SAP SD Question? Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff
SAP SD: Scheduling Agreement Vs Contract A schedule agreement contains details of a delivery schedule but a contract just contains quantity and price information and no details of specific delivery dates
What's the difference between schedulling agreement with normal order?
What's the condition for us to choose schedule line or order? Both of them contains schedule line, price, quantity.
There are a couple major differences: (1) - Schedule agreements allow you to have 2 different sets of schedule lines
(VBEP-ABART). Standard SAP you should have two sets of tabs - of schedule lines. One Forecast & the other JIT. Forecast forwards the schedule lines to
planning (seen in MD04) and JIT passes them to shipping (VL10). They can be identical or different. Typically these are used for component supplier customers
(namely Automotive). The customer will provide you 4-10 weekly buckets (usually a
Monday date) of future forecast qtys. Also send you 1-2 weeks of individual FIRM ship dates - which are entered on the JIT. It comes down to the customer
not knowing exactly what they need next week, but they don't want to suprise you with a large order qty, where your lead times are 5+ days. The forecasted
qtys they sent last week should account for this. (2) Cumulative Quantities are tracked and influence how the schedule
agreement passes requirements to both forecasting and shipping. These qtys are sometimes requested by the customer on ASNs. Cumulative qtys reset at
year end unless you've got a customer calendar or you've modified standard SAP userexits to not reset.
Schedule agreements are very nice when the customer sends EDI data (830s = forecast or 862s = JITs). Outside of that they can really cause trouble regarding daily maintenance, missing requirements, cum qty corrections, year end
processing, etc. One alternative would be to use customer independent requirements - entering
the weekly, monthly forecasting qtys and entering standard sales orders (with or without multiple schedule lines) to represent the true firm qtys.
Do you have a SAP SD Question? Best regards,
SAP Basis, ABAP Programming and Other IMG Stuff
Sales BOM Implementation A bill of material (BOM) describes the different components that together create a product. A BOM for a bicycle, for example, consists of all the parts that make up the bicycle: the frame, the saddle, wheels, and so on.
Process Flow When you enter the material number of a bill of materials that is relevant for
sales order processing, the system displays the material that describes the whole bill of materials as a main item. The individual components are displayed
as lower-level items. There are two ways to process a bill of materials in Sales. Once you have
entered a bill of material in a sales order, the system runs pricing, inventory control, and delivery processing at:
- Main item level if the material is assembled, or - Component level if the material is not assembled
The type of processing used by the system is determined by the item category group that you enter in the material master record for relevant materials.
Processing at Main Item Level If you want the system to carry out pricing, inventory control, and delivery
processing at main item level, enter ERLA in the Item category group field of theSales: sales org. 2 screen in the material master record of the
finished product. This means that the components only function as text items and are not relevant for delivery. The following graphic shows how a bill of
material is processed at main item level.
Processing at Component Level If you want the system to carry out pricing, inventory control, and delivery
processing at the component level, enter LUMF in the Item category group fieldof the Sales: sales org. 2 screen in the material master record of the
finished product. In this case, only the components are relevant for delivery. During processing the system automatically creates a delivery group. The latest
delivery date among all the components becomes the delivery date for the entire delivery group.
Fast Links:
How to Know that Sales BOM is working or not?
I have set up a sales BOM. How do I know or test that is is working or not?
Once you enter a material (for whch you have created a BOM thru CS01) in the sales doc another material pops under the main material line item as a sub-item
(s). If it doesn't then your BOM isn't working. In my experience BOMs work if all maintenance has been done properly. A number of things to check is:
1. The bom hasn't been defined for the plant used, or you haven't defined the plant in SO.
2. Main item category - has BOM application SD01 been assigned to it? 3. Item categories for main items and sub-items have not been mainteined
properly. 4. Sales items maintenance - You should assign item categories for BOM header
items and sub-items to a specific sales doc. 5. Has the BOM itself been configured properly (i.e. right plant, BOM usage
'5')? 6. Are you trying it out on an order created after all BOM maintenance was
done? 7. Also , what's the 'Structure scope' set as? Anything except C may be useful
here? We have that set to A, since our BOMs are all single-level. You could set it to B if BOM are configured multi-level. Those are probably main reasons why BOM shouldn't work. Apart from that, just
re-check your whole config - the truth is out there somwhere. Fast Links:
Implementing the Sales BOM
Sales Order Mass Change
I am a SAP SD consultant and recently faced with two new terms, mass order change and ALV , I also need to know about the transaction
code. There is transaction MASS which can be used to carry out mass changes in the
sales order and other objects. Mass Maintenance: (Use to change multiple fields in multiple documents at the
same time). I have done mass change for customers; and orders should work the same way too.
1) Try t-code [MASS] and select sales orders & execute 2) Choose the table or tables for your selection criteria and also for fields you
want to change. Then execute. (suppose your selection criteria fields are from "sales order
header data" table and the field you want to change, is in "item data" table) 3) Put in the sales documents(21000000, 21000001) you want to change and
also the items(10) you want to change. - click on " choose selection fields" button
- From the Pool, move the fields you want to the "select fields" using arrows. 4)From mass maintenace menu, click on "Enter new field values" -click on "sales order item data" tab and choose the field you want to change.
(for example. I want to change plant for item 10) -enter the new value (of the plant to be)
-click on "Adopt" and execute 5)In "sales order item data" tab, you see the new value of the plant you entered
at the top and the old values of item 10 are below. -click on "change field values" button. you see all the old values are changed to
new values. -save
Note: it will take some time depending on how many records you have. Check: Go to [SM37] and see the status of the job you are running and once
finished, export the spool file to a spreadsheet. Before you do mass maintenance, go to the particular table in [se16] and get
the results. Then do the mass maintenance and compare the results with this one. If they match, then you are good to go. Note: If you have any user exits that affect the results, ask them to deactivate
the MODCHECKS still you are done with mass maintenance & activate them again.
Is there a way to change the billing date on a ton of sales orders with same old billing date to a same new billing date?
This can be done using the mass transaction: Transaction: MASS
Object Type: BUS2032 Tables: SD Document: Business item data
Sel Field: Billing Date (MASSSDHE and MASSSDPO) - Or you can just select by document numbers (May be more efficient)
Execute - List will be provide for changes Sel Chg Fld: Billing Date
Set new billing date value in the New Values field Click on lower billing date column
Click on Carry out a Mass Change button Click on Save button
Suggestion is to test this on a few orders in your development system to get a feel on how this works before applying this to any production data. MASS is a
very powerful tool. I have 100000 sales orders whith an incorrect price and I would like to
do a massive condition update with pricing type "B" (Carry out new pricing). Is there a transaction or program for this?
Go to VA05 execute the report. Select all sales orders you want to update the price, Go to the Menu EDIT --> MASS Change ---> New Pricing. System will
display all the re-pricing options. Select B. It will re-price all the sales orders. You can try for one or two order initially check the results and if it is OK, then
you can do for others.
Release strategy for Sales order
Is it possible to have release strategy for sales order?
Satish C Jha As such SAP standard does not provide release strategy for sales orders similar
to purchase orders. However this requirement of your can be satisfied through authorisation profiles; what I mean to say is that the sale order to be kept
incomplete by the person who does not have the required authorisation & the person with proper authorisation will complete
it for further processing. This is only one way of meeting your requirement. Balraj G Saigal
In order to emulate a release strategy similar to purchase orders you can use the status profile in sales documents (BS02). IMG-Sales and distribution-Sales-
Sales documents-Define and assign status profile. Arturo Fast Links:
How to do rebate processing
Rebates Processs in SAP is divided into three components
1) Configuring Rebates 2) Setting Up Rebates
3) Managing rebate agreeeements and payments Pre-requsiistes- Check the following:
1.The payer partner needs toi have the rebate field checked in the customer master on the sales area-billing doc tab. 2.The Billing type must be marked as relevant for rebates.
3.The Sales Organisation must be marked as relevant for rebates. Condition Technique :
Rebates, use the condition technique, but distinguish themselves from pricing in applying to transactions over time, versus on a transaction basis. Rebates have
their wn field catalog and their own condition table naming convention.So you could have two condition table "001" one for pricing and one for rebates, which
could have different key fields. You need to use the technical names A001 For pricing and KOTe001 for rebates when you use the query type using transaction
SE 16.. Use create access sequence (AS). Enter 1 in field category for rebate specific.
AS after going thru the right path of maintaining access sequence for rebates. The big difference between the rebate and the pricing access sequence is that
there is no exclsuion flag available for rebate related AS. This means multiple tables for an access sequence can be aplied at the same time.
Rebate related condition types are identified by codnition class -C. After defining and creating condition types for rebated include them in the
pricing proceedure. The requirement should be 24 here which implies that the accruals are calculated on the basis of invoice/bill.
The other fields- alctyp and altcbv does not allow you to manipulate how a rebate is calculated. Also, remove the requiremnt 24, if u want to see reabtes at
order time. Now payment of rebates:
Payments can be maunal or in full settlement. When you do manual payments, it defines how much can be paid out during a partial settlemetn. You use partial settlement only when rebate agreement is defined for a full year but the
paoyouts are supposed to happen on a monthly, quarterly or anyother specified period.
These accurals are based on sales volume and when they are posted billing is created int eh follwoing manner. Provision for accruals is debited and Sales
revenue is credited. When rebate credit memo is created Customer account/ is debited and
Accrual provision account is credited. Also, please note that when rebates are created without dependent ona material
but on customer/material you need to refer to a material for settlement. With Compliment: Srini
I have this same problem found in: http://www.sap-img.com/sap-sd/rebate-process-with-ref-to-so.htm
However, can somebody explain it as I have problem in understanding the link. What exactly do you wish to know in Rebates? The total outline of the Rebate
process or each and every step in the SAP system? First of all rebates are more or less discounts which are offered to customers.
The rebates are based on the volume of the business the customer does with you within a specified time. for eg if the customer agrees for Rs.1 Crore worth
of business with u in 1 year, then you activate your rebate porocess. if at the end of the year the customer DOES achieve the target u offer him say 2/3/4 %
whatever is decided. The rebates are passed on to the customer in the form of Credit notes.
The rebate can be given to the customer at one time or in installments also. This is broadly the outline of the rebate process.
R.Sreeram Note : I recomend you to study the theory part of why rebate and why not a
discount. This will help you understand better.
May be I can help you with rebate process.(IN -IMG) 1. define a rebate agreement type
2. define a condition type group 3. define a condition type and place this condition
Type in the pricing procedure.(REQUIREMENT=24) ALSO IN THE PROCEDURE- ACCRUAL KEY = ERU
YOU ALSO HAVE TO DO THE ACCOUNT DETERMINATION FOR REBATES. Once you have defined all the 3 and assignment starts.
Assign the agreement type to the condition type group Assign the cond type group to the condition type.
