Combine multiple Sales Order into one delivery

1. Order combination must be selected in wither the Customer Master shipping tab or in the Sales order header detail under shipping.
a. If you check it in the customer master it will automatically pull into the sales order

2. Order items and schedule lines must have identical shipping criteria
a. Shipping Point
b. Ship-to Party
c. Incoterms
d. Sales Organization

3. Use VL10A to create the list of sales orders that meet your criteria
a. Select all that you want to combine
b. Select background processing
c. Single delivery note is created for all selected
d. Packing list shows each SO & PO with material and qty

4. Use VF01 to create the invoice for the combined delivery.
a. Combined invoice is created.


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主数据之account assignment group

在material和customer的sales相关view中,有一个字段,account assignment group,它可以决定最终billing doc到FI doc时,进入哪个revenue account

相关配置在 IMG->Sales and Distribution->Basic Functions->Account Assignment/Costing->Revenue Account Determination下

执行Check Master Data Relevant For Account Assignment就可以配置material和customer的account assignment grp

之后通过执行Define Dependencies Of Revenue Account Determination 来定义决定收益帐户的条件table

比入001 就由sales org./acct assgGr/accout key 组成

然后执行Define Access Sequences And Account Determination Types来定义帐户决定的一个过程的condition type,跟定价类似,通过不同顺序和condition table来定义搜索的过程

之后通过Define And Assign Account Determination Procedures将condition type分配给一个决定过程

Define And Assign Account Keys可以定义和分配account key给condition type 这样可以使得进入FI的不同帐户,比如SAP内置了

  • ERF freight revenues
  • ERL revenues
  • ERS sales deductions
  • EVV cash settlement
  • MWS sales tax

最后通过Assign G/L Accounts 分配帐户。
http://www.sapscene.com/sapscene/accassg.html

SD-FI Account Determination and Postings

This is known in the IMG as "revenue account determination", but it covers a lot more than that (discounts, taxes etc). This is what determines how the financial impact of your SD Billing document is posted into the FI General Ledger.

The integration is controlled both in SD and in FI.

In SD there is a awesome area of configuration called the pricing procedures. The pricing procedure determines the final price quoted to the customer for a particular product. This could be a complicated calculation taking into account the base price, any special prices or discounts that may apply to that scenario, taxes, freight charges etc. These prices or charges are called 'condition types'. This condition technique is used in a number of areas of SAP.

For now all we need to know is that each condition type is assigned to an account key (or in the case of rebates two account keys). You can assign multiple condition types to the same account key. There are a number of account keys that are pre-defined in the system. For example:

  • ERF freight revenues
  • ERL revenues
  • ERS sales deductions
  • EVV cash settlement
  • MWS sales tax

Now we start getting to the integration by mapping the account keys to GL accounts. But it is not as simple as that. It can be as flexible (ie: as complex) as you want. Start off with the most simple approach. Generally if one is using a good sales / revenue reporting tool (eg: CO-PA) then one does not need a lot of flexibility and variety in the GL accounts that are posted to. The level of detail that you need in GL should be determined by your financial statement reporting requirements - you may end up with only one Revenue account - it is a good bet!

So, taking the simple approach we would ignore most of the configuration possibilities : procedures, access sequences, condition tables etc (Yes it is that 'condition technique' kicking in again. Once you have worked through it once in one area and encounter it in another then hopefully you will be comfortable in knowing that most of the standard configuration can be left as is. )

We have to decide which access sequences we want to use (Five access sequences are defined in the standard SAP R/3 System). To keep it simple, let us assume we just use one - for example: the access sequence "chart of accounts/sales org./account keys".

The chart of accounts part is standard in all account determinations, so let us look at the rest. This access sequence allows us to specify different GL accounts for different Sales Organisations.

So if we had a billing document line item where the customer had some special deductions for one of the products he purchased, we could map accounts by Sales Organisation. To make it even simpler a document is within one Sales Organisation so we have an overall mapping as follows:

SD Line Item Condition typeSD AmountAccount KeySales OrganisationGL Account
1 Sales deduction for being such a nice guy$10ERS1000800010 - Sales deductions for 1000
Sales deduction for special promotion on particular product$15ERS
Base Revenue$200ERL800000 - Revenue for Sales Org 1000
Total for item 1$175
2Base Revenue$100ERL1000800000 - Revenue for Sales Org 1000
Total for item 2$ 100
Document Total$ 275

So the invoice that the customer gets (and that you can view in SD) will look something like:

Item (Note this is the SD Invoice line item)Amount
Item 1: $175
Item 2: $100
Total owing , 30 days terms etc: $275

The GL document posting that the system will make to FI will look something like this though:

FI Line Item Debit / Credit AccountAmount
1Debit (PK=01)Customer (AR Account)$ 275
2Credit (PK=50)Revenue (GL Account)-$ 300
3Debit (PK=40)Sales Deduction (GL Account)$25

Balancing to 0 as all GL documents must....

$0

Note : There is no direct relation between an SD Line item and an FI Line Item - they are different things.


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subsequent settlement in SD

制造商按经销协议向经销商发货,发货时制造商
在SAP中VA01创建订单-----VL01创建出埠交货单-----VL02过账发货------VF01创建billing。如
果系统中存在制造商与经销商的rebate agreement及相应的报酬条件,则在有效期之内的每一个
sales order的condition中均有rebate的计算值,期末(周结、月结、年结均可,自己掌握)制
造商的会计在SAP中rebate agreement来一个“create accrual”,存盘后系统将生成类型为B1的
billing credit memo,这就是所谓的“subsequent settlement”的原理机制。用于经销商的
“返利”,正当其时。

http://www.erphome.net/wdb/wdbread.php?forumid=5&filename=f_542


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物料主数据之product attributes

物料主数据的sales: sale org.2 视图中,有1~10个product attribute可以勾选,是用来描述货物的一些特殊性的。比如attribute 1表示货物是进口的。同样,在customer 主数据sales视图中,也有1~10的product attribute可以维护,表示的是是否接受物料的特定属性,如果不接受,可以勾选上。比如我们将attri 1勾选。 然后再后台

