SPL Proc Practice Book
SPL Proc Practice Book
Table of Content
1. Sub Contract Scenario ………………………………………………………………
2. Vendor Consignment ………………………………………………………………..
3. Pipe line scenario……………………………………………....................................
4. Creation of SD Organizational Structure …………………....................................
5. Customer Master and Partner determination …………………....................................
6. Sales Order Settings …………………....................................…………………............
7. Third Party Scenario…………………....................................…………………...........
8. External Service Management…………....................………………….........................
9. RTP…………………....................................…………………....................................
10. Split Valuation……………....................................…………………..........................
11. Serial Numbering for materials…………………....................................………………
12. Batch Management …………………....................................………………………
13. Reservations……………....................................…………………...............................
14. Version Management…………….........................…………………..............................
15. MRP through CBP reorder point…………………...........................…………………....
16. STO without SD, without billing………………….........................................................
17. STO with SD, with billing…………………....................................................................
18. Warehouse Management - IMG settings………………….............................................
Sub-contract Scenario:
Pre Requisites:
Create a material type XALB ( X Semi fin Product) by copying SAP std Semi finished
product (HALB) and update the same for its valuation areas (i.e. plants- xpl1,xpl2)
Create a number range for the semi fin product XALB (Tcode MMNR) and assign number
range to the XALB
1. Create 3 materials (Tcode : MM01) with a mat type (ROH) – Raw material
3. Maintain Bill of Material (BOM) for WHEEL (Tcode is CS01) and specify the relation of
WHEEL with the Raw materials as under
4. Maintain Initial stock entries for the Raw Materials (Use Tcode MB1C and MVT = 561)
6. Create a Sub contract Vendor (XK01) or make one of the vendor the existing vendors as
sub-contractor
7. Create a Purchasing Info Record (PIR) (ME11) for the WHEEL material and sub contract
Vendor.
9. Make a transfer Posting to issue the raw material (Tyre, Tube, Rim) to the sub contract
vendor with Tcode MB1B and MVT = 541
11. Check the stock sent to sub contract vendor – tcode = ME2o(not zero)
13. Make a Goods Receipt (MIGO) for WHEEL Material with respect to the above PO (MVT
101)
Note: “BOM” will be exploded and 543 MVT will be triggered for all the Raw material
/components
15. One material doc will be created and one A/c document also created with the following
A/cs.
1. All Raw material will be received by the company from various vendors and some of the
raw materials will be issued (Tyre, tube, Rim ) to SC vendor and request him to supply
'Wheel'
2. Company will order Raw materials from various vendors, however for certain material
(Tyre, Tube, Rim) the Delivery address changed as SC Vendor (i.e. company ask the
vendors to supply some material directly to SC Vendor)
GL A/c Description
169900 A/c payable consignment sale -ve
300000 Inventory - Raw Mate a/c -ve
Note: First Select Display radio button and execute it. It is success full then selects the
radio button to settle and execute it again.
In this process company receives the material like gas, water and electricity continuously
from the vendor through pipe
Company will settle the consumed quantity on a periodic basis as per the agreement
entered between vendor and company
In this process: No PO and No GR will be done.
Only posting the consumptions periodically (on monthly or bi-weekly basis)
The rest of the process is same as consignment
1. Create a material type XIPE from the standard Material type PIPE (Pipe line material)
(OMS2) and update qty. and value to the valuation areas (Plants)
2. Create a number range and assign the same to the XIPE material type (MMNR)
3. Create a material master record (Water) with material type XIPE.
4. Identify the existing vendor as the supplier to this pipe line material
5. Create a Purchasing Info record (PIR) (ME11) for the above material and Vendor
6. Note: select the info Category as Pipe line and maintain tax code in purchasing data 1
screen
7. Goods Issue/with draw will be done by using the Tcode MB1A MVT 201P for the cost
center
8. Check the stock status MMBE, no qty will appear in Order stock (because NO PO), No
qty in str. loc (because NO GR).
9. Check the material document and A/c document and note down the A/c details
o Mat doc will be created as a proof of goods issue
o A/c doc will be created with the following A/Cs
G/L Account Description
169900 Accounts Payable – c –ve
400000 Consumption, raw mat.1 +ve
10. Pipe line liabilities can be settled in MRKO
XSO XMOT
XSO XD XD.