Condition technique is also used in rebates. REBATE ACTIVATION- IN CUSTOMER MASTER, SALES ORGANISATION AND FOR
THE BILLING DOCUMENT. After having done this please proceed to maintain the condition record for the
rebates (transaction code-vbo1) Note: if you maintain the requirement coloumn with the requirement as 24 - the rebate will be affected in the billing document and if you dont give the
requirement as 24 your rebate will be affected in the sales order. The rebate process is completed when you have created a credit memo to the
customer. The document type for the partial settlement is R3.
Please make sure you open two screens SO THAT YOU CAN COMPARE THE NEW ENTRIES WHAT EVER YOU'RE DEFINING WITH THAT OF THE STANDARDS or
first you try with the standard condition type boo1, boo2 boo3 boo4.
AFTER YOU HAVE FINISHED A COMPLETE SALES CYCLE OF CREATION ORDER , DELIVERY AND BILLING.
GO TO THE CONDITION RECORD IN CHANGE MODE (VB02) AND SETTLE THE ACCOUNT PARTIALLY.
I hope this will be of any help to you. Praveen In a simple way,
1. First you need to create a Rebate agreement. 2. Create condition record for rebate giving the rebate rate and accrual rate.
3. when the rebate relevent billing doc is generated, the rebate and accruals are determined and posted in a seperate GL account as a noted item - amount to be
settled. Also it gets copied in the rebate agreement. 4. create settlement run using credit memo request and then credit memo to
settle this amount with the customer. This is what the link says.
Rebate Process with Ref. to SO
If I need to make a rebate for a customer what is the process involved. I am providing some info on rebates which I know.
Rebate agreemnts is based on agreement types.Conditon records which are created like B001 and B002 are linked to the rebate agreeements specifying the
rebate rate + the accrual rates.condition records specify the rebate rate and the accrual rates.
Consider an example.. You decided to give a rebate of 3% to a customer whose sales vol is $1000 for a
particular SO Then the rebate value is $30..
Now when you make the rebate settlement by doiing the Credit memo and you decide to pay $27, then the accounting will be generated saying 27$ paid
towards rebate and 3$ is the accrual which you owe to the customer Procedure:
Rebate agreement: Transaction code: VB01 When you go to VB01, choose agreement type 0002 and then in conditions
give Material rebate
1 20 20 30 Now create a sales order with a material say M-11 for SOrg 1000 12 00 with
QTY 6 Now check VB03 and see rebate agreemtent it will say Accruals 120 and
payments 0 since your rebate is not settled still.
Rebate setllement Go to VB02 enter ur sales deal no, and change the agreemetn status to B then
enter Shift+F12 and enter the amount to be paid for example u say $80 Then check in rebate payments rebate doc and partial setllemetn since you
have not paid in full. View the credit memo request
Remove the Billing bloock Go to VA01 and put order type G2 ,,,go to create with ref and enter ur Sales order no,,,save the doc now...
Then go to VF01 and enter the credit memo reqst no generated...save the doc no and go to VF02 and say release to accounting Now the final settlement will be this way
Accruals:120 Accrual reversed:80
Rebate pay:80 Amount payable:40
So the balance 40 is still the accrual This is an example how a rebate will be processed with ref to a SO with an
example. SAP SD Tips by: Priyam
How to do a rebate agreement for a specific customers with settings details?
1. Create a condition by copying a a standard condition like BO03 in V/06
2. Assign this condition in the std pricing procedure with acct key as ERB and accural key as ERU - V/08
3.Create a Rebate Agreement in VBO1 (It is O = Owl and not zero). No will be generated
choose 003 - Customer rebates, enter the customer code, the validity and check for the status shld be in Open, click on the conditions enter the percentage and
accrual amount. You also can have scales in this. Also you need to maintain the material for the settlement
4. Create a sales order for that customer and check the rebate agreement. 5. You can see the rebate condition in the invoice only.
6. Once you have posted the invoices, then go to rebate agrrement no. clicl on verficayion and it will show the order details.
7. For settlement change the status of the rebate to B - release for the settlement.
8. Credit memo request will b generated copy the no. and go to VA02, remove the blocks if any and create an invoice (credit memo).this will show u the
accrual amount. 9. In both the invoice and the credit memo check the posting - accounting document it will show u the accrual as negative.
10. Again go to rebate aggreement and check the status it will show you D - Final settlement of agreement already carried out
Consignment Sales Process in SAP
The consignment process in SAP standard consist of four small
processes: Consignment fillup (send materials to customer consignment).
Here you have a consignment fillup order and a consignment fillup delivery. Consignment issue (issue materials from customer consignment to the
customer). Here you have a consignment issue order, consignment issue delivery and a consignment issue invoice. (the flow is very similar to a normal OR flow, but the
materials are issued from the consignment stock instead of plant stock unrestricted).
Consignment return (return materials from customer ownership to customer consignment).
Here you have a consignment return order, consignment return delivery and a consignment return invoice. (the flow is very similar to a normal RE flow, but
the materials are returned to the consignment stock instead of plant stock returns).
Consignment pickup (pickup consignment stock and move it to plant stock). Here you have a consignment pickup order and a consignment pickup delivery.
Note that in consignment fillup and consignment pickup there are no invoices since there is no change of ownership for the materials.
How to perform a consignment order? In consignment orders you are allowing the stock to sit in your customer
location. Once he informs that he used the stock you will invoice him. If he returns the stock you will accept the stock to take it back.
It is defined in 4 steps. 1. Consignment fill up:
Sales document type is KB Item category KBN
shedule line category E1 In this step, you are not invoicing the customer. document flow is sales order --
-- delivery item category. It will not be relevent for billing and pricing because you are not charging money for these goods in this step.
In schedule line category, you will set movement type 631 & set for availability check and TOR.
2. Consignment Issue. Once the customer informed you that he used all the goods or partial goods
then you will create consignment issue for used goods. Sales document: KE
Item category: KEN shedule line category: C0 or C1 Here you are invoicing the customer(because he used the goods). you are
assigning the delivery documnt and billing document to the sales document. In item category, you are setting relevent for billing, pricing, special stock.
In schedule line category, your setting is 633 movement type, relevent for availability check & TOR.
3. Consignment Return: Customer found that some goods are damaged or he not able to sold the goods
he want to send it back. that you are creating this document. Sales document type: KR
Item category: KRN Shedule line category: D0
You will assign delivery document and billing to sales document. you will create return order, return delivery, return billing.
Your setting item category relevent for billing, returns, pricing, special stock. Your setting schedule line item category: 634 movement type, NO availability NO TOR.
4. Consignment Pick up: Even if you create the consignment return the goods are not come to direct to
your plant. For that you need to create consignment pick up. here the owner ship is not changing so you do not need to create billing.
Assign retrun delivery to sales document type. Sales document: KA
Item category: KAN schedule line category: F0 & F1
Your setting item category relevent for returns. any shedule line category relevent for 632 movement type, MRP, availability check, delivery.
Now you check your plant stock. Stock will increase. *-- Ugameswara Rao
Issue free goods to selected Customers
Client wants to issue free goods to selected customers after the said
customer buys a specified quantity of a good during the festive season starting 02 December to mid January. for example customer A buys 34
cartons of Corn Ice-cream, we offer him 12 free corns. this should then reflect as cost in our accounts. the rest of the system is already up and
running and should not be inconvinienced. How do I set it up?
1.Run trans. VBN2 to first create master record for free goods as follows: Enter following information in selection screen:
- Free goods type: NA00 - Sales org, distribution channel, customer # and execute. Now in next screen create the record as follows:
- First select the exclusive button and verify that you are in exclusive view. (that is if you want exclusive)
- Material#, Min qty - Say 34 cartons. (check in what units you want to manage)
From: 34 cartons unit of measure:
Free goods: 12 Pcs Unit of measure: Pcs
Calcualtion type: 1 or try the other options Deliver control: Blank or any of the other options suitable to you.
Now save and exit. Now run VA01 for 34 cartons and press enter. The system will automatically
propose the free goods item at no additional charge. Try higher order qtys and see if the free goods qty
are scaling up. If not adjust the calculation parameters in the master record screen It should be transaction VBN1. Sorry for the error.
VBN2 is to change the record. VBN1 creates it. Kris J
If you want to give free goods to some of the customers than
1. create a customer group say 99 for FREE GOODS In Free Goods Menu:
2. add a feild catalog for CUSTOMER GROUP 3. create a condition table (free goods) say 555 only for customer group
4. create a sequence say FREE with condition table 555 5. create a condition type say FREE with
6. maintain pricing procedure say ZFREE with condition type FREE Now assign:
7. Active Free goods Determination or Assign with your sales organisation this procedure ZFREE 8. Create free goods determination with transaction code /nvbn1 for FREE with
Key Csuomer Group 99 for exclusive
Give customer Group say 99 and from 34 to 34 free 12 Sandeep budhraja
Supressing Fields in Sale Order
To make optional / mandatory you can use in IMG - S&D-> Basic > Functions->
Log of incomplete Procedures => select the fields > from the tables and the system will check for them (OVA2/VUA2)
To make a filed entry enabled or grey (non-entry allowed): User exits in the program MV45AFZZ-USEREXIT_FIELD_MODIFICATION This user exit can be used to modify the attributes of the screen fields.
To do this, the screen fields are allocated to so-called modification groups 1 - 4 and can be edited together during a modification in ABAP.
If a field has no field name, it cannot be allocated to a group. The usage of the field groups (modification group 1-4) is as follows:
Modification group 1: Automatic modification with transaction MFAW Modification group 2: It contains 'LOO' for step loop fields
Modification group 3: For modifications which depend on check tables or on other fixed information
Modification group 4: is not used The FORM routine is called up for every field of a screen. If you require changes
to be made, you must make them in this user exit. This FORM routine is called up by the module FELDAUSWAHL.
With Compliments by: Taner Yuksel Actually suppressing fielding sales orders userwise is quite easy. We are doing it
in our company. For this we use userexit FORM USEREXIT_FIELD_MODIFICATION in MV45AFZZ. Below is the sample code
IF SCREEN-NAME = 'VBKD-ABSSC'. AUTHORITY-CHECK OBJECT 'ZMV45AFZZ' ID 'SCRFNAME' FIELD SCREEN-
NAME. IF sy-subrc = 0.
SCREEN-INPUT = 1. else.
SCREEN-INPUT = 0. ENDIF.
endif. You place the authority check object in authorization profile in the role of the
users, who should have access to the field (in this case it is VBKD-ABSSC), and there assign the corresponding fields that are to be accessed via this userexit.
With Compliments by: Martishev Sabir
Some Light on Batch Determination
On batch determination, the whole process, how it is determined automatically in the order.
A1) Normaly we use batch determination at delivery level, because at the time of order material may or may not be created.for this material should be
configured with batch and batch determination should be checked in sales views of material.
A2) Batch Determination during order Creation. For this you need to maintain a Classes d for you Material. Depending on the
Manufacturing process you can define the characteristics for your material. Ex: Purity for Medicines, Resistance for Electric Items.
You need to create a class (You might have to create a new class type) which incorporates the characteristic.
First Create the Characteristic Using Ct04 and then using Cl02 create the Class including this characteristic.