Sales and Distribution->Sales->Sales Documents->Sales Document Header->Define Sales Document Types中定义message相应类型,在建SO的时候,相应的ship-to-party如果拒绝有某个特性的物料,系统会给出相应的message


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国际贸易术语 incoterms

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物料主数据之Configurable Materials

我们采购一个物料的时候,有可能这个物料有很多可变的参数。比如SAP为汽车制造业提供的解决方案就充分的利用了LO Variant Configuration 比如汽车的颜色。如果参数很多,为每一个可能都建立一个物料主数据是十分麻烦的,所以SAP提供了物料配置的功能。使得我们在采购和销售物料时,可以指定参数。

那么在SAP关于采购的help中提供了一个最简单的示例,就是配置公司采购的信封,信封有尺寸和是否具有logo等可配置属性。

具体操作步骤可以参考 http://help.sap.com/saphelp_47x200/helpdata/en/9f/fb79385feddf6ae10000009b38f8cf/content.htm

最终配置的效果如下


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一个sold-to-party,多个ship-to-party的问题

虽然这个被大家称为是经典问题,但是依然有很多人在问,所以还是简单的演示一下好,其实就是几个图片而已。

SAP不但提供了header的partner功能,item也有的 所以只需要在item的partner功能里,给不同的item设置不同的ship-to-party就好了。至于partner determination的配置,计划近期写一篇简单讲解一下。


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SD面试问题及解答

I BASIS KNOWLEDGE AND SYSTEM NAVIGATION
1. Name two ways to start a transaction.
i. Dynamic Menu
ii. Command Field

2. Why do you create user-specific parameters?
i. 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)

3. Name the three different kinds of messages in the R/3 system. What is the difference between them?
i. A message can have five different types. These message types have the following effects during list processing:
ii. A (=Abend):
a. 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).
iii. E (=Error) or W (=Warning):
a. The system displays a message of this message
type in the status line. After the user chooses ENTER, the system acts as follows:
b. While creating the basic list, the system terminates the report.
c. While creating a secondary list, the system terminates the corresponding processing block and keeps displaying the previous list level.
iv. I (=Information):
a. 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.
v. S (=Success):
a. The system displays a message of this message type on the output screen in the status line of the currently created list.

4. What is a data dictionary or repository?
i. 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.
ii. The data descriptions in a Data Dictionary is also called metadata, i.e., data that describes
other data.
iii. 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.

5. What is a matchcode?
i. 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.

6. If you want an end user to see a
specific menu after logging on the R/3 system, how could you do that?
i. 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
8. In R/3 you can represent a company's
structure by defining and assigning corporate structure elements. What is the purpose of doing that?
i. 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.

9. Which three organizational elements make up a sales area and briefly explain their function?
i. Sales organization: An organizational unit that sells and distributes products, negotiates terms of sale, and is responsible for these transactions.
ii. 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.
iii. 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.

10. Name the three internal organizational elements within a sales organization and briefly explain their function.
i. 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.
ii. 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.
iii. Sales Group. The staff of a sales office may be subdivided into sales groups. For example, sales groups can be defined for individual divisions.
iv. 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.

11. What does the term "business area" refer to and how can it be used?
i. Business Area. The system posts costs and revenue according to the business area. The business area can be equivalent to the:
ii. sales area (if the accounts are to be posted according to sales)
iii. plant/division (if the accounts are to be posted according to products)
iv. 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.

12. Briefly explain the relationship between sales organizations and company codes.
i. Many to One.

13. What is the central organizational element in purchasing?
i. Purchasing Organization.

14. Explain the relationship between sales organizations and plants.
i. Many to Many.

15. Explain the relationship between sales organizations, plants and company codes.
i. Many to Many to One.

16. Can one business area be assigned to several company codes? Which (sub) module of SAP could make business areas obsolete?
i. Yes in CO .

17. What is a credit control area? What relationship exists between credit control areas and company codes?
i. 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.

18. Which organizational element is central in shipping? Give a definition of it.
i. 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.

19. Give a definition of plant (in SAP).
i. Organizational unit within Logistics, serving to subdivide an enterprise according to production,
procurement, maintenance, and materials planning aspects.
ii. A plant is a place where either materials are produced or goods and services provided.
iii. Classification: Business object
iv. Structure: A plant can assume a variety of roles:
v. 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.
vi. As a retail or wholesale site, it makes merchandise available for distribution and sale.
vii. As a rule, the plant is the organizational unit for material valuation.
viii. The preferred shipping point for a plant is defined as the default shipping point, which depends on the shipping condition and the loading condition.
iii. 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.
iv. 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.

4. Can you assign two different sales organization to the same company code?
i. Yes.

5. To what do you assign distribution channels and divisions?
i. Sales Organizations.

6. What are the highest organizational units in SD, MM.PP,FI,CO?
i. SD: Sales Organizations.
ii. M: Plant
iii. PP: Plant
iv. FI: Company Code
v. CO: Controlling Area

7. Can you further subdivide a plant? If yes into what ?
i. 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).
ii. 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.

8. Can a sales organization sell from a plant belonging to a different company code?
i. Yes.

9. How many shipping points can you assign to a plant?
i. Many.

10. How many shipping points can you assign to a sales organization?
i. None.

11. If you have a warehouse management system active, to what would you assign
the warehouse number?
i. Plant & Storage Location.

III MASTER DATA
13. Why does the customer master have different views?
i. 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:
ii. For the payer
a. For the sold-to party who, in addition to the other partner functions, also takes on the function of the payer.

14. Which different partner functions can a customer master record serve?
i. Customer:
- sold-to party
- ship-to party
- payer
- bill-to party
- One-time customer including all partner functions.

15. What is the structure of data in the customer master record?
i. Different data is maintained
in each of the three areas:
ii. 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.
iii. 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.
iv. 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).

