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Deductible Payables

Alternative Accounts Payable Account – Exclude G/L Account from Automatic Payments

In this IMG activity, you enter the Alternative Accounts Payable account in the list of accounts that are not to be paid automatically by
the payment program.

Enter the account number and select Without Payt Trans.

If you execute consumption-based offsetting, you need to set it for Deductible Accounts Payable.
If you execute percentage-based offsetting, you should not set it for Deductible Accounts Payable.

(Note) If you would like to use both offsetting methods, you need to define different reconciliation account for AP and different alternative reconciliation account for DAP.
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Deductible Payables
Transaction OMGH
Automatic Postings – Create Account Key BC Set: /SAPNEA/SCC_REQ_MM_PUR_47

In these IMG activities, you customize the system so that when an accounts clerk enters a deductible payable from a subcontractor, it
automatically makes the correct accounting postings for the chargeable components.

The system generates an accounting document that debits the Clearing Account for Chargeable Components and credits the Alternative
Accounts Payable Account.

It is the debit posting that you configure in these activities.

In this IMG activity, create a new account key, CCA. You must call the account key CCA, because this is hard-coded in the system.

Dr) CCA  Account key CCA


Dr) VAT
Cr) Deductible A/P

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Deductible Payables
Automatic Postings – Assign G/L Accounts to Account Key BC Set: /SAPNEA/SCC_COA_MM_60A

In this IMG activity, you specify which G/L accounts the account key posts to.

Customize account key CCA as follows:

Posting keys: 40 (debits) and 50 (credits)

Accounts: Enter the Clearing Account for Chargeable Components (for debit
and credit postings)

Rules: Select Debit/Credit and deselect the other checkboxes.

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Deductible Payables
BAdI: Deductible Payables 1/2

This Business Add-In is used in conjunction with the Enter Deductible Payables program. You can use it to:

Change which G/L accounts the program records chargeable components on

Instruct the program to post data to Profitability Analysis (CO-PA)

Change which accounting document type the program uses for deductible payables

Activities

Changing G/L Accounts

To change the G/L accounts, create an implementation that loops across the table IT_ROWA, substitutes the account number in the field
CKONT, and appends it to the exporting table ET_ROWA. Note that the program ignores all other changes that you make in this
implementation.

Posting Data to CO-PA

The Enter Deductible Payables program creates accounting documents by filling the internal table FTPOST with accounting document data
and passing it to the transaction FB01. Using the method FTPOST_ADD, you can add extra CO-PA data to the accounting data in the table
FTPOST. The transaction FB01 then automatically generates a CO-PA document.

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Deductible Payables
BAdI: Deductible Payables 2/2

To post data to CO-PA, create an implementation that:

1. Loops across IT_BSEG to find out the number of the position in the internal table where the additional data is to be inserted

2. If necessary, reads the accounting document data from the parameter IT_FTPOST (this parameter contains the data from the internal table
FTPOST)

3. Adds CO-PA data to the parameter ET_FTPOST

To find out the name of CO-PA fields, refer to the components in the structure COPABBSEG.

4. Returns it to the program

Changing the Accounting Document Type

To change the accounting document type, create an implementation that declares which document type you want.

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Invoice for Shrinkage in Physical Inventory
Specify When to Charge Subcontractors for Shrinkage

In this IMG activity, you specify for which reasons you want to charge subcontractors for shrinkage in the physical inventory (for example, if the
shrinkage is the fault of the subcontractor).

Then, when a user posts an inventory difference and enters the reason for the difference, the reason tells the system whether you want to
invoice the subcontractor. You can later only create invoices for shrinkage in inventory for these material documents.

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Invoice for Shrinkage in Physical Inventory
Automatic Postings – Create Account Key

In these IMG activities, you customize the system so that when an accounts clerk invoices a subcontractor for shrinkage, it automatically
posts an accounting document to transfer the cost of the missing or damaged materials from the losses on inventory shrinkage account to a
cost of sales account.

The accounts clerk enters the accounting document type on the selection screen. But no matter what account key is assigned to that
document type, the system always makes the accounting postings using the account key SCC.

In this IMG activity, you create the account key SCC.

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Invoice for Shrinkage in Physical Inventory
Automatic Postings – Assign G/L Accounts to Account Key

In this IMG activity, you specify which G/L accounts the account key
SCC posts to.

The account key transfers the loss on inventory shrinkage to a cost of


sales account.

Customize account key SCC as follows:

Posting keys: 40 (debits) and 50 (credits)


G/L account 823601 is created by
Accounts: Enter the cost of sales account (defined as “Non operating copying G/L account 823600.
expense or income”) that you want to transfer the loss on inventory
shrinkage to.