Then in your material master Classification View Enter this class. Then Create a Batch for the particular plant and Stor Loc using MSC1N.Give the
value of the characteristics in this batch. Then go to SPRO ->Logistics General ->Batch Management and maintain the Condition Technique (Procedure, Strategy Types and assignment to sales docs
etc). Then Create the Batch Determination Record using VCH1.
SAP Tips by: Shaik Zaheeruddin Fast Links:
Get help for your SAP SD problems
Difference between Item Proposal and
Material Determination
What is the difference between the item proposal and material determination product proposal?
Item proposal and product proposal are the same. Item proposal is the list of materials and order quantities that can be copied
into the sales order from the customer master data. We use VA51 to create the item proposal. Here we get a number.This number is
then linked to the customer master data in the sales view. This is very commonly used.
Material determination is very closely related to item proposal /product
proposal and is used to swap one material for another in the sales order using the condition technique. I have not seen Material determination procedures used in the projects I have worked.
SAP Tips by: Prashanth Harish
Item Proposal or Product proposal: "Item proposal is same as product proposal & SAP uses the two terms
interchangeably. "An item proposal is a list of materials and order quantities that can be copied
into the sales order. Items can also be selected from a list and copied into a sales order."
1) Use transaction [VOV8] to configure the document type ("MS" for product proposal).
2) Use transaction [VA51] to create a proposal. 3) Enter the item proposal on the sales area data (sales tab) of the customer
master record. 4) In [VA01] to create a sales order, Select Edit & propose items."
Material determination:
"Material determination uses the condition technique to swap one material for another when certain conditions apply. Material
determination is triggered by the material entered in the line item of the sales order.
Use transaction [VB11] to create a material determination condition record. And [OV12] for configuration of material determination.
Material determination is useful when old product is becoming obsolete or a new product is released by the company at specific date." SAP Tips by: Minmini
Fast Links: Get help for your SAP SD problems
Steps for SD Variant Configuration
Some light on Variant Configuration in Detail.
The procedure is as follows:
Create a Material - KMAT type with Item category (002)
Create Charateristics in CT04 - Zbike, where in values mention the Color
of the bile like Red, Blue etc
Create another characteristics in CT04 - ZPrice, where directly go the additional data tab and maintain the table SDCOM and field VKOND (ABAP
Dictionary it will ask for)
Assign these two characteristics to a Class in CL01 - ZBikeclass ( Type
300) in characteristics tab page.
Then go to CU41 Configuration profile select the material and enter the
description click on the class assignment ie assign Zbikclass.
Now go back to CT04 - enter Zbike -go to values- select Red- go to extras
- Other Dependencies - Select Procedure enter in front 10 write - $self.ZPrice='Red' and save
Now go back go to extras - Other Dependencies - assignments and assign relationship ( by default it will come just save)
Now select Blue- go to extras - Other Dependencies - Editor - Select Procedure enter in front of 10 write - $self.ZPrice='Blue' and save
Now go back go to extras - Other Dependencies - assignments and assign relationship ( by default it will come just save)
Now go to VK11 - Enter VA00 (Condition)(For Std RVA001 Pricing Procedure) - enter variant Red and Blue give the rates accordingly and create
the sales order. *-- Shaik Zaheeruddin
Tell me about variant configaration?
What are the type of questions we can expect in that? Variant configuration is used where you have a configurable material like
computer (made up of components like processor, monitor, keyboard, mouse etc). These components are called as characteristics in variant config. Again this
will be having values like processor can be either P4 or P3, monitor can be 15" or 17" etc.
Based on the values selected the variant pricing will happen using the condition type VA00.
Possible questions you can expect are:
- What is variant configuration?
- What is characteristic? - What is value? - What is class?
- What is configuration profile? - What is dependency and what are the types?
- What is a variant table? - And the transaction codes for the above. *-- Balaji
Process Flow for 3rd Party Sales
Customize the third party sales in summary:
1. Create Vendor XK01 2. Create Material – Material Type as "Trading Goods". Item category group as
"BANS". 3. Assign Item Category TAS to Order type that you are going to use. 4. A sale order is created and when saved a PR is generated at the
background 5. With reference to SO a PO is created (ME21N). The company raises PO to
the vendor. 6. Vendor delivers the goods and raises bill to company. MM receives the
invoice MIRO 7. Goods receipt MIGO
8. Goods issue 9. The item cat TAS or Schedule line cat CS is not relevant for delivery which is
evident from the config and, therefore, there is no delivery process attached in the whole process of Third party sales.
10. Billing *-- Seema Dhar
SD - 3rd party sales order Create Sales Order VA01 Order Type
Sales org, distr chnl, div Enter
Sold to PO #
Material Quantity
Enter Save
SD - 3rd party sales order View the PR that is created with a third party sales order
VA01 Order Number
Goto Item Overview Item ->Schedule Item
SD - 3rd party sales order View the PR that is created ME52N
Key in the PR number Save SD - 3rd party sales order Assign the PR to the vendor and create PO
ME57 Key in the PR number
Toggle the "Assigned Purchase Requisition" Execute
Check the box next to the material Assign Automatically button
Click on "Assignments" button Click on "Process assignment"
The "Process Assignment Create PO" box , enter Drag the PR and drop in the shopping basket
Save SD - 3rd party sales order Receive Goods
MIGO_GR PO Number DN Number
Batch tab , click on classification Serial Numbers tab
Date of Production Flag Item OK
Check, just in case Post
Save SD - 3rd party sales order Create Invoice
MIRO Invoice Date
Look for the PO , state the vendor and the Material Check the box
Clilck on "Copy" Purchase Order Number (bottom half of the screen)
Amount State the baseline date
Simulate & Post Invoice Number
*Invoice blocked due to date variance SD - 3rd party sales order Create a delivery order
VL01N In the order screen , go to the menu Sales Document , select "Deliver"
Go to "picking" tab State the qty and save
SD - 3rd party sales order Create a billing document VF01
Ensure that the delivery document is correct in the Enter
Go to edit -> Log
Number Ranges In Sales Order
This is regarding number ranges defining and assigning tips which you can
follow as below: Whenever there is a new Sales Org being created, you will be required to
maintainNumber Ranges for Sales Documents which are allowed for your New Sales Area.
Number Ranges can be maintained Internally by the system, however it can be maintained externally also if you customize it accordingly.
In Standard SAP the Transaction code for Maintaiing Number ranges externally is VN01.
Defining - The same can be reached through in IMG as : Sales & Distribution-->Sales-->Sales Document Header-->Define Number Ranges for Sales Documents.
Here you provide the system a specific Number range as follows: Number range Key +Start Number range+ End Number Range+Current
Number For Example: If you want to propose the following Number Range
*1 9000076000 9000076999 0 The Current Number field will be kept zero as you are proposing new number
range and no sales documents have been created on it , Obviously.. *1 is a Unique Two digit Alphanumeric Key, while proposing your key, you
should ensure that it should not be there in the system as existing. If you propose a key that is there in the system or if the Number Range (Start
and End Series) is there in the system already, the system will throw a message that Interval already already exists. So choose a key that is unique, and which
is not there in the system. Here , by making this , you are assigning a Key to a Number Range Series. All the symbols can be used along with numbers from 0 to 9 and Alphabets from
A to Z and in any order. For example: !1, ^A, BB,Z*,M2......... Assigning - In Assigning, you assign the particular Sales Document to
the NumberRange you have already proposed as above. The Assigning Part is done as follows:
The Two digit Alpha Numeric Key is maintained or Assigned to the respective Sales Document type in V0V8.
This can also be reached in IMG by: Sales & Distribution-->Sales-->Sales Document Header-->Define Sales
Document Types Locate the particular Sales Doc Type, and double click on it to display it
configuration. Here you put the Two Digit Number key in the Field- "Number range External Assignment"
Besides this: If a new Shipping Point is created then Delivery Number ranges are required to
be maintained. Similarly,
If a new Plant is created then Billing Number Ranges are required to be maintained. Tips by : Vivek Sahni
What is Debit note and Credit note
What is Debit note and Credit note? What is the purpose? How we
create? 1. A transaction that reduces Amounts Receivable from a customer is a credit
memo. For eg. The customer could return damaged goods. A debit memo is a transaction that reduces Amounts Payable to a vendor because, you send
damaged goods back to your vendor.
2. Credit memo request is a sales document used in complaints processing to request a credit memo for a customer. If the price calculated for the customer is too high, for example, because the wrong scale prices were used or a discount
was forgotten, you can create a credit memo request. The credit memo request is blocked for further processing so that it can be checked. If the request is
approved, you can remove the block. The system uses the credit memo request to create a credit memo.
You can use credit memos in Sales and Distribution (SD) for assigning credit
memo requests to the open invoices and in Financial Accounting (FI) for assigning credit memos and payments to the open invoices and carry out
clearing with them. If you use both Financial Accounting (FI) and Sales and Distribution (SD), there is a 1:1 relationship between the credit memo request
and the credit memo item posted in Financial Accounting (FI). As soon as you bill the credit memo request together with other sales orders, or distribute the
items of one credit memo request to several billing documents, the assignment is no longer valid and the system will not process it. For credit memos, credit memo requests, and payments, you have the
following assignment options: - Assignment to a single invoice
- Assignment of a partial amount to an invoice - Assignment to several invoices
When you post credit memos, the payment programme processes them
automatically. If the credit memo is specifically related to a particular open invoice item, the payment program automatically attempts to offset the credit
memo against the open item. If it is not possible to completely offset the credit memo against an invoice, you can post a debit memo to the vendor, who is to
reimburse the amount. Then you can apply a multilevel dunning program.
3. Debit memo request is a sales document used in complaints processing to request a debit memo for a customer. If the prices calculated for the customer
were too low, for example, calculated with the wrong scaled prices, you can create a debit memo request. The debit memo request can be blocked so that it
can be checked. When it has been approved, you can remove the block. It is like a standard order. The system uses the debit memo request to create a debit memo.
4. As mentioned above, creating a credit or debit memo request enables you to
create credit or debit memos based on a complaint. For this first create a sales document with the order type for a credit or debit memo request. You can
create the debit or credit memo requests in the following ways: – Without reference to an order
– With reference to an existing order Here you enter which order the complaint refers to.
– With reference to an invoice Here you enter which invoice the complaint refers to.
In all cases, you specify the value or quantity that should be in the credit or debit memo
5. You can block the credit or debit memo request from being billed in Customizing. Go to Sales -> Sales Documents -> Sales document header ->
Define sales document type and select the billing block field in the billing section. This request can later be reviewed along with similar ones, - if
necessary, by another department. The request for a credit or debit memo can then be approved or rejected.
Tips by : Rajendran
Configure Intercompany Stock Transport
Order
Explain STO. STO is Stock Transport order. It is used for inter company transfer of goods.
Plant to plant transfer and even transferring raw material to Third party contractors (Job Work).
The Process is you create a STO do delivery against the STO and create a Billing Document against the STO.