16. Would you have different customer numbers if your customer was serviced by more than one company code?
i. No.

17. Would you have different customer numbers if your customer was serviced by more than one sales organization?
i. No.

18. A material is produced in plant Boston, plant Dallas and in plant Chicago. How many different material master number do you need?
i. Only one.

19. Is it possible to have different data for the same customer for different sales areas?
i. Yes.

20. Give examples of general data in the customer master record ?
i. Address, Control data, Marketing, Payment transactions, Contact person, Unloading points.

21. Give examples of general data in the material master record ?
i. 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).

22. Give examples of company -code-specific data in the customer master record?
i. 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.

23. Which plant-specific data do you find in the material master record?
i. 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.

24. If a customer wishes to receive goods on Tuesdays only, how could you ensure that in the SAP R/3 system?
i. 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.

25. Do you find any sales prices in the material master record?
i. Yes.

26. Name at least five different partner functions.
i. Examples of partner functions in Sales and Distribution:
ii. sold-to party, ship-to party, bill-to party, payer.
iii. Examples of partner functions (roles) in Materials Management:
iv. ordering address, supplier of goods, invoicing party, different payee.

27. Which are the two partner functions in SD that have to be maintained in FI too ?
i. sold-to party, payer.

28. Can you assign a material to more than one division?
i. No.

29. If you want to create language specific sales texts for your material master, would you have to create a new material master record?
i. No.

30. What is a material type and which material types do you know?
i. Raw materials, semi-finished products, finished products, trading goods, operating supplies.

31. Name the four standard industry sectors in SAP for the material master. For what do you use them?
i. Branch of industry.
ii. 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).
iii. 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.

32. For what or why do you use the classification system in sales? Give examples of objects you can classify in R/3.
i. For e.g., Variant Pricing of configurable products. Objects can be customers, products, condition types.

33. Does storage-location specific data in the material master record apply for each plant?
i. 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.
ii. 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.
iii. 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.

34. Name at least four views of the material master record.
i. Accounting : Valuation and costing information. Examples: standard price, past and future price, and current valuation.
ii. 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.
iii. Purchasing: Data provided by Purchasing for a material. Examples: purchasing group responsible for a material, over- and underdelivery tolerances, and the order unit.
iv. Engineering: Engineering and design data on a material. Examples: CAD drawings, basic dimensions, and design specifications.
v. Storage: Information relating to the storage/warehousing of a material. Examples: unit of
issue, storage conditions, and packaging dimensions.
vi. Forecasting: Information for predicting material requirements. Examples: how the material is procured, forecasting period, and past consumption/usage.
vii. 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.

35. What are the possible units of measure for a material?
i. 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:
ii. 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.
iii. 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.
iv. 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.
v. 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.
vi. Quantity Specifications: Two different quantity specifications are used:
vii. 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.
viii. 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.

36. What is a Bill of material?
i. 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.

37. Is the BOM used in the PP module only?
i. No. Also used in SD.

38. Explain what a routing is?
i. Routing contains the operations required in production, and the production resources/tools, material components, and test equipment required to produce the product.

39. What is a work center?
i. 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 .
ii. 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.
iii. 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.

40. What does the account group of the customer /vendor control?
i. A collection of properties of accounts which determine the creation of master records.
ii. 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.
iii. Each master record must be assigned to an account group.
iv. 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.
v. The account group ensures that for the different partner functions of a customer only the necessary screens and fields are displayed for input.

41. What are the two possible ways of control for the cost of a material in the material master record?
i. Standard Price, Moving Average Price.

42. What is a valuation class?
i. Allocation of a material to a group of G/L accounts.
ii. 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).
iii. 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.

43. 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?
i. 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
45. Briefly describe the types and structure of the sales document and give examples of data that you find on the different levels.
i. Sales-related business transactions are recorded in the system as sales documents. There are, broadly speaking, four different groupings of sales documents:
ii. Sales queries, such as inquiries and quotations
iii. Sales orders
iv. Outline agreements, such as contracts and scheduling agreements
v. Customer problems and complaints, such as free of charge deliveries
and credit memo requests.
vi. Header Data
vii. The general data that is valid for the entire document is recorded in the document header. This data includes the:
viii. number of the sold-to party
ix. number of the ship-to party and the payer
x. document currency and exchange rate
xi. pricing elements for the entire document
xii. delivery date and shipping point
xiii. Item Data
xiv. 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:
xv. material number
xvi. target quantity for outline agreements
xvii. number of the ship-to party and the payer (an alternative ship-to party or payer can be defined for a particular item)
xviii. plant and storage location specifications
xix. pricing elements for the individual items
xx. Schedule Line Data
xxi. 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.
xxii. Data recorded in the schedule lines includes the:
xxiii. schedule line quantity
xxiv. delivery date
xxv. confirmed quantity

46. What is the difference between an inquiry and quotation ?
i. Inquiry: Request made to a vendor for a quotation for required materials or services.
ii. No availability check is done for inquiry.
iii. Quotation: Offer from a vendor to a purchasing organization regarding the supply of materials or performance of services subject to predefined terms and conditions.
iv. A quotation consists of a number of items, in which the total quantity and delivery date of an offered material or service are specified.
v. The total quantity can be subdivided into several partial quantities with different delivery dates in the lines of a delivery schedule.

47. 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?
i. No. Customer Material Information or Material Description.

48. If a customer doesn't place an order with you after you have sent him a quotation, what happens to the quotation document?
i. Remains active till the end of validity period.

49. Can you have alternative items in a sales order?
i. Yes.

50. If you reference an inquiry when creating a quotation ,would the inquiry be updated?
i. Yes.

51. Can you copy one inquiry to many quotations ?
i. No.

52. Can you copy several previous documents into one sales order?
i. Yes.

53. Do you always have to copy the entire quantities at item level when you reference a previous document?
i. No.

54. Can you make sure that business data in a sales order is only possible to maintain at header level?
i. Yes.

55. From where is the delivering plant transferred into the sales order?
i. Customer Master, Material Master.

56. Which partner function is relevant for the delivering plant? The sold-to-party , bill-to-party, payer, carrier or the ship- to- party?
i. Ship-to party.

