MM – Configuration Documentation
2 Enterprise Structure - Definition
2.1 Define Valuation Level
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Transaction Code | OX14 |
Configuration Description | Here we specify the level at which material stocks are valuated. We have used the Plant level since the application component Production Planning (PP) and Costing are being used.
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2.2 Define Plant
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Transaction Code | SPRO |
Configuration Description | As a part of the Logistics Organizational Structure, Plants are defined in SAP. The ‘Plant’ is an operating area or a branch or a location within a company. Each 'Plant' is assigned to a single 'company code'. A 'company code' can have several 'Plants'. In case of ITZ Pvt. Ltd., the various 'Plants' are assigned to a each 'company code'.
Configuration of One Plant is depicted here, (for list of all please refer to MM KDS Document) |
2.3 Maintain Storage Location
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Transaction Code | OX09 |
Configuration Description | A storage location is the place where stock is physically kept within a plant. There may be one or more storage locations within a plant.
A storage location has the following attributes:
Configuration of Storage Locations under One Plant is depicted here, (for list of all please refer to MM KDS Document) |
2.4 Maintain purchasing organization
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Transaction Code | SPRO |
Configuration Description | At this node we configure the Purchasing Organization .The purchasing organization is the highest level of aggregation (after the organizational unit "client") for purchasing statistics. In case of ITZ One single Purchase Organization is created as under : |
3 Enterprise Structure Assignments
3.1 Assign Plant to Company Code
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Transaction Code | SPRO |
Configuration Description | A Plant needs to be assigned to one of the Company Codes, the relation is always one to one i.e. One Plant can be assigned to only one company code
All the plants can’t be shown here(for complete list refer MM KDS document) |
3.2 Assign purchasing organization to company code
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Transaction Code | SPRO |
Configuration Description | In this node we assign the Purchasing Organization to the company code under which it works. In case of ITZ the Purchasing Organization is Central, so it is not assigned to any Company Code |
3.3 Assign purchasing organization to Plant
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Transaction Code | SPRO |
Configuration Description | In this step we assign purchasing organizations to the plants for which they are responsible. In case of ITZ since it operates with Centralized Purchasing Org. we have assigned the Purchasing Org. to all the plants defined as of now |
3.4 Assign standard purchasing organization to plant
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Transaction Code | SPRO |
Configuration Description | If severalpurchasing organisations procure for a certain plant, we can define one of them as the standard purchasing organization for the transactions "pipeline procurement", "consigmnent" and "stock transfers".
In source determination for stock transfers and consignent, the system automatically utilizes this standard purchasing organization. In the case of goods issues of pipeline materials, the purchasing info records of the standard purchasing organization are read.
In ITZ, we have not defined this Setting as we are using single Purchasing Organisation |
4 General Logistics
4.1 Assign Fields to Fields Selection Groups
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Transaction Code | OMSR | ||||||||||||
Configuration Description | Assignment of Material Master Fields is required to define whether a field is hidden or displayed, or whether an entry is mandatory or optional in material master maintenance, it is always advisable to work with Standard SAP settings, but for few business requirement some assignments are changed to new field selection groups defined as per reserved name space. in case of ITZ, some of the list of changed entries is as given below:
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4.2 Maintain Field Selection for Data Screens
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Transaction Code | OMS9 |
Configuration Description | In this step we define the nature of a Field belonging to a particular Field Selection Group wrt the Screen Reference of a Material Type. Steps involved are :
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4.3 Maintain Company Codes for Materials Management
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Transaction Code | OMSY |
Configuration Description | This activity is done for making a Company Code relevant for materials Management and to define the starting posting period This is a prerequisite for creating a Material Master
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4.4 Define Attributes of Material Types
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Transaction Code | OMS2 |
Configuration Description | Material type is analogous to the family of a material master; all the important attributes of a material are governed by settings in the material type. To be precise it governs :
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4.5 Define Number Ranges for each material types
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Transaction Code | MMNR |
Configuration Description | In this step, we have defined the type of number assignment and the number range intervals for material master records. When creating a material master record, system must assign it a unique number. There are two ways of doing this:
In this case, a number within the number range interval allowed is assigned by the SAP system.