How to configure the inter-company Stock Transport Order? - Prassee Material should exist in both the plants (Delivering & Ordering),
Internal customer should be assigned to the ordering plant ( MM -> Purchasing -> Purchase Order -> Setup stock transport order -> assign the internal
customer to the ordering plant and assign the Sales area of the internal customer.
Tcode : OMGN
Assign its Sales area to the delivering plant Assign the document type and Delivery type NB and NLCC
Assign the Supplying plant --> Receiving Plant --> NB Take the delivering plant and assign the sales area.
Vendor master has to be created and assaign the supply source ( Delivering Plant).
Create a puchase order ME21N ---> Save Delivery VL10 G ---> Calculation rule (appropriate) --> Assaign the purchase
order number here and execute. Select the Delivery creation line and do the back ground process.
Start the log display and see the delivery document number by the documents button
Goto VL02N --> do picking and PGI --> Then do the MIGO with respect to the delivery document.
Billing (Intercompany pricing conditions should be set).
SAP SD CIN Configuration
By Shesagiri What is CIN?
CIN Means Country India Version In Indian Taxing procedure, Excise Duty plays a vital role in manufacturing
cenario‟s. Excise related configuration is known as CIN configuration. CIN Configuration is a topic in itself.
Some info on CIN Configuration (it may not appear as understandable below, but if you check on screen, it will be understood better)
Country Version India comes with four pricing procedures as follows: - JINFAC (Sales from manufacturing plants)
- JINEXP (Export sales) - JINDEP (Sales from depots)
- JINSTK (Stock transfers CIN: IMG > Logistics - General > Tax on Goods Movement > India > Basic
Settings > Maintain Excise Registrations In this IMG activity, you maintain the data relating to your excise registrations.
- Enter each of your excise registrations, specifying a four-character code for each Excise Registration Ids In this activity, you maintain excise registration IDs. You create one ID for each
of your business's excise registrations. - For each excise registration in your business create a registration ID, and
state: - Which taxes the registration covers (additional excise duty, special excise
duty, and cess) Fields for any taxes that are not covered will be hidden in transactions involving excise duty.
- The maximum number of items to be printed on each excise invoice - Whether you are allowed partial CENVAT credits
Maintain Registration ID NUMBER, Excise code number, excise registration number
ECC Number: Specifies the organization's ECC number. Excise Registration Number: A number assigned to each premises or location
that has registered as a manufacturer with the excise authorities. Every entity with an excise registration number is required to keep its own excise books.
Excise range: Specifies the excise range in whose area the excise registration is located.
Excise Division: Specifies the excise division in whose area the excise registration is located.
Excise Collectorate: The code of the excise collectorate in whose area the excise registration is located.
Indicator for confirming, AED usage Additional Excise duty Percentage. These are livable under the additional duties of excise act. These duties are in
addition to basic excise duty and special excise duty. Example - Additional Excise duty is livable in case of textile products, tobacco and sugar.
Similarly for SED CESS Number of Items in Excise Invoice Shows the maximum number of line items that the authorities allow per excise invoice.
Dependencies - This information is used when you create an excise invoice in Sales and Distribution (SD) for factory sales and for other movements. This
information is used to split the transfer postings' items into multiple subcontracting challans.
Excise register set description: Description of the excise registers set. Partial CENVAT Credit: Indicates that the excise registration ID is allowed to
credit only a portion of its input excise duty to its CENVAT account Dependencies - When you post a goods receipt, the system splits the input
excise duty on the material into its deductible and nondeductible amounts. It posts the deductible duty to the appropriate CENVAT account, and adds the
nondeductible duty to the material value. This information is also shown when you post the vendor's excise invoice.
Maintain Company Code Settings. In this IMG activity, you maintain the data relating to your company codes.
Document Type for CENVAT Postings. It controls, which document type the system uses when making CENVAT
postings in Financial Accounting (FI). Here ED is document type for cenvat posting. Indicator for providing debit account overwriting
Debit Account Overwrite Indicator. X - Indicates debit accounts can be overwritten. Use In excise journal voucher transaction. It provides the flexibility
to the user to enter the debit account of his choice depending on the nature of transaction.
Automatic balance Indicator - Excise year start month. The calendar month marking the beginning of the excise year. This start month represents the
month for the start of the excise invoice number range. The month 04 is entered here indicating April of the calendar year as the start month for excise
invoices. Any change by the Excise authorities regarding start month should be taken care of by an entry in this field and initialization.
Excise invoice selection procedure :Excise invoice selection type. To indicate the method opted by the company for selecting the excise invoice. It can be either
earliest or latest invoices that were received. Number of excise invoices to be selected Indicates the number of excise invoices that needs to be selected in the excise invoice selection.
Days to be considered for excise invoice selection Number of days from document date for excise invoice selection.
Example - If the value of this field is 20 and today is 28-03-97. The excise invoice selection will show the related invoices only for the period 08-03-97 to
28-03-97. Document type for TDS FI posting: Financial accounting document type for TDS
posting. Document type for FI posting on Utilisation Financial accounting document type
for TDS posting. Indicator for item level excise duty round off - This indicator is to be used for
deciding whether Item level excise duty amount rounding off is required during procurement cycle. If marked 'X'
then the excise duty amount will be rounded off to the nearest rupee at the Purchase order level. This will not round off the CENVAT credit to be taken. If
the duty amount is less than one rupee then no rounding is done Rounding off of Excise duty for outgoing excise invoice - You can round off the
Excise amount to be paid during an outgoing Excise invoice by marking this indicator as 'X'. The rounding is done at the item
level for each item where the amount is greater than 1 Rupee. Immediate Credit on Capital Goods - Instructs the system, when you verify a
goods receipt for capital goods, to immediately post half of the input excise duty to the appropriate CENVAT accounts. The rest is posted the CENVAT on hold
account, for use in the following year. CVD Clearing Account - Specifies which G/L account the system credits when
you take a CENVAT credit on countervailing duty in the Incoming Excise Invoices transaction.
Exchange rate type - Key representing a type of exchange rate in the system. - You enter the exchange rate type to store different exchange rates. Example -
You can use the exchange rate type to define a buying rate, selling rate, or average rate for translating foreign currency amounts. You can use the average rate for the currency translation, and the bank buying and selling rates for
valuation of foreign currency amounts. Exchange rate type to be used for Export excise duty converts - When you are
creating an Excise invoice for export sales then the exchange rate for duty calculation will be picked up using this Exchange rate type.
Maintain Plant Settings - In this IMG activity, you maintain excise information relating to your plants.
Plant Settings - In this activity, you maintain excise information relating to your plants.
For each plant: - Specify whether it is a manufacturing site or a depot.
- Assign it an excise registration ID. - You can assign the same ID to more than one plant, if required.
Depot - Indicates that the plant in question is a depot. - Depots are required to prepare register RG 23D, and follow different procedures for goods receipt and invoice generation.
- Number of goods receipt per excise invoice. - Multiple GR for one excise invoice, Single credit
- Multiple GR for one excise invoice, multiple credit Maintain Excise Groups - In this IMG activity, you define your excise groups. For
each excise group, you can also control how various excise invoice transactions will work.
Excise Groups - In this activity, you define excise groups. An excise group allows you to maintain a separate set of excise registers and excise accounts.
The RG 23A, RG 23C and PLA serial numbers are created for an excise group. Recommendation - Under normal circumstances, excise authorities require
every business to maintain only one set of excise registers and one set of accounts. But through exemption from the authorities, multiple books can be
maintained. If your company has only one set of excise registers, then you need to maintain
only one excise group. 1. Create one excise group for each set of registers that you need to keep.
2. Assign the excise groups to plants. 3. Maintain whether this Excise group is for a depot or not.
If you receive only one consignment for an Excise challan then you can leave GR's per EI as blank. If you receive multiple GR's for a given Excise challan and
would like to avail multiple credit mark the GRs per EI as 'Multiple GR's for one excise invoice, multiple credit'. Alternatively if you want to availa the credit
only after all the goods receipts have been made mark it as ' Multiple GR for one excise invoice, single credit'.
4. If you want to automatically create Excise invoice during Sales cycle at the time of billing the tick the indicator 'Create EI'
5. During depot sales if you do not want to do RG23D selection and posting separately and would like to complete RG23D selection in one step mark the
indicator 'RG23D Auto post'. This will post the selected records into RG23D automatically. You cannot cancel the selection later. 6. If the indicator 'Default GR qty' is marked system will default the Excise
challan quantity on to the Goods receipt if the Excise invoice number is given in the pop-up.
7. If the indicator 'Folio no create' is marked system will generate Folio numbers for RG23D during receipt of excise invoice into depot.
8. 'Automatic posting' when ticked will post the Excise invoice other movements automatically along with creation in single step.
9. 'Create Part1 for Block Stock' when marked will create a Part1 during the receipt of material into Blocked stock .
10. 'Create Part1 for STO' when marked will create a Part1 during the receipt of material through inter plant transfers.
11. 'Create Part1 for consumption stock' when marked will create a Part1 during the receipt of material into consumption stock. Excise Group Governs which set
of excise registers a business transaction will be included in. Following is the relation between excise group, plant and registration. - In define excise groups in Customizing.
Then, in transactions involving excise duty, for example, when you post a vendor's excise invoice, you specify which excise group you are using. This
information tells the system which G/L accounts to post the excise to. At the end of the period, when you come to prepare your excise registers, you create
different sets for each excise group. Indicates that the plant in question is a depot. - Depots are required to prepare
register RG 23D, and follow different procedures for goods receipt and invoice generation.
- GR Per Excise Invoice - Multiple GR for one excise invoice , Multiple credit
- Multiple GR for one excise invoice , Single Credit Create Excise Invoice Automatically - Instructs the system to automatically
create a Sales and Distribution (SD) excise invoice immediately you create a commercial invoice or a pro forma invoice.
The excise invoice is created in the background. - If you want to make use of this function, you must also define the
default plant, excise group, and series groups in Customizing for Sales and Distribution (SD), by choosing Excise Group - Series Group Determination.
RG23D Sales Creation and posting option - RG23D Automatic Option if selected will create Depot excise invoice by posting the selection of excise invoices in
single step. If this is not selected then you need to separately do RG23D selection
followed by PGI and then RG23D verification and posting. If you need automatic posting of RG23D selection then the Post Goods Issue should have
been completed before running RG23D selection. Default excise qty in GR - If this indicator is ticked then while doing Goods
Receipt using 'MB01' system will default the excise invoice quantity on to the Goods receipt document.
Folio number for depo Posting - If this indicator is marked then while creating Excise invoice for other movements system automatically does the Verify and Post. You need not separately Post the excise invoice
Also we can set indicator for creation of part 1 for: - Blocked stock
- Stock transport order - Consignment stock
Maintain Series Group - In this IMG activity, you define the different excise series groups within your company. Series groups allow you to maintain
multiple number ranges for the outgoing excise documents. Based on excise regulations and exemptions from the authorities you can maintain multiple
number series for outgoing documents. But each of these series has to be declared to the excise authorities.