57. Can you manually change the delivering plant in the sales order once it was defaulted from the master data?
i. Yes.

58. For what or why do you use the incompletion log?
i. To have a complete document so that it doesn’t affect subsequent processes.

59. Can you have different incompletion logs for different item categories? Schedule line categories?
i. Yes.

60. If a document is incomplete can you still save the document?
i. Yes.
61. Which reference statuses can a document have at item level? Which statuses at header level?
i. Item level: Partial, Full.
ii. Header level: Full.

62. What's the advantage of using text as a reference instead of duplicating it?
i. Can be modified if needed.

63. What three sources provide data for the creation of a sales document?
i. Material Master, Customer Master, Previous referenced documents.

64. Can you change addresses of partners manually in the sales document?
i. Yes.

65. Name several input tools that make order entry faster and give a definition of them?
i. Customer Material Information, Product Proposal , Referencing Documents.

66. In which business environment would you use only the single-line entry screen to create and save the order?
i. Telephone Sales, Simple Business.

67. If you do not specify the delivering plant in the sales order, what could the system then not
do?
i. Delivery Scheduling.

68. For what would you use the fast change function in sales entry?
i.
Alternate Plants, Delivery or Billing Blocks
69. Name two ways to control that customers can receive only certain materials?
i. Material Listing, Exclusion.

70. What does the item category control?
i. 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?
i. Shipping Data
- Is an item relevant for delivery?
- Should the weight and the
volume of an item be determined?
i. 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.

72. Name the influencing factors for determining the item category in the sales document?
i. Sales Document type, Item Category Group, Higher Level Item, Item Usage.

73. Name the influencing factors for determining the scehdule line category in the sales document?
i. Item Category, MRP Type.

74. What does the sales document type control?
i. 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?
i. 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.
i. Billing Data
ii. Which billing type
should the invoice resulting from the order or the delivery have?
iii. 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.

75. Can the sales document type be determined by the system?
i. No.

76. In R/3, can you automatically substitute one product for another? How? What would you have to create?
i. Yes. Product Selection / Material Determination.

77. Give a definition of replenishment lead time?
i. 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.

78. What's the difference between checking availability with or without replenishment lead time (RLT)?
i. 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.
ii. Without RLT : Availability check is unrestricted. Displays Delivery Dates as on which partial deliveries can be made with available stock.

79. Name at least three item categories?
i. Standard Items : AFN, AGN, TAN.
ii. Free of charge Items: AFNN, AGNN, TANN.
iii. Non-stock Items : AFX, AGX, TAX.
iv. Text Items : AFTX, AGTX, TATX.

80. Why would you use different item and schedule line categories?
i. Item categories are defined to provide additional control functions for the sales documents and thus meet the demands resulting from the different business transactions.
ii. 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.

81. Can you change existing standard item categories?
i. Yes.

82. Can you create new sales order types?
i. Yes.

83. Different dates will be calculated in order entry scheduling . Can you name the lead time variables that will be taken into account?
i. Transportation lead time, Pick/pack time, Loading time, Transit time .

84. If you run out of stock in a specific plant can you check if there are quantities available in other plants?
i. Yes.

85. When you carry out availability check, which quantities or movements can the system take into consideration?
i. The following elements can be included in the availability check:
ii. Stocks : safety stock, stock in transfer, stock in quality inspection, blocked stock.
iii. Inward and outward movements : purchase orders, purchase requisitions, planned orders, production orders, reservations, dependent reservations, dependent requirements, sales requirements, delivery requirements.

86. Give some examples of sales document types (description, not necessary the short code) that already set up in the standard system?
i. 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.

87. Can you maintain texts for a specific customer and store them in the system? If yes, where?
i. Yes. Customer Material Information.

88. When the system checks availability which scheduling would it use first?
i. Backward Scheduling.

89. Name the influencing factors for the determination of the availability date?
i. 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.

90. Name the three delivery possibilities when there is not enough stock available?
i. One Time Delivery, Complete Delivery, Partial Deliveries.

91. Can you think of an example why you would have to create a text for a customer and copy it to the sales order?
i. Customer specific instructions.

92. What is the function of item category group?
i. 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.
ii. 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.

93. 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?
i. No.

94. What is a delivery group and why would you use it?
i. 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.

95. What is backorder processing?
i. 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.
ii. Backorder processing is only available for materials with individual requirements.

96. Can you link items in a sales order? If yes, when would you do that?
i. Yes. Promotional Items.

97. 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.
i. 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.

98. Credit limit checks is an example of a very close link between which two SAP modules?
i. SD & FI.

99. What are the two techniques in delivery scheduling?
i. Backward Scheduling & Forward Scheduling.

100. 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?
i. By specifying item category as TAS using double-line entry in the sales order.
ii. No special order type is available.
iii. By the item category group and/or material type in Material Master .

101. Name the several steps in consignment processing.
i. Consignment fill-up, Consignment issue, Consignment pick-up, Consignment return.

102. What’s the difference between consignment pick-up and consignment return?

103. 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.

104. 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.

105. Can you control that an end user cannot copy a quote of customer A to a sales order for customer B? If yes, where?
i. Yes. By customizing Copying Control for header data.

106. 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?

107. General data, payment terms, shipping details, delivery agreements, delivering plant.

108. What is returnable packaging processing?
i. 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.

109. Name the two outline agreements in R/3 standard and explain the difference between them.
i. 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.
ii. Unlike a contract - which only contains an overall target quantity or value - a scheduling agreement also contains specific order quantities and delivery dates.

110. How many documents do you create when you release, deliver and invoice the first order from a contract?
i. Three : Sales order, Delivery note, Invoice.

111. What types of output can you have in sales?
i. Printer, Telex, Fax, Mail, EDI.

112. Can you automate output processing ? Do you always have to specify it manually?
i. yes. No.

113. 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?
i. Customizing Copy Control.