We have defined the number range intervals for so-called groups. We assign one or more material types to each group.
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4.6 Define Attributes of system messages
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Transaction Code | OMT4 |
Configuration Description | When processing material master records, the system issues a number of system messages containing important user information. In this activity, we define how the SAP system handles these messages. We have the following options:
For ITZ requirement Message Numbers MM189 & 312 are changed as Error message We are using Standard SAP Messages. |
4.7 Define Material Groups
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Transaction Code | OMSF |
Configuration Description | Here we define the Groups for Materials & Services, This Grouping shall be defined keeping in mind the reporting requirement of the company for analysing Purchases, Consumptions, Stocks etc,
Setting is just a table entry, few records are shown in the screen shot, for complete list refer to the MM KDS document or the actual system node |
4.8 Define External Material Groups
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Transaction Code | SPRO |
Configuration Description | Here we define the Groups for giving an extra key for filtering, sorting the list of materials from a criterion other than Material grouping In case of ITZ we have not used External Material Groups |
4.9 Initialize Period
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Transaction Code | MMPI |
Configuration Description | This Transaction can be used to initialize the period in materials management , i.e. it opens the already closed period (thru Txn : MMPV), but opening a period has serious implications on data consistency in SAP so as recommended by SAP Follow the instructions in Note 487381 before initialization |
5 Materials Management – Consumption based Planning
5.1 Activate MRP for MRP Areas
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Transaction Code | SPRO |
Configuration Description | This setting is required if we want to have planning at a level other than plants i.e. either of Storage location / at Subcontractor level. An MRP area represents an organizational unit for which we can perform material requirements planning separately. An MRP area can include one or several storage locations of a plant or a subcontractor. We can define MRP areas in a plant. For ITZ Ltd., we have not used MRP Areas. |
5.2 Define MRP Areas
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Transaction Code | SCAL |
Configuration Description | Here we define the MRP areas for a plant for which we would like to carry out material requirements planning separately. When creating an MRP area, we enter the number, which must have at least 5 digits to avoid any overlapping with the plant MRP area, the description and the MRP area type In case of ITZ we have not defined MRP area
Important : If MRP area is activated Conversion of Planning file entries needs to be run in every new System Client through Report RMDBVM00 in Txn : SE38
The conversion report causes the system to create a new planning file. In addition, the system creates MRP area for the existing plants. These MRP areas do not, however, affect the way material requirements planning is carried out. The number for plant MRP areas is identical to the plant number and therefore consists of four digits.
The conversion of the current planning file (table MDVM) to the new planning file (table DBVM) is a prerequisite for carrying out material requirements planning with MRP areas. |
6 Materials Management – Purchasing
6.1 Define Attributes of System Messages
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Transaction Code | SPRO |
Configuration Description | In Purchasing, certain system messages containing important information for users may be issued from time to time In this step, we can specify whether the SAP System:
For ITZ requirement, messages (as a change from standard) are configured as given below:
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6.2 Define Purchasing Value Keys
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Transaction Code | SPRO |
Configuration Description | With Purchasing value key we can control following functions by using it in the material master purchasing view, purchasing value key governs:
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6.3 Entry Aids for Items without a Material Master
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Transaction Code | SPRO |
Configuration Description | In this step we assign In this step, we can assign a purchasing value key and a valuation class to a material group. The assignment of a purchasing value key default values for reminder levels etc. in purchase order items without a material master record and without an info record. The assignment of a valuation class to a material group enables the system to determine different accounts for the individual material groups.
For ITZ we have maintained Valuation Classes in the accounting view of the materials. |
6.4 Create Purchasing Groups
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Transaction Code | SPRO |
Configuration Description | It’s a key for a buyer or group of buyers responsible for certain purchasing activities. useful in accessing information, controlling authorizations, setting up release strategies etc. for ITZ ‘s Requirement following groups are configured, configuration is a simple table entry but purchasing group has a comprehensive use in all purchasing transactions/ documents |
6.5 Define Document Types (RFQ/Quotation)
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Transaction Code | SPRO |
Configuration Description | SAP manages RFQs and quotations as documents which are grouped into different document types., in this step we have :
The update group determines how the data from the document header is updated in the statistics file.