- Define excise series groups based on type of outgoing document - Assign series group to excise registration ID
- If no financial postings are required for an Excise invoice in this seris group then you tick the 'No utilization' indicator. - If the CENVAT has to be paid immediately and you need not wait for the Fort
nightly payment then mark the 'Immediate Utilization' Iindicator. Example - You could define two series groups, group 001 for excise invoices, and group
002 for 57 F4 documents. - No account postings for CENVAT in sales cycle
- No utilization Flag If you do not need any CENVAT utilization for an excise invoice but would like to
just generate an excise invoice then you need to mark this indicator. If the flag is checked then system will create an Excise invoice in the given
Series group but there will not be any account postings or Part2 postings. Immediate Utilization of CENVAT - Specifies that when you create an excise
invoice, the system immediately pays the amount from CENVAT and creates the Part II entry. Such invoices will not be listed for fortnightly utilization.
If you have both fortnightly and immediate utilization for the same excise group, the account determination within CIN IMG should point to the ED interim
account. Account determination for immediate payment will be done exactly the same as
being done for fortnightly utilization program. Maintain Excise Duty Indicators - In this IMG activity, you maintain the excise
duty indicators. IMG > Logistics - General > Tax On Goods Movement > India > Basic Settings
> Determination of Excise Duty > Select Tax Calculation Procedure In this IMG activity, you specify which tax procedure you want to use for
determining excise duties and sales taxes on input materials in India. - If you use condition-based excise determination, use a copy of the tax
procedure TAXINN. - If you use formula-based excise determination, use a copy of the tax
procedure TAXINJ. This tax procedure also supports condition-based excise determination, so that
you can work with both concurrently. We strongly recommend that new customers use condition-based excise determination. Note that once you have started using a tax procedure, you
cannot switch to another one, otherwise you will not be able to display old documents.
Maintain Excise Defaults - In this IMG activity, you define which tax procedure and pricing condition types are used in calculating excise taxes using formula-
based excise determination. If you use condition-based excise determination, fill out the CVD cond. field and
leave all the others blank. If you use formula-based excise determination, fill out all of the fields as
follows: - Enter the tax procedure and the pricing conditions that are relevant for excise
tax processing. - Specify the purchasing and sales conditions types used for basic excise duty,
additional excise duty, special excise duty, and cess. - Specify the conditions in the sales order that are used for excise rates. - Specify the countervailing duty condition type used for import purchase
orders. See also : SAP Library -> Logistics -> Country Versions -> Asia-Pacific -
> India -> Materials Management (MM) -> Condition-Based Excise Determination and -> Formula-Based Excise Determination.
IMG > Logistics - General > Tax On Goods Movement > India > Basic Settings > Determination of Excise Duty >
Condition-Based Excise Determination When you enter a purchasing document, for example, a purchase order, the R/3
System automatically calculates the applicable excise duties using the condition technique.
Features : The standard system comes with two tax calculation procedures. TAXINN is only supports condition-based excise determination, whereas TAXINJ
supports condition-based excise determination and formula-based excise determination. Both tax procedures contain condition types that cover all of the
excise duties and sales taxes applicable. Since the exact rates of excise duty can vary on a large number of factors, such
as which vendor you purchase a material from, or which chapter ID the vendor stocks the material under, you create condition records for every sort of excise
duty. When you come to enter a purchasing document, the system applies the excise
duty at the rates you have entered in the condition records. Customizing : Make the settings in Customizing Basic -> India -> for Logistics –
General, by choosing Taxes on Goods Movements Account -> Excise Duties Using Condition Technique and …-> Settings Determination.
These activities include one activity where you define a tax code for condition-based excise determination.
Master Data - Create condition records for all excise duties that apply, and enter the tax code for condition-based excise determination in each.
Day-to-Day Activities - When you enter a purchase order or other purchasing document, enter the tax code for condition-based excise determination in each line item. The system then calculates the excise duties using the condition
records you have created. When the ordered materials arrive, you post the goods receipt and the excise
invoice. The system posts the excise duty to the appropriate accounts for deductible input taxes when you enter the excise invoice.
Creating Condition Records for Excise Duty 1. In the command field, enter FV11 and choose .
2. Enter the condition type that you want to create a condition record for and choose .
The Key Combination dialog box appears. 3. Select the combination of objects that you want to create the condition
record for. On the dialog box, Control Code means "chapter ID." So, for example, to create a condition record for a tax that applies to a combination of
country, plant, and chapter ID, select Country/Plant/Control Code. 4. Choose . 5. Enter data as required. - In the Tax Code field, enter the dummy tax code
that you have defined. 6. Save the condition record.
Formula-Based Excise Determination - When you execute a business transaction involving materials that are subject to excise duty, the system
automatically calculates the duty for you. In order for the system to be able to determine which rate of excise duty to
apply, you must have maintained all the data on the Excise Rate Maintenance screen, which you can Master Data®access from the SAP Easy Access screen by
choosing Indirect Taxes Excise Rate Maintenance. You maintain the following types of data:
- Plant master data You assign each of your plants an excise duty indicator. You can use the same
indicator for all the plants with the same excise status from a legal point of view, such as all those that are in an exempt zone. See also the information
about manufacturers that are only entitled to deduct a certain portion of the duty (see Partial CENVAT Credit).
- Vendor master data For each of your vendors with the same excise status from a legal perspective,
you define an excise duty indicator. You must also specify the vendor type – for example, whether the vendor is a manufacturer, a depot, or a first-stage dealer.
You must also stipulate if the vendor qualifies as a small-scale industry. For each permutation of plant indicator and vendor indicator, you then create a final
excise duty indicator. - Customer master data
Similarly, you assign the same excise duty indicator to each of your customers that share the same legal excise status.
Again, for each permutation of plant indicator and customer indicator, you then create a final excise duty indicator.
- Material master data Each material is assigned a chapter ID. - Excise tax rate
For every chapter ID and final excise duty indicator, you maintain the rate of excise duty.
If your business only qualifies for partial CENVAT credit, you must customize your system accordingly.
Let us consider an example to illustrate how the system determines which rate of excise duty to apply to a material. Assume you are posting a sale of ball
bearings to a customer. The system automatically determines the rate of excise duty as follows:
1. Looks up the customer master data to see what status you have assigned the customer.
Let's assume you've assigned the customer status 3. 2. Looks up the plant master data to see what status you have assigned the
plant. Similarly, your plant has status 2. 3. The system looks up the table under Excise Indicator for Plant and Customer to see what the final excise duty indicator is for customer status 3 and plant
status 2: It is 7. 4. The system determines the chapter ID of the ball bearing for the plant.
Let‟s assume the chapter ID at plant for the ball bearings is 1000.01. 5. Finally, the system looks up the table under Excise Tax Rate to see what rate
of duty applies to chapter ID 1000.01 under status 7.
Define Tax Code for Purchasing Documents - In this IMG activity, you define a tax code for the purposes of calculating excise duty when you enter purchasing
documents. Only carry out this activity if you use condition-based excise determination.
- Create a new tax code, and set the tax code type to V (input tax). Do not make any other settings for it.
- Assign Tax Code to Company Codes In this IMG activity, assign the tax code for purchasing documents to the
company codes where it will be used. Only carry out this activity if you use condition-based excise determination.
Classify Condition Types - In this IMG activity, you specify which condition types you use for which sort of tax. Note that this only applies to condition types that
you use with the new excise determination method. The system uses this information when you create a document from another one. For example, when
you enter an incoming excise invoice from a purchase order, or when you create an outgoing excise invoice from a sales
order, the system determines the various excise duties in the excise invoice using the information that you have entered here. In addition, when you create
a purchasing document, the system only uses the condition types that you enter here.
- For taxes on purchases, use the condition types contained in the tax procedure.
- For taxes on sales, use the condition types contained in the pricing procedures. The standard system comes with sample settings for the tax calculation
procedures and pricing procedures. Use these settings as a basis for your own.
IMG > Logistics - General > Tax On Goods Movement > India > Account Determination
Define G/L Accounts for Taxes - In this IMG activity, you specify which G/L accounts you will use to record which taxes.
Requirements - You have set up G/L accounts for each of the processing keys listed below.
- Assign an account to each of the following posting keys. The accounts for VS1, VS2, and VS3 are used as clearing accounts during excise invoice verification.
- VS1 (basic excise duty) - VS2 (additional excise duty)
- VS3 (special excise duty) - VS5 (sales tax setoff) - MWS (central sales tax)
- MW3 (local sales tax) - ESA (service tax)
- ESE (service tax expense) Specify Excise Accounts per Excise Transaction - In this IMG activity, you
specify which excise accounts (for excise duty and CENVAT) are to be posted to for the various transaction types. Enter
all the accounts that are affected by each transaction type. If you use sub transaction types, enter the accounts for each sub transaction type as well.
Transaction type UTLZ is used for determining accounts only while posting excise JVs and also if the payment of excise duty has to be done fortnightly.
The fortnightly CENVAT payment utility picks up the credit side accounts from the transaction types of GRPO, EWPO, and TR6C for determining the CENVAT
and PLA accounts. There is no separate transaction type for fortnightly payment.
Example: - Excise TT DC ind Account name
- GRPO CR CENVAT clearing account - GRPO CR RG 23 BED account
- GRPO DR CENVAT on hld account Specify G/L Accounts per Excise Transaction - In this IMG activity, you assign
the excise and CENVAT accounts to G/L accounts. When you come to execute the various transactions, the system
determines which G/L accounts to post to by looking at the: - Excise group
- Company code - Chart of accounts
Furthermore, if you want separate account determination settings within an excise group, you can also use sub transaction types.
Requirements You have already: - Defined the G/L accounts
- Defined the excise groups - Maintained the transaction accounts
Activities - For each excise group, assign the excise and CENVAT accounts to G/L accounts. For most businesses, one set of accounts will suffice for all
transactions. Note : you need not remit the CENVAT to the excise department immediately,
so maintain the credit account for transaction type DLFC as an excise duty interim account. This will be set off when you remit the duty. Config setting
needed to be done in order to get the Excise Details Screen in Material Master. Even though this functionality is available in enterprise version, a small
configuration step has to be made in Screen Sequences for Material Master. Following document helps you to do this configuration.
- Material Master à Logistics General 1. Go to IMG Define Structure of Data Screen for each Configuring the Material master Screen Sequence.
2. Select your screen sequence. Usually it would be 21. Select the same and click on Data Screen in the left frame.
3. Once the data screens are exhibited, select data screen no. 15, ie. SSq. 21and Scrn 15, which is “Foreign Trade: Import Data”. Select the same and
click on Sub screens in the left frame. 4. Go to the last sub screen i.e. 21-15-6 - SAPLMGD1- 0001 and select the
same. Click on tab view sub screen and ensure that the sub screen is blank. 5. Now in the last sub screen i.e. no.6 you delete SAPLMGD1 – 0001 and
instead add SAPLJ1I_MATERIAL_MASTER and in the screen no. 2205. 6. Save the setting.