SHIPPING
115. Describe the flow of data from the sales order into the delivery for header
and item and schedule line level data?
i. Header --> Header
ii. Item --> Header, Item.
iii. Schedule line --> Item.

116. Can you combine several sales orders into one delivery document ? If no, why not? If yes, would the system check certain criteria? What criteria?
i. No. When ship-to party or plant is different.
ii. Yes. Availability of all items are confirmed.

117. Name a few prerequisites that have to be fulfilled if you want to create a delivery for the order.
i. Header Level
a. There cannot be a delivery block at header level.
b. The sales document must contain at least one item due for delivery before a delivery can be created for this document.
ii. Item Level and Schedule Line Level
a. The schedule line must be due for shipping on the specified selection date.
b. A schedule line becomes due for shipping as soon as the material availability date or the transportation scheduling date is reached.
c. The schedule line cannot be blocked for delivery.
d. The delivery quantity must be greater than one.
e. The items in the order must be fully processed.
f. 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.
g. The product status of the material must permit delivery.
iii. 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.
iv. Sufficient quantity of the material must be available.

118. If you create a delivery, would this automatically update the sales order?
i. 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.

119. Name the different ways of creating deliveries.
i. Partial Deliveries, Complete Deliveries, Deliveries without reference, Grouped Deliveries.

120. How does the system determine the shipping point and the route in the sales order?
i. A shipping point can be determined for each order item. How the shipping point is determined depends on three factors:
ii. 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.
iii. 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.
iv. 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.

121. Can you change the shipping point determined in the sales order manually?
i. Yes.

122. If you have several shipping points in a sales order at item level. What would that have on the delivery?
i. Each item will individual deliveries.

123. Why would you carry out route determination in the delivery again?
i. To reconfirm the weight of the item.

124. At which different levels can you specify pick/pack and loading time?
i. Shipping point determination level : loading time.
ii. Route determination level : pick/pack time.

125. Where do you specify the departure zone and the arrival zone for route determination?
i. Shipping point, Ship-to party.

126. How can the route influence the material availability date?
i. Transit time & Transportation lead time.

127. Why would you carry out availability check in the delivery?
i. 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.

128. Where would you store partial/complete shipment agreements and over/under delivery tolerances?
i. Customer Master and Customer Material Information.

129. Explain the effects of printing out the picking list.
i. Updates the picking quantity in the delivery.

130. How does the system automatically determine the picking storage location in the delivery?
i. Storage Condition.
ii. Shipping Point.
iii. Plant.

131. What is a transfer order and for what would you use it?
i. Document used to support every stock movement in the warehouse.
ii. 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.

132. Define a shipping unit?
i. 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.

133. What effects does goods issue have?
i. 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:
ii. 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.
iii. Material requirements for the delivery are reduced
iv. The delivery status is updated
v. If you bill after goods issue, the delivery enters the billing work list

134. How can you delete a good issue?
i. 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.
ii. Procedure
iii. After you have invoiced the delivery, for which the incorrect goods issue posting was carried out, proceed as follows:
• Enter a returns order (order type RE) for the customer and the material involved.
• 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.
• 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.
• 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.

139. Is it possible to work without specifying a pick/pack or loading time for a shipping point?
i. Yes.

140. When do you initiate packing activity-before or after goods issue? What is the material type for shipping material?
i. Before goods issue . VERP.

141. When you post goods issue after packing, which two documents do you create?
i. Picking List, Invoice.

142. Can the delivery quantity and the picking quantity in the delivery document be -different?
i. Yes.
PRICING
144. Could you explain what condition technique in SAP is?
i. Hierarchy of elements defining a data combination which leads to certain actions.
ii. 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.

145. Name three areas/processes which use condition technique in SD?
i. Material determination, Output determination, Account determination.

146. What are the four basic elements of condition technique?
i. Condition Types, Condition Tables, Access Sequences, Pricing Procedures.

147. Please explain graphically the relationship between the four basic elements in condition techniques?
i. Procedures --> Condition Types --> Access Sequence --> Condition Tables --> Condition Records.

148. Explain what a pricing procedure is?
i. 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.

149. Explain what a condition table and an access sequence is and the relationship between them?
i. 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.
ii. 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.

150. What is a condition type? What are the two main groups of condition types?
i. 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.
ii. Fixed Amount & Percentage.

151. Is SD the only module that uses condition technique?
i. No.

152. What is a condition supplement and why would you use it?
i. 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.

153. Which partner function is relevant when it comes to tax calculation in the sales order?
i. Ship-to party.

154. Name at least three different condition types in pricing?
i. Price, Discounts, Freight. PROO, K007, KF00.

155. You can create scales for prices and discounts. Name the four possible scale basis in R/3.
i. Value, Quantity, Gross weight, Net weight, Volume.

156. Where would you specify that a condition type is a discount or a surcharge?
i. In Condition Type Details Screen.

157. 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?
i. Yes.

158. You want to list all condition records for a certain material or a certain sales organization. How would you do that?
i. By creating Pricing Reports.

159. Does the pricing procedure apply for the pricing data at item level or for the pricing data at header level?
i. Both.

160. 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?
i. Condition Type.

161. Which data do you have to maintain in SD so that the system can determine the sales taxes in the sales order automatically?
i. Tax rate with or without Jurisdiction.

162. What does the condition exclusion indicator do for you?
i. The system can exclude conditions so that they are not taken into account during pricing in sales documents.

163. Can you explain what a statistical condition is? Give an example for a statistical condition?
i. VPRS.

164. For what do you use customer hierarchies?
i. Pricing , Rebate.

165. Can you track cumulative values in R/3? If yes, it could be based on what?
i. Yes. Maximum Value, Maximum Orders, Maximum Quantity.

166. If you want to make sure that conditions records apply for a certain time period only what would you have to do?
i. Validity Period to be specified in condition record.

167. What is a group condition?
i. 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.

168. Name the influencing factors for pricing procedure determination during sales order entry?
i. Customer, Sales Document Type and Sales Area.