Rules: Deselect General Modification, which cannot be a key for


account determination. Select or deselect the other checkboxes as
required.

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Make General Settings
1/2 BC Set: /SAPNEA/SCC_REQ_MM_IM_87

Specifies which pricing procedure the system uses when materials clerks create purchasing info records for chargeable
components.
Use
If you do not have any special requirements as to which condition types are available in the purchasing info records,
leave this field blank. Otherwise, create a new pricing procedure and enter it here.

Controls which reconciliation account the system records the open item on when an accounts clerk posts a deductible
payable.
Dependencies
You set up the reconciliation account and its ID in Customizing for Materials Management (MM), by choosing Inventory
Management and Physical Inventory -> Subcontracting with Chargeable Components -> Alternative Account Payable
Account

Specifies which billing type you use for invoices for chargeable components.
Use
Enter the billing type that you defined in the IMG activity Create Billing Types.
When an accounts clerk creates an invoice for chargeable components, the system generates a billing document
with this billing type.

Specifies which billing type you use for credit memos for chargeable components.
Use
Enter the billing type that you defined in the IMG activity Create Billing Types.
When an accounts clerk creates a credit memo for chargeable components, or for shrinkage in physical inventory,
the system generates a billing document with this billing type.

Specifies which sales document type the system uses for the purposes of copying control when a billing clerk creates
an invoice for chargeable components.
Use
Enter the sales document type that you entered in the IMG activity Define Copying Control. The standard setting is DL.
When an accounts clerk creates an invoice for chargeable components, the system does not generate a sales
document using this document type. However, it does use some of the settings from the copying control.

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Make General Settings
Transaction /SAPNEA/JSCMF01
2/2 BC Set: /SAPNEA/SCC_REQ_MM_IM_87

Automatically prints a text relating to a subcontractor in the list of chargeable components that you print from
subcontract orders (see Set Up Message Types).
Dependencies
Create a new text ID in the IMG activity Define Text IDs for Accounting Texts (Vendors), and enter it here.
Then, in the vendor master, you can enter a text from any screen in the company code data by choosing Extras ->
Texts.

Automatically prints a text relating to a subcontractor in the component list that you print from deliveries (see Set Up
Output Types).
Dependencies
Create a new text ID in the IMG activity Define Text IDs for Central Texts (Customers), and enter it here.
Then, in the customer master, you can enter a text by choosing Extras -> Texts.

Automatically prints a text relating to a subcontractor in the delivery note that you print from deliveries (see Set Up
Output Types).
Dependencies
Create a new text ID in the IMG activity Define Text IDs for Central Texts (Customers), and enter it here.
Then, in the customer master, you can enter a text by choosing Extras -> Texts.

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Assign SAPscript Forms to Reports
BC Set: SAPNEA/SCC_REQ_MM_IM_87A

In this IMG activity, you assign SAPscript forms to various reports. When the users print out these reports' output lists, the lists are printed
using the forms that you enter here. The reports are as follows:

•Price List of Chargeable Components


•Subcontractor List
•Notification of Payment Terms

Standard settings
The standard system comes with the following sample forms, which you can use as a basis for creating your own:

Report Technical Name Sample Form


Price List of Chargeable
/SAPNEA/J_SC_10 /SAPNEA/J_SC_06
Components
Subcontractor List /SAPNEA/J_SC_02 /SAPNEA/J_SC_02
Notification of Payment Terms /SAPNEA/J_SC_03 /SAPNEA/J_SC_03

Activities
1. Use the SAPscript Editor to copy the sample forms and change the copies to meet your requirements.
2. In this IMG activity, assign the new SAPscript forms to the appropriate programs.

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BAdI: Additional Data Posting to Accounting Documents

This Business Add-In (BAdI) is used in the Physical Inventory (MM-IM-PI) component. You can use this BAdI to adjust the posting of additional
data to accounting documents in the following reports:

Consumption-Based Offsetting

Percentage-Based Offsetting

Create Invoices for Shrinkage in Physical Inventory

Standard settings

For more information about the standard settings (filters, single or multiple uses), see the Enhancement Spot Element Definitions tab in the
BAdI Builder (transaction SE18).

Activities

For information about implementing BAdIs as part of the Enhancement Concept, see SAP Library for SAP NetWeaver under BAdIs -
Embedding in the Enhancement Framework.

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BAdI: Additional Data Posting to Accounting Documents

Consumption-Based Offsetting

You can use the OFFSET_FTPOST_ADD BAdI method to add additional accounting data to the Document Header and Items for Internal
Posting Interface (FTPOST) table for the execution of the Post With Clearing: Header Data (FB05) transaction.