7. Create a Material Master and check whether in Screen Foreign Trade – Import, Excise related sub screen appears.
Customizing Customer Hierarchy in SD
How to configure and maintain the SD Customer Hierarchy? All the customizing is in SD/Master Data/Bussiness
Partner/Customers/Customers hierarchy 1) Define hierarchy type: just put and ID and a name to the new hierarchy.
2) Set partner determination: if you want to user the hierarchy in price determination, then, in the orders, at the header level, you have to have a
Partner Procedure with a partner function for each level. In the partner procedure, in each partner function you must indicate the source partner
function. With this informacition, in the order, you obtain the bussiness partner for each partner function. 3) Assign acount groups: you indicate which accounts groups are allowed for
being part or your hierarchy. 4) Assign sales areas: symple you indicate wich sales areas are allowed in your
hierarchy. (Here you can customize common sales areas, just for not having to build de hierarchy in all the different sales areas).
5) Assigning hierarchy type for pricing: you indicate which classes of documentos uses hierarchy in pricing determination.
It is possible to maintain so called customer hierarchies. This might be useful when for example you create a condition discount for a customer that is part of
such a hierarchy structure. All subnodes in the hierarchy below that customer, will thus receive the same discount.
Customer hierarchy setup, firstly decide the hierarchy type to be used. The standard is type A.
You can also assign a partner function to the customer so that the higher level customer in the hierarchy is copied into a sales order as a partner function - but
you don't need that right? Next assign your customer account group to the hierarchy type. And enter the combinations that will be allowed for creating the hierarchy.
You want to assign a ship-to to a payer. So enter the ship to account group and enter the payer account group as the higher level.
You must also make an entry for permitted sales area assignments. So if you want to a hierarchy for customers in the same sales area then enter the sales
area and enter the same one as the higher level sales area. All these settings can be found in the IMG. Under SD - master data - business
partners - customers - customer hierarchy You use for example customer hierarchy when you have an company like
Unilever and you agree both on a discount. Unilever does have different locations / businesses and you have to maintain the discount for all customers.
If you use a customer hierarchy you can maintain the discount for the partner in the top of the hierarchy and in this way it will be valid for all customers in the
hierarchy. SAP SD Tips by : Sam
Common Distribution Channel and Division
How to configure common distribution channel and division? You can define common distribution channels and divisions. This is possible for
two areas of SAP, for all master relevant data, and for all condition relevant data.
The path is as follows:
IMG -> Sales and distribution -> Master data -> Define common distribution channels.
IMG -> Sales and distribution -> Master data -> Define common divisions.
Transaction Code - The code here is [ VOR1 ].
After creating the organizational structure and relevant master records you want to use as the masters, that is, in the distribution channels and divisions
you are going to use as a reference, you can group distribution channels and divisions separately for master data (which combines customer master and
material master records), group condition records, or both master data and condition records.
Let‟s say you have a product range that is not different for the four different distribution channels you have (the channels could be telesales, retail, industry,
and wholesale.) Neither is there a difference in the customers‟ details when they purchase through one or the other. Thus, you will not want to create a multiple
of four views of customer master and material master records. Merely create the customer master records and material master records in one of the
distribution channels, such as retail. Then assign the other distribution channels you created in the organizational structure setup to this one.
Don‟t forget this means you can only create or change master data in the distribution channel that is being referenced. In the scenario above, this means
you can only change data for the retail distribution channel. Even if you should access a customer or material master in change mode, press F4 (possible
entries), and select telesales, industry, or wholesale, you will receive a message “Sales area is not defined . . . ” The same is true for the sharing of conditions. If conditions are shared, you
need only create a condition in the distribution channel or division you are using as the reference. Obviously, this only pertains to conditions that have the
distribution channel and/or division in their key, such as a price based on sales area."
Edwin
Define Account Assignment Group
How to configure the Sales Account Determination? Field found in Material Master Sales Organization 2.
To define the General Leger posting :- IMG -> Sales and Distribution -> Account Assignment/Costing -> Revenue Account Determination
-> Assign G/L Accounts With this link, the material that used this account assignment group will be
posted with the desired G/L accounts during Billing. User will not be able to Release the billing document to Accounting if this is not
setup. If you happend to assign it via Cust.Grp/MaterialGrp/AcctKey, then you can
let your user use this report to check the material assignment. * Transaction code VKOA
REPORT ZMATNR_AC_ASSIGN LINE-SIZE 132 NO STANDARD PAGE HEADING LINE-COUNT 044(001).
TABLES: MARA, MVKE, "Sales Data for Material
C001. "Cust.Grp/MaterialGrp/AcctKey SELECT-OPTIONS: S_MTART FOR MARA-MTART DEFAULT 'DIEN',
S_MATNR FOR MARA-MATNR, S_VKORG FOR MVKE-VKORG DEFAULT 'ALL'.
SELECT * FROM MARA WHERE MTART IN S_MTART AND MATNR IN S_MATNR. CLEAR MVKE.
SELECT SINGLE * FROM MVKE WHERE MATNR = MARA-MATNR AND VKORG IN S_VKORG.
CLEAR C001. SELECT SINGLE * FROM C001 WHERE KTGRM = MVKE-KTGRM.
WRITE:/ MVKE-MATNR UNDER 'Material', C001-KTGRD UNDER 'Cust Grp',
MVKE-KTGRM UNDER 'Matl Grp', C001-KVSL1 UNDER 'Acct Key',
C001-SAKN1 UNDER 'G/L From', C001-SAKN2 UNDER 'G/L To '.
ENDSELECT. TOP-OF-PAGE.
FORMAT COLOR COL_TOTAL. WRITE: / SY-DATUM, SY-UZEIT, SY-REPID, 050 'Material Sales Account Assignment',
120 SY-UNAME, SY-PAGNO. SKIP.
WRITE: /001 'Material', 020 'Cust Grp',
030 'Matl Grp', 040 'Acct Key',
050 'G/L From', 060 'G/L To '.
SKIP.
SAP SD, PP, CO, FI, PM, MM, PS, QM, SM, HR, BW, APO, Basis, ABAP/4, Certification, Books
Block Sales Document Type / Delivery / Billing by Customer When there is a temporarily stop of business with a customer, you can block
new orders to be created for this customer. You can have the options of blocking all the work flow or let the delivery and billing to continue for any open
orders. VD05 - Block/Unblock Customer
OVAS - Sales Order Type Blocking reasons OVAL - Blocking reasons links with Sales Order Type
OVZ7 - Delivery Blocking reasons OVV3 - Billing Blocking reasons
In 4.6x, if you found that your Sales Order Billing Block is not working, it is because you need to build the Billing Block for the Billing Type.
SM30 - Table/View V_TVFSP Return to :-
Block Material in Sales Order
Is there a way for me to block a material from ever being entered in the Sales Order, if so how?
-----------------------------------------------------------------------------------------------
If you want a material to be blocked, go to the Basic data 1 view of the material,there in the genral data you have " X-plant material status ". Also in
Cost estimate 1 view of the material you have Plant Specific Material status. Use the options available to block the material in these two views.
You cannot use the material in sales order Prakash.k
-----------------------------------------------------------------------------------------------
Use the material exclusion function: FUNCTIONALITY: SD> Master data > Products > Listing/Exclusion> Create
( Tcodes VBO1, VB02, VB03) Enter the list/exclusion type B001: For the required
customer: Enter Maintain materials > Save > Exit
Create the order and enter material excluded to test exclusion. CONFIGURATION: IMG SETTINGS
For IMG settings; Go to IMG > SD > Basic Functions>Listing/Exclusion ENsure that the listing/exclusion procedure is activated for your order type. You
can also create your own condition types access sequences and procedures or use the SAP provided ones.
Kris J -----------------------------------------------------------------------------------------
------ Additionally, another option is the sales block in the material master... It is in one of the two sales data tabs and you are able to configure specific
blocks that allow it to be entered on credits but not on orders, blocked from all activity, allowed for quotes only, etc. It is one setting that becomes sales area
specific and can easily be removed if you change your mind. It also has an effectivity date that can be used.
Regina DeMita Wrong/duplicate RE Created
Check Document Flow for RE Decision:-
No Goods Issue and No Credit Memo created
Reject the sales order item
No Goods Issue and Credit Memo created
Cancel Credit Memo
Reject the sales order item
Goods Issue and Credit Memo created
Create another OR to offset the credit memo created. Treat this as a normal OR process. Ensure that account receivable is informed
by typing in the item text. Please do not send invoice to customer as the RE is wrongly/duplicate.
Note: When you create another OR, the delivery department may actually go
and delivery the goods to customer. Thus, it is important to inform them that this OR is for internal adjustment. The process of posting the goods issue must
be done by the delivery side for proper flow. Return to :-
Sales Order Item price is grey Retrieve the sales order
Click the sales order item
Click Environment -> Document flow
If there is any Billing Invoice including partial deliveries, price cannot be changed.
Return to :- Partner Procedures
Sold-to-party (Customer Master) - Payment, Tax determination Bill-to-party - Address to send the invoice to Ship-to-party - Deliver the goods to
Payer - Pay to who ( a company/person name) VOPA - Maintain Partner Determination
Click Partner Object
Click Partner Procedures
Double Click on the Procedures Line Items
To pass the partner function contact person (CP) data to the ship-to-party in the delivery document.
Go to the Partner Determination procedure for you sales order type. Look for the column that is labelled SOURCE.
Put SH against partner function CP and it will assign CP from ship-to-party to aftewards.
As long as you have CP in your delivery document, it will be copied from SO to Delivery properly.
Movement type determination and Availability Check
SM30 - Table View - V_TVEPZ -> Assign schedule line categories
First check the Proposed schdule line category (SchLC) - double click on the line item
VOV6 - Maintain the schedule line categories - double click on the line item For example, you can control the default returns movement type.
651 - two steps - with a transfer posting using 453
653 - one steps - direct post to unrestricted used
Control the Transaction Flow (tick to activate the function) transfer of requirement
for availability check for sales
production allocation active
Return to :-
Sales reservation Sales reservation takes place automatically through availability check
The setting is on the checking group ( OVZ2 - Define Checking Groups ). You must set the "Accumul." column. Without setting this it will only check
availability but not reserve it! SAP recommend Accumul. = 3 -> Accumulate the requirements quantity when
creating and accumulate the confirmed quantity when making changes. For manual reservation, you can used MB21, movement type 251 - Goods
Issue for sales. To activate the Sales Order number field, do the followings :-
Activate transaction OMBW double click movement type 251 double click additional acct. assign.
Tick the required/optional button as per your requirement. The user have to manage the maual reservation using MBVR.
Reserving material without sales order In Order to reserve the specific materials for a particular customer, use
Strategy 50 to plan your MRP with the materials getting reserved for customer when you make Ind/Collective requirement(1) in MRP4 view of Material Master
or you can create a manual reservation against that particular material and give the customer name in the Receipent Field so that you can easily identify the
Material which belong to the Customer
Return to :- SAP ABAP/4 Programming, Basis Administration, Configuration Hints and Tips
Sales Order Stock Sales Order Stock are stock with Special Stock type E. It can fall into the usual
stock categories such as unrestricted, blocked etc. but "belongs" to a sales order. For example, you create a sales order for a part and assign a sales item
category that generates an individual requisition, the requirement has an account assignment linking it to the sales order schedule line, you convert that
requisition to a Purchase Order. When you receive the Purchase Order, the stock is placed in sales order stock.