169. Can you copy condition records? If yes, are there any restrictions?
i. Yes. Field specific.

170. If you create a new condition type-do you also have to create a new condition table and a new access sequence?
i. Yes.

171. Where can you specify that a condition is mandatory?
i. In Pricing Procedure.

172. Tax jurisdiction processing is a close link between which two modules?
i. FI & SD.

173. Do you have to create a condition record for taxes in the SD application?
i. Yes.

BILLING
175. Name several billing types?
i. F1 : Order related Invoice F2 : Delivery related invoice.
ii. F5 : Proforma Invoice for Sales Order F8 : Proforma Invoice for Delivery.

176. Can you delete an invoice?
i. No. You can cancel it and create cancellation document.

177. When you create an invoice in SD, how do you post it to FI?
i. Select Billing document --> Release To Accounting.
ii. 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 --> Details in the billing document.

178. When you create an invoice can you carry out pricing again?
i. Yes.

179. From which documents can you create a proforma invoice?
i. Based on sales order or delivery.

180. 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?
i. No. Billing status not assigned to proforma invoice. Posting bock in the billing document.

181. When you create a credit memo request do you always have to refer to a sales order or any other previous document?
i. Only sales order.

182. In R/3 how can you make sure that invoices for a customer are always created at a specific date?
i. Billing Schedule.

183. Can you combine deliveries into one invoice? When would you do that?
i. Yes. If the header data and header partners for specified delivery or sales order are
identical and if requirements for splitting do not apply.

184. Can you combine orders into one invoice?
i. Yes.

185. Can you split deliveries into several invoices? When would you do that?
i. 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.

186. 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?
i. Selection criteria – sold-to party, billing date or receiving partner.
a) separate invoice for each delivery
b) split one sales order for delivery into several invoices.
c) combine several sales orders for delivery into one invoice.

189. Name the five possible influencing factors for account determination for invoices?
i. Chart of accounts of the company code
ii. Sales organization
iii. Account assignment group of the customer (from the customer master record, Billing screen, Account group field)
iv. Account assignment group of the material (from the material master record, Sales 2 screen, Account assignment group field)
v. Account key (from the pricing procedure)

190. Can one business area be valid for several company codes?
i. Yes.

191. What are the two possible ways to transfer sales data to business areas? Where do you specify which way you want to use?
i. sales area (if the accounts are to be posted according to sales)
ii. plant/division (if the accounts are to be posted according to products)

192. There is an interface between SD and FI in invoicing . can you think of another interface between SD and FI?
i. Credit check, Tax calculation, Cost estimate.

193. What is rebate processing?
i. 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

194. What is an invoice list? Which prerequisite are necessary to use an invoice list? How does an invoice list differ from a collective invoice?
i. 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.
ii. The billing documents in the invoice list can be single or collective documents (collective invoices combine items from more than one delivery).
iii. The standard version of the SAP R/3 System includes two types of invoice lists:
- for invoices and debit memos
- for credit memos
i. 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.
ii. Prerequisites for Invoice Lists
iii. 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 t


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做outbound delivery时是否需要做transfer order来做picking的问题

这个是我曾经在itput发的帖子提问 http://www.itpub.net/thread-922888-1-1.html

其实当时最后一个帖子已经回答了我的问题,只是我当时没有自己练习出来。
今天做了一下练习,发现是否需要做TO完全就是取决于这个material item的plant+SLoc.是否被assin了一个warehouse NO.
当没有assign的时候,就不需要TO,直接可以手动添数做PICK,当assign了的时候,就需要来做一个TO做picking了。


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关于SAP SD的status profile

在sales order的header和item level 屏幕中,有一屏叫status。


我们可以通过控制这个status来达到某些业务目的。比如在出口国际贸易中,某种产品没有通过某项国家出口标准,需要打回来重新加工,可以通过程序将相关的status设置为“不符合A政策”,而这个status在business transaction控制中,不允许做delivery开始的任何业务。

具体的配置如下图

我们以IDES系统的一个status profile为例。
这个status profile有7个status,其中PEND pendding是默认的。我们点击明细按钮之后点击create图标,选择一个业务,设置其为允许还是禁止还是报warning的消息。


选择create delivery的forbidden,则在这个status下的order不允许做delivery。
在实际应用中,status可能需要根据后续的业务,通过一些enhancement来达到自动更新status的目的。
则可以应用下面两个function来读取和更新status.
STATUS_READ STATUS_CHANGE_INTERN_VB

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SAP SD中共享master data与sales order的division

1.
为了减少冗余的master data的建立,SD相关的master data可以通过共享来达到。比如1000/10/00(sales org./distribution channel/division)定义的customer/material主数据和condition数据可以为其他sales area所用。
通过如下图配置来达到

2.
当创建一个Sales Order的时候,关于division的来源其实需要配置的。这个小细节平时做项目大家都不太在意。
如下图配置sales order type的画面中,有一个Item division的checkbox 如果选上了,则明细的division来自于物料主数据。如果空白,则在header中输入的division会自动的带到明细中。

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LO620 Pricing搞定

这个是我总结的一个关于定价的大纲。
里面有几个打问号的地方,其中回扣部分是因为回扣是今晚看的,结果手头的环境有些问题没办法搞练习研究,准备明天去公司IDES上折腾去。
其实定价的基本概念和操作并不难,难的是真正的理解公司的业务去灵活的配置出来定价。这个必须有几个外部实施才能搞清楚。

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Down Payment一个不错的练习

LO615 Billing中的一个练习。感觉这是一个相对不错的练习(培训中大部分练习感觉都是鸡肋) 一个down payment的billing过程涉及到了billing plan以及FI clear过程。短短几步但是可以看出billing plan的作用和clear的过程。

-1 Create a standard order (OR) for customer T-S66F## (sales organization 1000,
distribution channel 10 and division 00). This customer orders an elevator (material
number: T-FS2##). The purchase order number is ##LO615-AZ.