To post the additional data to accounting documents, create a BAdI implementation that can perform the following activities:

Finds the necessary information in deductible documents that are used to calculate the total amount the system must post by looping across the
IT_DAP_BELNR parameter.

Reads the accounting document data from the IT_FTPOST parameter that contains data from the FTPOST table.

Adds additional data to the ET_FTPOST parameter and sends it back to the program.

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BAdI: Additional Data Posting to Accounting Documents

Percentage-Based Offsetting

You can use the OFFSET_PER_FTPOST_ADD BAdI method to add additional accounting data to the Document Header and Items for Internal
Posting Interface (FTPOST) table for the execution of the Post With Clearing: Header Data (FB05) transaction.

To post the additional data to accounting documents, create a BAdI implementation that can perform the following activities:

Finds the necessary information on open items of the Subcontractor A/R- Pending that are used to calculate the total amount the system must
post by looping across the IT_BSID parameter.

Reads the accounting document data from the IT_FTPOST parameter that contains data from the FTPOST table.

Adds additional data to the ET_FTPOST parameter and sends it back to the program.

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BAdI: Additional Data Posting to Accounting Documents

Create Invoices for Shrinkage in Physical Inventory

You can use the SHRINK_FTPOST_ADD BAdI method to add additional accounting data to the Document Header and Items for Internal Posting
Interface (FTPOST) table for the execution of the Post Document: Header Data (FB01) transaction.

To post the additional data to accounting documents, create a BAdI implementation that can perform the following activities:

Checks the IS_ROWA parameter to find the recorder in the Chargeable Component Consumptions (ROWA) table that contains the information
about the material document of Inventory Shrinkage.

Reads the accounting document data from the IT_FTPOST parameter that contains data from the FTPOST table.

Adds additional data to the ET_FTPOST parameter and sends it back to the program.

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Generic Configuration Relevant to SCC
Generic Configuration Relevant to SCC
Cross-Application Mapping between Grouping and Account Group
LOG General Define Attributes of Material Types
LOG General Define Account Groups and Field Selection for Customers
PP Define Special Procurement Type
MM Assign Sales Area to Plant Supplying Components
SD Maintain Partner Determination
SD Assign output determination procedure (billing)
SD Define Text Types for Customer Central Texts
MM Define Partner Roles
MM Define Permissible Partner Roles per Account Group
MM Partner Settings in Vendor Master
MM Partner Settings in Purchasing Document
MM Assign Partner Schema to Document Type
MM Define Schema Groups for Vendors
MM Define Schema Groups for Purchase Organizations
MM Determination of Calculation Schema in Purchasing
MM Setup Subcontract Order
MM Define Attributes of System Messages
FI-AP Define Text Types for Supplier Master
FI-GL Define Document Type

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Mapping between Grouping and Account Group
Customer

IMG: Cross-Application Components  Master Data Synchronization  Customer/Vendor Integration  Business Partner Settings 
Settings for Customer Integration  Field Assignment for Customer Integration  Assign Keys  Define Number Assignment for Direction
BP to Customer

V_TBD001

(Note) Here, Group 0001 is mapped with account group DEBI.


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Mapping between Grouping and Account Group
Vendor

IMG: Cross-Application Components  Master Data Synchronization  Customer/Vendor Integration  Business Partner Settings  Settings
for Vendor Integration  Field Assignment for Vendor Integration  Assign Keys  Define Number Assignment for Direction BP to Vendor

V_TBC001

(Note) Here, Group 0001 is mapped with account group KRED.

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Define Attributes of Material Types
Transaction OMS2
BC Set: /SAPNEA/SCC_REQ_LOG_33

IMG: Logistics General  Material Master  Basic Settings  Material Types  Define Attributes of Material Types

Sales view should be added for Material Type ROH.


(Make User departments ’Sales’ On)

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Define Account Groups and Field Selection for Customers
Transaction OVT0
BC Set: /SAPNEA/SCC_REQ_LOG_36

IMG: Logistics General  Business Partner  Customers  Control  Define Account Groups and Field Selection for Customers

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Define Special Procurement Type
Transaction OMD9
IMG: Production  Material Requirements Planning  Master Data  Define Special Procurement Type

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Assign Sales Area to Plant Supplying Components
Transaction OMGN

IMG: Material Management  Purchasing  Purchase Order  Set up Stock Transport Order  Define Shipping Data for Plants

Sales area should be assigned to Plant supplying components.

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Maintain Partner Determination 1/2
Transaction VOPA
BC Set: /SAPNEA/SCC_REQ_SD_72

IMG: Sales and Distribution  Basic Functions  Partner Determination  Set Up Partner Determination  Set Up Partner Determination
for Customer Master
Partner Roles: SP, BP, PY, SH

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