It will show against the sales order/sales order line. It can only be delivered against that sales order line. Any availability check etc for that material on any
other sales order will not take it into account as it is not available except to the sales order line the stock is assigned to.
Return to :- Analyze the difference between Forecast and Confirm sales orders
MD73 - Display Total Requirements Enter theMaterial or MRP controller you want to analyze. Assignment field options :-
1 - If you with to look at how the planned independent requirements have been match to the sales order. Sales order which
are over and above that forecasted are not shown. 2 - If you are interested primarily in seeing what sales order are over and above
the sales forecast. 3 - If you are interested in seeing all the sales order with indication of whether
or not they have been anticipated in the forecast. 4 - If you wish to see all the three reports of the above three options together.
- Blank if you with to see a complete list of sales order, without any indication of whether they have been anticipated
in the forecast. Return to :-
SAP ABAP/4 Programming, Basis Administration, Configuration Hints and Tips Backorder Processing Backorder processing is a functionality in SAP where you can change the
committments and over-ride the blockage of stocks marked against sales documents/deliveries. For e.g. you receive an order from
a very important customer for material "A" but the entire quantity of A is committed to another customer "B" via earlier sales
orders and this is where BACKORDER processing helps you to change the committment and shift stock due for B to A. This is the benefit of this
funtionality. OMIH - Checking rule for updating backorders
OPJL - Define new checking rule OPJJ - Define scope of check
V_RA - Backorder Processing Data selection:-
Sold-to-party Customer code Mandatory Sales Organization Mandatory
Distribution Channel Mandatory Division Mandatory
Changed confirmed quantity :- Tick the material you want to changed and click the Backorder button
Confirmed quantity that still can be changed are highlighted. V.15 - Backorder List
Sales Organization Mandatory Distribution Channel Mandatory
Division Mandatory
Third Party Order Processing
Third party order processing is as follows:
Assume three companies X, Y and Z
X - The company, y - The customer
Z - Vendor
When ever X gets a PO from Y to supply some goods, X has an option of either manufacturing those goods or procuring those goods.
If he is procuring the goods, there are two methods that are generally followed:
Method 1) After receiving the PO from Y, X creates a sales order against Y.
Now at the same time he also creates a PO to a vendor Z to produce the goods Z produces the goods and supplies to X
X receives the goods from Z Then X delivers the same goods to Y. After that X invoices Y and Z invoices X.
Note : Here there is no direct/ Indirect relation between Z and Y.
This process is known as Trading Process. and the Material here is created with
Material type HAWA.
The other method is a Third party order processing method:
Here the glaring difference is that instead of Z supplying the material to X and X in turn supplying the same material to Y.
X authorizes Z to supply the material to Y on his behalf and notify him once the
delivery is complete. Now Z supplies the material to Y and acknowledges the same to X.
Z will send a copy of delivery acknowledgement and invoice to X.
After receiving the delivery confirmation and invoice from Z, X has to verify the
invoice and this process is known as invoice verification and is done in SAP through Tcode MIRO.
The next step for X is to create an invoice and submit to Y
Only after the invoice verification document is posted then only X can create an
invoice for Y.
This is the business flow that is followed for third party order configuration.
There are few steps that have to be configured to enable the system to function as mentioned above.
Step1) If you are always followwing a third party process for a material then you have
to create the material using item category group BANS.
The procument type should be marked as External procurement (F) in MRP 2 view of the material master record.
if you are not always allowing third party order processing then u can create a
material master record with item category group as NORM and the procurement type should be marked as ( X) meaning both types of procurment ( in house
manufacturing and external procurement).
step 2) the item category in the order should be manually changed as TAS.
For that you need to confugure the item category determination ord type + item cat grp + usge + Hiv level = Item cat + Manual item cat
OR + NORM + + = TAN . + TAS
OR + BANS + + = TAS
Step 3) make sure that during the item category configuration for TAS you need to
mark relevnat for billing indicator as F
step 4) The schedule line cateogry for this type should be CS.
make sure that you mark subsequent type as NB - purchase requisition in this schedule line category as this will trigger the purchase requision order
immediately after the creation of the sales order and the PO to vendor is created against this purchase requiesion.
Srinivas Product Group and Sales BOM
My client clubs together certain products with quantities in something they call Product Group. The customer calls in and orders for the
product group and automatically gets in all the associated materials. Do we need a Sales Order BOM to handle this?
Yes, you have to Confugure the Sales BOM. But the confugaration of Sales BOM
depends upon certain conditions like: If you want to create the product group and price it at header level or If you want to assemble the products and depending upon the assemblies you
want to price . For eg. if the customer asks for a certain combinationa of Material A, B and C
respectively, then you create a Material Master record Material D with item category group as
LUMF. While the Materials A, B and C are created with standared item category groups
NORM only. Then create a sales BOM using Tcode CS01 and enter the following details:
Material : Material D Plant : Plant in which you created the material.
BOM Usage : 5 (Sales and Distribution) then give the Materials A, B, and C and give their respective quantities.
Before you have to create pricing condition records for Materials A, B, and C. Then configure the item categories ( T - code : VOV4).
When processing the sales order, just give the Material D and the system will pick up the corresponding assemblies for that material and populate in the order.
The item category for the header item will be TAP and the item cateory for the items will be TAN,
In this cas the Material D is called as the higher level Item , and all the assemblies are called as the subitems.
Here the subitems are relevant for pricing and delivery where as the header item is not relevant for neither pricing nor delivery. It just acts as a text item.
This type of configaration of BOM is known as pricing at item level. This is
used when you dont know what quantities of assemblies the customer is going to order and if the price of the assembly keeps varies.
There is another way of configaring BOM which is pricing at header level. The difference is that the Material Master D has to be confugured using the item
category group ERLA. Creation of BOM is same. But you need to maitain the pricing condition record for the header item.
The item categories in this case would be Header item : TAQ
Sub item TAE; Where the header item is relevant for pricing and delivery. and subitems are not
relevant for neither the pricing nor the delivery. Depending upon your requirement you configure accordingly,
SAP Implementation & Blueprints Dhruv Dalal | Jun 16, 2009 | Comments (24)
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SAP Implementation Process
What is ASAP Methodology ASAP: Accelerated Systems Application and Products in Data Processing All implementation projects have the following phases: Scoping - What is to be implemented i.e. which submodules are to be implemented some clients may not require credit management for example. Look at the project scope document carefully it will tell you what SAP sub-modules in SAP you should be prepared for. Usually the sales people along with project manager do it. As is - Here you understand the existing business processes of the client . Your BPOcollect all the ISO-documentation (if client is ISO certified), reports and forms at this stage and you analyse how and when the reports/forms are generated, where the data is coming from. You also do a Level -2 training for your BPO so he is made aware of all the required transactions in SAP. Once this is over BPO can start learning with the consultants help more about SAP. This is crucial because if you miss out any transactions the BPO may forget about some of his Business processes which may come up later. It is a good practice to ask the BPO to make flow charts to explain business processes.
To-Be - Parallely you map these processes to SAP. Processes that you are not sure of as to whether they are present in SAP or not you try to do a configuration of those processes, and along with the BPO(Business process owner he is the clients employee who knows about the clients business processes probably a middle management guy, ther can more than one), BPO involvement is required as he may be able to tell you his requirements better. Once you do the business modeling you will also be made aware of the gaps between as-is and to-be , here decisons have to be made as to whether a ABAP development/system modification is required or not and so on. Involve the BPO as much as possible and document everything it is good practice do not be lazy about it.
Business blueprint: Here the as-is and to-be and gap analysis is explained. This is the document that you will be using to do your configuration in the realization phase. Realization phase: Here you do the configuration in the development server (there are three clients -development,quality, production). You also decide on the master data format, so that BPO can go collect the master data. You also gove ABAP specifications for forms, reports etc, system modifications etc. Unit testing: Your BPOs and a few key users sit down and test your configuration in your module only. It is good to test the BDCs that you need for uploading data at this stage so you have more realistic data and your BDCs are tested. Integration testing:
Once all modules unit testing is over then the configuration is trasported to the Quality server, where testing for all the modules is done by BPOs and end user, this is to check if any problems are there in
integration between various modules. Once all is okay from the QA server config is transported to the production server.
Go live preparation
Data uploading: The collected master data is checked and the uploaded into production server(sever and client I have used interchangeably). Now you are ready for go live i.e. users can now use the production server.
ASAP methodoligy means nothing but standard process for implementation of SAP, It consists of 5 phases. 1. Project preperation - consists of identifying team members and developing strategy as how to go. 2. Business Blue print - consists of identifying the client current process, reqeirement and how SAP provides solution. Consists of detailed documentaion 3. Realization -The purpose of this phase is to implement all the business and process requirements based on the Business Blueprint. 4. Final Preparation - The purpose of this phase is to complete testing, end-user training, 5. Go Live and Support All the functinal consultatns need good rapo with Abapers. right from uploading of legacy data, devoloping customised reports, BDC's, Forms etc, here functinal consultatns need to give guidence as to get the requried data for reports and all.. like the table name, fields etc
What is baseline configuration in sap? Base line and Final config is the third phase in ASAP methadology. The purpose of this phase is to implement all the business & process requirements based on business blue print. You customize the system step by step in 2 work packages: Base Line Configuration & Final Configuration. - Base Line Configuration: this phase comprises the priority requirements of the enterprise, ensuring that they can be implemented quickly. This phase can be completed without programming or enhancements to SAP systems. - Final Configuration: in this phase you confirm that all your requirements are met in the R/3 system. Final configuration is a transportation process that expands that base line solution
Documentation which is prepared before and in a project:
1) Templates 3) Fit Gap or Gap Analysis 4) Business Process Design 5) Business Process Model 6) Business Change & Impact 7) Configuration Design, which is just 5 % of Total SAP- have different names - 8) Future Impact & Change Assessment 9) Functional Design (Module Wise) 10) Risk Assessment 11) Process Metrics and Many More-- Which has impact on Business and its work flow
Note * This documents are prepared in Vanilla SAP Standards -- Things differ from one implementation to another, and it always depends on the type of business which is opting for SAP. What Are SAP End User Manual It is the same for every other modules although here I reference it mainly for SAP HR. 1) You should understand which targeted group for the end-user training is for. Do they have any computer background or not. 2) In what way they are going to make use of the manuals supplied to them during the course of training.