2-1-1 Go to the billing plan.
Select the item and choose →→ goto->item->billing plan

2-1-2 Create an invoice for the down payment request.

Enter the order number above and choose the to
restrict the dates as described above.

=> Billing type FAZ is used for billing the down payment request

2-1-3 The customer paid the down payment that was figured into the invoice. Post the payment.
Accounting->FI->Customer->Document Entry->Down Payment->Down payment
Doc Date: current date
customer account: 1280
Special G/L indicator: A
Bank Account:113100
Amount: Refer FI Doc generated by billing doc
Choose Request

Select the down payment requests in the list and choose .
Save.

2-1-4 Now execute the milestone billing process for the first settlement period

=> Two items appear in the billing document:
The amount from the first partial billing document and the down payments
made by the customer that still need to be settled

2-1-5 How could you arrange for the down payment to be only partially calculated
into the first partial invoice?

Condition type AZWR is used especially for down payment processing. If you
only want to carry out partial settlement, you can select the down payment item
to be settled in the billing document, branch to the pricing screen, and change
the value of condition type AZWR.

2-1-6 Check the document flow for this order.

IDES与培训环境数据对应:
Company code 1000 1000

Sales organization 1000 1000

Distribution channel 10 or 14 10 or 14

Division 00 00

Shipping point 1200 1200

Plant 1200 1200

Customer T-S66A## 2141

T-S66B## 2141

T-S66C## 2141

T-S66D## 2141

T-S66E## 1171

T-S66F## 1280

Materials T-ASA## M-06

T-ASB## M-07

T-ASC## M-08

T-ASD## M-09

T-ZS2## REPAIR_SERVICE

T-FS2## E-1002


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[收藏]credit memo和debit memo

http://eaglesforever.yculblog.com/post.865882.html

credit memo和debit memo是对企业向顾客已经交付的货物的价值进行调整的单据类
型。举个例,如果您已经就所交付的货物向买主开具了100元的发票,可是由于货物质量的瑕疵,
买主主张�货接受但必须削价10元�,如果您接受了这个主张,那您就得开具10元的credit memo
(即实际业务中的所谓�红字发票�)。总之,与原始invoice的价值相比,增价用debit memo,
降价用credit memo,两者都是billing document type。
credit memo request 和debit memo request都是sales document type,其原理与一般的销售订
单类型并无质的区别。只是,两个memo request的下游transaction都是直接参照订单创建
billing document,而不需要有delivery。
credit memo request --> credit memo, debit memo request --> debit memo,这就是它们的
流程。

同是销售单据,memo request与Standard order/return的数量的字段属性是
不一样的:前者的数量,系统中的文本是target quantity,技术属性为VBAP-ZMENG;后者的数
量,系统中的文本是order quantity,技术属性为VBEP-WMENG。二者的Processing data归结在不
同的表结构中。
账务票据,memo的数量来自于credit/memo request,invoice来自于order(当然return的后续
billing是credit memo),这已经在copy control中定义清楚了,所以它们的数量同样应该归结
在不同的表结构中。


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ATP与RLT

1,ATP(Avaliable To Promise)
ATP实际上代表一个产品的预计可用数量,就是说,在未来的某一个时刻某一个产成品可以提供给客户的数量,
2,RLT
RLT(Replenishment Lead Time)的概念,叫补货提前期
RLT会影响ATP的结果。
RLT有对于in-house production和external procurement两种产品的定义不同:
对于In-house production又有两种不同的计算方法

The following options exist for materials produced in-house if the replenishment lead time is included in the availability check:

The Total replenishment lead time field is maintained.(物料主数据MRP3 视图)
In this case, the time maintained in this field is used for the availability check.
The Total replenishment lead time field is not maintained.In this case, the system reads the in-house production time and, if available, the goods receipt processing time, and interprets the total of these two times as the replenishment lead time for the availability check.
in-house prodn. time+GR processing time in MRP2 view
以下图说明了RLT对ATP的影响
RLT,SAP

n You can take into account all inward and outward movements. It is recommended, however, that you only implement an availability check at the end of the replenishment lead time.

n The replenishment lead time can be specified for each material.For example, trading goods: planned delivery time + processing time for goods receipt,
Finished goods: in-house production time

n The system assumes that the material will be available at the end of the replenishment lead time by the latest.

n The availability check is only run until the end of the replenishment lead time.

n If you check availability in case 4 without including replenishment lead time, the result is the same as for case 2. The customer requires a complete delivery. You cannot make 20 units available until the same date on which the last purchase order for 60 units arrives (inward movement).

n However, if the system checks availability using the replenishment lead time, you can make 20 units available for the date on which the purchase order with 50 units arrives (inward movement). Only the inward and outward movements that take place within the replenishment lead time are included in this check.

关于ATP与RTL的配置
https://www.sdn.sap.com/irj/sdn/thread?messageID=4309121
http://sapfunctional.com/SD/AvailabilityCheckConfiguration.htm


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partial delivery control

关于允许做partial delivery的控制在customer-material info record里。
TCODE VD51

n The indicator for controlling complete/partial deliveries is proposed from the customer master record. The proposal for the item level comes from the customer-material info, if a customer and material agreement has been maintained there. These indicators can be manually changed during sales order entry.

n The customer may require, for example, a complete delivery which means that all the items in the sales order should be delivered together. If the customer agrees to a partial delivery, the order can be met in several deliveries.

n If you choose "Complete delivery", you can determine that all the items in a whole order must be delivered together. At item level, you can also decide whether you can split the delivery quantities.

n The following partial delivery agreements exist:

Ÿ _ Partial delivery permitted

Ÿ A Enter a delivery with quantity not equal to 0

Ÿ B Only create a delivery (also with quantity = 0)

Ÿ C Only complete delivery can be carried out

Ÿ D Preferred subsequent delivery
partial delivery,SAP


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route的决定过程

The route is the transport channel of an outbound delivery from the delivering plant to the ship-to party.

n It can consist of more than one section and has a beginning point and an end point.