XSO XD XD XSOF
Customer is a person or a company who buy our product on either credit basis or on cash
basis.
In Finance terminology, they can also be called as 'debtors'
A Complete information regarding the customer will be entered in this master file
Types of customers:
Regular Customers
Fixed Customers
One time Customers
Select SAP std. customer A/c group (i.e Sold -to- party = 0001)
Click copy as XCAG - xxx Customer A/c Group then save it.
Sales Org Dist Channel Ref dis. ch for cond Ref dist ch. for cust
VSO VD VD VD
Sales org Div. Ref. Div for Cond Ref Div. for cust
VSO VD VD VD
Click position
Enter
Sorg Dist channel Div Rule
VSO VD VD 001(Business are determination from plt/div)
Our vendor will supply certain materials to our customer based on our purchase order can
be called Third party
Customer want of certain material and approach our sales person request him to arrange
the same and ready to pay the necessary charges of those materials
Our Sales person initiates a sales order for these materials.
Production people will create a PR for same and send it to Purchase department to
supply that material directly to customer (Delivery address of the customer will be
provided in PR)
Then Purchase department will create a PO to a vendor who supplies this material to us
and request him to supply this as a special case to customer directly (Customer address
will be entered in Po at delivery address place
Customer will deliver the material and submit the bill for payment
Purchase department will verify his bill (through MIRO) and recommend for payment
Finance department will pay the vendor amount after cross checking the customer
payment has been made to our company or not.
In this scenario as a mm consultant we configure the steps in such a way that everything is
almost automatic
1. Create a material type: XAWA (XXX Trading goods) by copying existing sap std. material
type for trading goods = HAWA (OMS2) and make Qty and value updates for your plants
XPL1 and XPL2
2. Create a number range (MMNR) and assign to BAWA material type
3. Create a material (TV Stand) with a material type XAWA (X trading goods) with the
following views:
Basic data1, Purchasing, A/c ing 1, Sales org data 1, 2, Sales General/Plant,
MRP1, MRP2, Gen plant/str. 2 views
In Sales org data 1 view
o Enter Division and tax codes – 0 – no tax
In Sales Org data 2 view
o Enter Item Cat. = 'BANS' – third party
In Overview Screen
o Enter Sold to party: XXXXX (customer no)
In Sales Tab
o Pay terms: 0001
o Inco terms: FOB free on board
o Material No XXXXX and
o Item category 'TAS' - third party
Click Save
10. Go to display mode of Sales order (VA03) and Double click line item of the material (TV
stand) then go to 'Schedule Lines' tab and check whether PR has been generated or not?
Note down the PR Number.
11. Go to display mode of PR (ME53N) and check
Item category = S
A/c Assign. Category = '1' or 'X' (X means Auxiliary A/c
In item details
o Source of supply tab will have Vendor Address
o Delivery address Tab will have customer address
12. Execute ME59N and enter relevant Org details.
Run on test mode first if it is successful
Then execute it directly.
13. Go to display mode of PO (ME23N) and check
Item category = S and A/c Assign. category = '1' or 'X' (X means Auxiliary A/c)
In item details
o Delivery address Tab will have customer address
14. Send the PO to vendor, vendor will supply the material directly to customer
15. Vendor will submit an invoice (Bill) to the company.
16. MIRO will be done from the Purchasing Organization
17. Vendor payment will be made only after company receives the payment from customer
While you are doing the Third party you may get the following errors:
Error 1: Account 893010 has been set as Error 2: Pricing error: Mandatory
not relevant for tax condition MWST is missing
Steps: Steps:
o Use Tcode = FS00 o Use Tcode = V/08
o Change the co_cd as your o Click position
co_cd o Enter Pricing Procedure
o Click find button and enter = RVAA01
o a/c no = 893010 o Select RVAA01
o Double click a/c no o Click Control Data
o Click Control data tab o Click position and Enter
o Click change button step no 915 or select
o Enter „MWST‟ and uncheck
Tax category V1 required column
o click save
IMG Settings:
SPRO Logistics - General Material Master Settings for Key Fields Define
Material Groups
Steps:
3. Consider any existing vendor for Garden maintenance or Create a new vendor for this
services (XK01)
6. Go to MIGO and enter the acceptance doc. no see that accounts hit by the system
G/L a/c Description
417000 Purchased services +ve
191100 Goods Rcvd/Invoice R –ve
Pre requisites:
Go to OMS2
o Select LEIH - RTP material
o Click Qty. and value update folder
o Set check box to both qty. and value update for our valuation areas
Val area Qty value
GPL1
o Click save
Steps:
Observations:
SPRO Material management Valuation and A/c assignment Split Valuation Activate
split valuation.