How to prepare manuals: In the client side, End Users are not permanent. If they get any better job outside they will resign and go out. Even if you train them well, again the end-user team disappears after some time. That is why
implementing company( Client ) expects SAP Consultants to prepare documents which are self explanatory (even to a layman in SAP) and study themselves and use the sap easy access very comfortably. Hence we should prepare a document which explains the following things comfortably: A) All the buttons and Screens we have in sap and its importance for an end-user. B) All the transaction codes used by end user. C) The STEP by STEP usage methodology with screen shots and explanatory foot notes for each Transaction code. D) Prepare a book a table and columns which should have the following information: - Sl.NO. - Transaction Code - Navigation path - Use of the Code - Expected Result - Achieved Result - Remarks/Any Comment E) Highlight the common troubles during the usage of SAP by an end- user and give the solutions (ready to use) These problems you can come across while giving the in house training for the end-users. You just place them at one place and publish it for their usage in future for any of their new join as an end-user. F) Every consultant is aware that the entire Organsiational Management is with end user only. Means consultant should train the end user in entire OM. G) We should inform the importance of info types and usage for our purposes at expert mode, PA30, PA40 etc., H) Each field in the international infotypes should be explained very clearly and ensure that they are comfortable with the fields of infotypes which have been configured for their company.
For example : info type 0001 Org Assignment insists about the three structures of the HR. We should explain each sub field like Emp Group, Emp Sub Group, Personnel Area and Sub Area and its importance and relevance to their company so as to understand while processing them from the end- user point of view . When an employee is hired into the company , now the end-user in a position to understand which employee group and subgroup, Personnel Area And Sub Area etc., should allotted.. Like this whatever comes across in SAP Easy Access should be insisted through the training of end users. I) Demo, exercises and solutions should be provided in the manuals. J) Glossary of terms and expansion of Acronyms, Abbreviations should be given. Like this each consultant should focus on end user training and prepare the documents. As is document: How to start doing the project in 'AS IS' ? Are you working as a technical person or functional person? This work is of a functional consultant. It involves understanding the complete functionality of the system. It involves detailed understanding of how the HR department is functioning because based on that only you would provide a solution to them. Like suppose you are implementing SAP HR module for them then in the AS-IS and TO-BE phase, you need to prepare all the documents of the process flow (you can prepare them in word). Like suppose you are implementing for PA then you need to identify how many personnel areas you need to make, how many subareas you will make, employee groups, subgroups, based on what you are classifying them? This all will come in the master data document which has to be approved from the client whoever he is . Like if the current system is on mainframe or for some specific applications like for recruitment the system is on mainframes and the client wants to keep that system as well then interfaces need to be identified which will be there because you will have to upload the data to sap system using bdc. Like this for every process there will be a document. Even for actions like: - Hiring - Newly Hire - Termination
-Transfer - Layoff etc You will have to see what all actions your client wants, like if there is an action transfer which is run for employee what all will be the reasons you will be configuring for that action. This will be told by the client which can come out after a series of meetings and after discussions you will have to come out with the document that these will be action types. These will be the action reasons, these will be the action codes for that. This will be in the TO BE process document. After this phase is over complete configuration can be done. Actually AS-IS process in summary involves a : 1) Series of meeting with the client. 2) Gathering complete information about the existing system. 3) Preparation of the blue print documents describing the complete AS-IS process ,i mean the existing system. 4) Flow charts should be included in the as-is blue print process flow document describing the complete process. 5) After this is finished u have to give the TO-BE process structure that will be implemented in SAP. 6) After that there will be some things which cannot be implemented in SAP so the gaps are to be identified. 7) These gaps are to be documented in white paper for the client. It is a lengthy process but not so difficult only the thing is that the functionality is to be understood properly.
SAP BLUEPRINTING Defining the Business Processes After you have defined your organizational structure for R/3, the definition of the business process for your Business Blueprint is the next step. You now map the enterprise requirements onto R/3 business processes, in order to create the conceptual design for your R/3 implementation. For this, the following activities need to be carried out: • Conducting business process workshops • Completing the Business Blueprint, reviewing it and obtaining management signoff • Setting up an end user training schedule Besides determining the R/3 functionality to be implemented, the following types of requirements should be identified in the business process workshops: • Reporting requirements • Interface requirements • Conversion requirements • Enhancement requirements • Authorization requirements Since all the results gathered during the workshops will subsequently create the Business Blueprint, the importance of this step cannot be underestimated. The main tool used to define the business processes is the AcceleratedSAP Question & Answer Database in conjunction with the R/3 Reference Model. In the process, information is gathered using the following tools: • Business Process Questions (via R/3 Reference Model) • Customer Input (CI) Template • Business Process Master List • Knowledge Corner A functional spec should theoretically mean that the ABAPer should be able to take the design document you have prepared, go and sit in a dark corner of the office and build the whole report..... this rarely if ever happens, but I think that the theory.
When you write a functional spec, you are meant to be turning the clients requirements into a design document that a techno can then build from.
Some of the things you may want to think about are: Report logic - What information is the report trying to get, what logical links are required to link the data together - like master data and payroll data, and org mgt data, and how should this be linked, an imp
how should this be linked, an important bit to remember here is the time selection, do you want all the data in the system, or only the data relevant on the day, or over a month etc.
Selection screen - What fields are required as selection options
Authorisations - Should the report check the 'runners' authorisations and tailor the output accordingly
Output - What fields are required to be output, in what order, in what file type, for example this could be a text file, or just out to the screen of the runner.
Error handling - What should the report do when it encounters a problem eg what scenarios would constitute errors - what should happen etc.
Test mode - does the report require running in test mode prior to a file being produced?
What are the roles & responsibilities as a sap hr functional consultant As a Functional Consultant, one needs to first understand the business process of the client and then map it in SAP to accommodate those business processes.
In the Business Blueprint stage, you need to prepare AS-IS (which is a detailed list of the current business practices of the client) and then , you need to prepare a QADB (Questions and Answer Data Base) questionnaire and send it to the client.
Then, based on client's answers, you need to prepare TO-BE list ( procedure in SAP to match the client's business process).
You need to map AS-IS process and TO_BE process.
What are the differences between a functional and business consultant? The difference between Functional consultant and Business consultant are as follows: 1) A funcitonal consultant is able to configure the system unlike business consultant. 2) Functional consultant know more about business process unlike Business consultant. 3) A business consultant will bring business process knowledge and provide it to functional consultant who in turn used this knowledge to configure the system. 4) Functional consultant has more configuration knolwledge then Business consultant The responsibilities of a support consultant are: - Primarily responsible for Handling tickets and application support to the endusers - When an issue comes diagnose, analyse and solve the issue - Responsible for any enhancements - Writing functional specs and interacting with Abapers to develop any user exits - Training the end users and preparing end user training material For those who wished to know the role of a functional consultant. Below is one view: A functional consultant evaluates the demands in talking with the customer\'s representatives, transforms the essence into an abstract and algorithmic business model. Hence, he identifies the use cases and transforms them into logical and technical views. Then the main task starts: customizing the respective business area and making sure the system reacts in the manner according to the constraints of the requested use case. The consultant documents the settings and prepares proper guidelines that allow other consultants to do further changes or repairs with due efforts. The consultant takes care that proper training is given to the users and that the system is usable, performing appropriately and the business flow is complete and correct. During go live he assists the technical staff by testing the behaviour of the system.
After go live he guarantees that the procedures remain usable and consistent in real live situation and proposes enh
The consultant takes care that proper training is given to the users and that the system is usable, performing appropriately and the business flow is complete and correct. During go live he assists the technical staff by testing the behaviour of the system. After go live he guarantees that the procedures remain usable and consistent in real live situation and proposes enhancements. The main duty of a consultant is to transfer external know-how to the client. It is not manpower that counts but intelligence, understanding of processes, a feeling for defects and general a common sense. Role of a Functional Consultant in an End To End Implementation 1. Functional consultant is expected to generate knowledge about the current business process, design current business flows, study current business processes and its complication, in all we can say getting through with current business setup. Flow diagrams and DFD are prepared, most of the time in Vision format, all this forms the part of AS IS document. 2. Everything configured has to be documented as per their categories in the form of predefined templates, these have to be then approved by the team leads or who ever the consultant is reporting to. 3. Mapping and GAP analysis is done for each module, I have seen people defining integration after mapping, gap analysis and configuration is done, but as per my experience in implementation, it is a simultaneous process. 4. Before starting configuring future business processes in SAP, the DFD/ERD are prepared, this documentation is called TO BE, which can be also siad as the result of mapping and gap analysis. 5. Sometimes Functional consultants are also expected to prepare test scripts for testing the configured scenarios. 6. End user manual and user training is also expected from F.Consultants. The project normally starts off with a Kick off meeting in which the team size, team members, reporting system, responsibilities, duties, methodlogy, dates and schedules, working hours which have been predicided are
working hours which have been predicided are formally defined.
SAP Landscape is like a server system or like a layout of the servers or some may even call it the architecture of the servers viz. SAP is divided into three different lanscape DEV, QAS and PROD. - DEV would have multiple clients for ex: 190- Sandbox, 100- Golden, 180- Unit Test. - QAS may again have mutiple clients for ex: 300- Integration Test, 700 to 710 Training. - PROD may have something like a 200 Production. These names and numbers are the implementer's discreet on how they want it or they have been using in their previous implementations or how is the client's business scenario. Now whatever you do in the Sandbox doesn't affect the other servers or clients. Whenever you think you are satisfied with your configuration and you think you can use it moving forward, you RE-DO it in the golden client (remember, this is a very neat and clean client and you cannot use it for rough usage). As you re-do everything that you had thought was important and usable, you get a transport request pop up upon saving everytime. You save it under a transport request and give your description to it. Thus the configuration is transported to the Unit Test client (180 in this example). You don't run any transaction or even use the SAP Easy Access screen on the 100 (golden) client. This is a configuration only client. Now upon a successful tranport by the Basis guy, you have all the configuration in the Testing client, just as it is in the Golden client. The configuration remains in sync between these two clients. But in the Testing client you can not even access SPRO (Display IMG) screen. It's a transaction only client where you perform the unit test. Upon a satisfactory unit test, you move the good configuration to the next SERVER (DEV). The incorrect or unsatisfactory configuration is corrected in Golden (may again as well be practised in the sandbox prior to Golden) and accordingly transported back to 180 (Unit Test) until the unit test affected
by that particular config is satisfactory.
The Golden client remains the 'database' (if you wanna call it that) or you may rather call it the 'ultimate' reference client for all the good, complete and final configuration that is being used in the implementation.
In summary: Landscape : is the arrangement for the servers IDES : is purely for education purpose and is NOT INCLUDED in the landscape. DEVELOPMENT ---> QUALITY ----> PRODUCTION DEVELOPMENT : is where the the consultants do the customization as per the company's requirement. QUALITY : is where the core team members and other members test the customization. PRODUCTION : is where the live data of the company is recorded. A request will flow from Dev->Qual->Prod and not backwards. These three are landscape of any Company. They organised their office in these three way. Developer develop their program in Development server and then transport it to test server. In testing server tester check/test the program and then transport it to Production Server. Later it will deploy to client from production server. Presentaion Server- Where SAP GUI have. Application Server - Where SAP Installed. Database Server - Where Database installed
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