n You can use this route to define the actual transit time (period in which the goods are being transported) and the lead time for transportation planning.

n The route is normally determined for each document item in the sales document.
The automatic default value can be changed manually at a later date, if you wish to have alternative routes.

route determination,SAP

n The system tries to determine a route for every item to be delivered.

n The SAP system uses four separate points as search keys for determining the route automatically Normally this data is defined in master records and in Customizing:

  • the departure zone in Customizing for the shipping point
  • the shipping condition in the sales and distribution-specific data for the sold-to party (View: Shipping)
  • the transportation group in the sales and distribution-specific data for the material (View: SD: General/Plant)
  • the transportation zone in the ship-to party general data


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Shipping point的决定过程

http://help.sap.com/saphelp_crm40/helpdata/en/dd/5607cd545a11d1a7020000e829fd11/content.htm
其实这些100小时书里都有,不过感觉还是SAP的LO150讲的明白些。150注重讲解,100小时注重操作。相结合,复习一下SD的基本知识

n The system tries to determine a shipping point for every item to be delivered.

n The R/3 System uses three fields as search keys for determining the shipping point automatically. This data is normally defined in the following master records:

Shipping condition from the sold-to party (View: Shipping)

Loading group from the material (View: Sales: General/Plant Data)

Delivering plant

n Note:
The shipping conditions are used to define customer requirements in the R/3 System, such as how the orders are to be delivered.

通过IMG->Logistics Execution->Shipping->Basic Shipping Functions->Shipping Point and Goods Receiving Point Determination->Assign Shipping Points
将shipping point的determination配置进去


(0) 评论    (94) 引用   

Delivery Plant的决定

一张sales order的delivery plant是怎么决定的呢? 当然取决于某个主数据。其实是要取决于3种,并有优先级
首先是customer material record 然后是customer master record 最后是material master record

n During item processing, the R/3 system tries to determine the relevant delivering plant automatically from the master data. The entry can be changed manually at a later date.

n The system proceeds in accordance with the following search strategy:

Ÿ In the first search step, the system checks whether anything has been established in the customer-material info record.

Ÿ In the second search step, the system checks whether anything has been established in the customer master record for the ship-to party.

Ÿ The third search step checks whether anything has been established in the material master record.

n If none of the search steps are successful, no delivering plant is set in the sales document item.

As a rule the item can not be processed further without a plant. For example, there can be no automatic determining of the shipping point or automatic tax determination, no availability check can be carried out and no outbound delivery can be set up.


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[收藏] Customer-material info record

Question: Hi SAP fans

I am very new in SD-MM area and wondering where to maintain the customer-material infor record? and what is it used for? Why we need to maintain it? I know info record is used for purchase order price but not quite sure what Customer-material info record stands for.

Appreciate any information

Sheng

Answer:
hi you maintain customer material info through t code vd51......its used because u may be calling the material by some name and ur customer by some other name and with this u can link both....and in the invoice the name will be printed as wat ur customer calls by.....

regards
raj

Answer:
Additionally, if desired, you can enter the default plant for a particular material, which takes precedence over that in the material master.

jmace


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Field value's source of a Sales order in SAP

类 别 表 和 字 段 描述 来源

VBAK-VKORG 销售组织 已选择

VBAK-VTWEG 分销渠道 已选择

组织数据

VBAK-SPART 产品组 已选择

VBAK-AUART 销售单据类型 已选择

VBAK-KALSM 定价过程 客户标识+单据标识+销售域

KUAGV-KUNNR 售达方 客户主记录

VBAK-VKBUR 销售办公室 客户主记录

VBAK-VKGRP 销售组 客户主记录

VBKD-PRSDT 定价日期 已输入、已复制或自动

VBAK-AUDAT 单据日期 系统输入

抬头数据

VBAK-AUGRU 定货原因 已输入

VBAK-WAERK 单据货币 客户主记录

VBKD-KONDA 定价组 客户主记录

VBKD-BZIRK 销售区域 客户主记录

VBKD-KDGRP 客户组 客户主记录

VBAK-VSBED 发运条件 客户主记录

VBKD-INCO1 国际贸易条件 客户主记录

VBKD-ZTERM 付款条款 客户主记录

VBAK-LANDTX 初始国家 工厂所在国家

VBAK-STCEG_1 目的地国家 送达方所在国家

VBKD-PERFK 出具发票计划 客户主记录

VBKD-ABSSC 付款保证过 程客户标识+单据标识

VBKD-BSTKD 采购订单号 已输入

VBAK-KVGR1 附加数据 客户主记录

VBAP-PSTYV 项目类别 自动

V45A-KWMENG 定货数量 已输入

VBAP-MATNR 物料 已输入

VBAP-MATWA 已输入物料 已输入

VBAP-CHARG 批号 自动

VBAP-PMATN 定价参照物料 物料主记录

VBAP-PRODH 产品层次 物料主记录

项目数据

VBAP-MATKL 物料组 物料主记录

VBAP-WERKS 工厂 客户物料信息记录或客户主记录

VBAP-VSTEL 发运点 工厂+发运条件+装载组

VBAP-ROUTE 路线 自动或手工

VBAP-LPRIO 交货优先级 户物料信息记录或客户主记录

VBAP-KDMAT 客户物料 客户物料信息记录

VBAP-MVGR1 附加数据 物料主记录

VBAP-POSNR 项目号 自动

VBEP-POSNR 计划行 自动

VBEP-ETENR 计划行号 自动

VBEP-ETTYP 计划行类别 自动

RV45A-ETDAT 交货日期 自动或手工

VBEP-WMENG 定货数量 已输入

VBEP-BMENG 已确认的数量 自动

计划行

VBEP-MBDAT 物料可用日期 自动

VBEP-LDDAT 装载日期 自动

VBEP-WADAT 建议发货日期 自动,可以在交货在更改

VBEP-TDDAT 运输日期 自动

VBEP-VSTE1 发运点 工厂+发运点+装载组

VBEP-BWART 移动类型 计划行类别


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