SPRO Material management Valuation and A/c assignment Split Valuation Configure
Split Valuation
Steps:
Steps:
IMG settings:
1. Create a material (Engine/Chassis) with (MM01) with General Plant Data /Storage 2 view
In this view enter Serial no Profile
2. Make use of existing vendor as a supplier to this material (Engine /chassis)
3. Create PIR for the above material and Vendor
4. Maintain source list for the above material and vendor
5. Create a PO (ME21N) for the above material and vendor
6. Make a GR (MIGO) with MVT type 101
7. Note: You will observe a new tab 'Serial No ' Tab will be created
Enter Serial no‟s for the Qty you receive
Steps:
IMG Settings:
Steps in Reservation
The changes made to a purchasing documents are managed in versions can be called
Version Management.
Version: „An original or revision of a purchasing document is called Version
Managing of such versions of the Purchasing documents can be called as Version
Management
When a purchasing document is changed, the changes are recorded in a change document.
Change documents from a certain period are collected in a version and are then available for
analyses.
A new version is always created by the system when a requisition or external purchasing
document has reached a final state.
By "final state" is meant either "Active" or "Release completed".
Note : Versions are created at
o Item level in purchase requisitions
o Header level in external purchasing documents (e.g. RFQs, Purchase orders,
Contracts, and Scheduling agreements).
o However it is not possible to create
Different versions of Quotations or
Scheduling agreements delivery schedules
o System can generate Versions of externally generated PRs from PS (Projects
Systems), PM (Plant Maintenance) and Service Management.
o However System does not generate versions for PRs created by MRP
Pre-requisites:
When you create a PR or external document like PO, system automatically create an initial
version (version 0). From this time onwards, Changes if any and newly entered data are
documented in the current version that is valid in each case
In case of PR one version is generated per PR line item (Item level)
In case of external Purchasing documents one version is generated Per document (header
level)
Steps:
Version Active : [Indicates whether or not the version management facility is active]
Version 0 OK [Complete Version 0 Immediately][ If you have selected this indicator, version
'0', when a purchase requisition is created, is automatically flagged by the system as
Completed]
External OK [If you set this indicator, when a requisition is created or changed externally
(created via BAPIs, for example), all versions of the requisition will automatically be marked
as Completed by the system.]
[In this step, you can define the reasons for changes to requisitions and external
purchasing documents (e.g. increase in material requirement)]
In this step you can specify whether changes to a field are causes a new version to be
created
7. Note: You have to check the check box of close such that indicates the change are
completed.
8. Then future changes will be maintained the next version
Version management for purchasing doc like RFQ, PO, Contracts and scheduling
agreement
IMG settings:
MRP Steps:
Step - 1 –Create a Material Master (MM01), Select MRP 1 View, MRP 2 view also
MRP type = V1 - Manual reorder Point with ext. req.[Defines when the rule used to
determine WHEN the PR or Planned Order will be be created. ]
Reorder point = 100 nos. [Make sure that your ROP is higher than your current stock
on hand, otherwise MRP will not create any documents.]
MRP controller = HMC - Honda MRP controller [A Group or individual person
responsible for easy planning]
Lot size = HB - Replenish to maximum stock level [Lot size - Determine calculation to
be used to determine the QUANTITY in the PR or Planned Order ]
Maximum Stock level = 1000
In MRP 2 View
o Enter planned delivery time = 2 days
[Make sure that your ROP is higher than your current stock on hand, otherwise MRP willl not
create any documents. In this case Stock on hand (20) < ROP (100), so MRP will suggest you
purchase stock. ]
[Use transaction MD02 (Single Item, Multi Level MRP run). The Single Item means for one
material only. Multi Level refer to all levels of Bill of Material (BOM).]
Transferring of stock from one org. unit to other org. Unit can be called stock transfer
Inter Company Stock transfers: (Co_cd - to – Co_cd) -- W/o SD, w/o billing
Pre Requisites:
1. Material Master
I. Mat type: select HAWA/HALB/FERT and copy as your own Mat type
II. Create a No range and assign to mat type
III. Create a Material Master record with above mat type
IV. Extend this mat master record to other plant of other co_cd
2. Purchase Oder
I. Doc type: select doc type UB and copy as your own doc type
II. Create a No range and assign No range to Doc type
3. Finance department
I. Create Two G/L A/c for Common expenses in both Co_cds
II. Maintain co_cd clearing a/c between Co_cds
Steps:
In Mat master
a) IMG settings:
1. Create Material type ASWA by copying from the SAP std material type for trading
goods - i.e HAWA and update Qty and value check boxes for both sending and
receiving plant
o Go to OMS2
Select HAWA
Click copy as ASWA - Ashoka Trading Goods
Select ASWA
Click Qty. and Value update check boxes for both ASP1,ASP2 and QPL1
and QPL2
Click save
In Purchase Order
Important Note:
Steps in STO
1. Check the material List (MM60) for the material records are available in both plants
2. Maintain Initial stock entry in supplying Plant (QPL2)
o Tcode = MB1C Mvt = 561
3. Check the stock status MMBE for both QPL2 and ASP1
o System will show stock in QPL2 - s21
4. Create a Stock transport Order at ASMT Co_cd
o Use Tcode = ME21N
o Select doc type as 'ASUB- ASHOKA STO PO
o Enter org data in Org - tab
Purchase Org. ASPO
Purchase Group ASP
Company Code ASMT
o Enter supplying Plant as QPL2
o In Item over view, enter
Material No Qty Del. Dt. Del. Plant Str. Loc.
Foot mat 333 xxxx HPL2 s22
o Note: system chooses item category as U - Stock trnasfer
o Click check and Save
o System will create a STO-PO
5. Check the stock status MMBE again
6. Issue the material from MPL1- s11 by using MB1B - MVT 351
o In Initial screen
Movement Type 351RTYIJ
Plant MPL1
Storage Location S11
o Press enter
o System will ask for PO No and line item no
o Enter PO and line item
o Press enter and clcik adopt + details button
o Click save
Pre requisites:
1. Create Receiving Plant (RPL1) as Customer 1. Create Supplying Plant (SPL1) as a Vendor
(XD01) with an account group ship-to-party (XK01) with an account group 0007
(0002) - In Purchasing data screen
- Menu barextrasEnter Plant = SPL1
2. Create a Material Master Record with mat 3. Extend the material to receiving plant with sales
type HALB/HAWA/FERT and select Sales views
views also
- Sales Org = Supply. Plnt Sales Org - Sales Org = Receiving. Plnt Sales Org
- Dist. Channel = Supp.plnt Dist Channel - Dist. Channel = Recv.plnt Dist Channel
- Division = X - Division = X
(A common division should be maintained both sides)
Note :
In OMS2 select your mat type and update the Qty. and value check boxes to both supplying and
receiving plants
There can be a price difference of the material in the both plants.
There will be a cross company billing.
IMG Settings:
1. Define Shipping Data for Plants 1. Define Shipping Data for Plants
SPRO MM Purchasing PO Setup SPRO MM Purchasing PO Setup
STO Setup STO Define Shipping Data STO Setup STO Define Shipping Data
for Plants for Plants
Customer No Plant -- Empty Customer No Plant – Sppl. Pl Cust No
Sales org -- Supply Plant S Org Sales org – Recv Plant S Org
Distr. channel- Supply Plant Dist Channel Distr. channel- Recv Plant Dist Channel
Int comp.bill Div - X Int comp.bill Div - X
(A common division should be maintained both sides)
2. Assign Doc type and Checking Rule 3. Assign Doc type and Checking Rule
SPRO MM Purchasing PO Setup SPRO MM Purchasing PO Setup
STO Setup STO Assign Doc type and STO Setup STO Assign Doc type and
Checking Rule Checking Rule
Doc Type Plant Deliv type Chek rule Doc Type Plant Deliv type Chek rule
NB SPL1 NLCC 01 NB RPL1 NLCC 01
Steps:
Steps:
Steps:
Steps:
Steps:
6. BIN creation
Steps:
Steps:
Steps:
Steps:
Steps:
Tcodes in WM