Linkage determines which PR document types can be referenced for creating a particular RFQ document type |
6.6 Define Text Types for Header Texts (RFQ/Quotations)
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Transaction Code | SPRO |
Configuration Description | In this step we define different Texts which appear in RFQ/Quotation Headers, which are used to store information applicable for a particular RFQ document We have standard Header Text Types. |
6.7 Define copying rules for Header Texts (RFQ/Quotations)
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Transaction Code | SPRO |
Configuration Description | In this step we define copying rules for different header Texts which appear in RFQ/Quotation Line Items Copying rules are used to determine which texts can be adapted from other objects (for example, vendor master records, contracts) to the header text of the RFQ. We link text types in the RFQ with text types in other objects. System can adopt header texts from the following objects:
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6.8 Define document types (Purchase Requisitions)
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Transaction Code | SPRO |
Configuration Description | SAP manages Purchase Requisitions as documents which are grouped into various document types., in this step we have :
The update group determines how the data from the document header is updated in the statistics file.
Above linkage governs which type of PO can be created using PR of a particular type |
6.9 Release Procedure with Classification (Purchase Requisitions)
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Transaction Code | SPRO |
Configuration Description | In this step, we have set up the release procedure with classification.
Purchase Requisition release is the process in which Purchase Requisition is approved and released by HOD of concern department for request of required material or services specified in Purchase Requisition. Once the Purchase Requisition is approved and released then Purchase Order or RFQ will be created for that material or services against same Purchase Requisition.
Configuration involves following elements in sequence: Release Group: Specify for the release group either "overall release" or "item-wise release"
Release codes: The Release Code is a two-character ID allowing a person to release (approve) a requisition.(analogous to approver code)
Release Indicators:
A release indicator shows the release status of a purchase requisition
Release Indicators also involve: Field selection key Changes after start of release process
Release Strategy The Release Strategy defines the approval process for Purchase Requisitions. The strategy specifies the release codes which are necessary and the sequence in which releases have to be affected. We can define a maximum of eight release codes i.e. 8 Levels of approval. Release Prerequisites indicate the sequence in which a Purchase Requisition must be approved via the release codes. (In ITZ case release is parallel(either / or so indicators are kept blank)
Release Status indicates the affect after the release by a particular release code
Release Values These values need to be maintained in every client manually, this forms the basis on which release strategy is triggered for a PR. An important prerequisite for this is to create Class & Characteristics in class type 032 Characteristics for Release Strategy
Create the Characteristics required for release strategy as master data thru transaction CT04, here the most important setting is to attach the characteristics to corresponding field of structure CEBAN
attach it to the structure
Class for Release Strategy
Create the class as master data thru transaction CL02 and attach the Characteristics created earlier to the class |
6.10 Define Number Ranges (Purchase Orders)
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Transaction Code | OMH6 |
Configuration Description | In this step we define number ranges for Purchase order document types, (defined separately in customizing), this setting also includes number ranges for other external purchasing documents i.e. for Contracts/Scheduling Agreements and RFQs. There are two ways of doing this:
In this case, a number within the number range interval allowed is assigned by the SAP system.
In case of ITZ all the documents are assigned with internal number ranges with the exception for document type “Legacy Open P.O”, as it was required to retain the legacy P.O number for this case.
go in change mode and define the intervals as shown: |
6.11 Define Document types (Purchase Orders)
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Transaction Code | SPRO |
Configuration Description | SAP manages Purchase Orders as documents which are grouped into various document types., in this step we have :
The update group determines how the data from the document header is updated in the statistics file.
Above linkage governs which type of PR can be referenced created while creating a particular Contract document type |
6.12 Set Tolerance Limits for Price Variance
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Transaction Code | SPRO |
Configuration Description | When processing a purchase order, the system checks whether the effective price of a PO item shows variances compared with the valuation price stored in the material master record. In addition, it checks whether the specified cash discount value is admissible. Variances are allowed within the tolerance limits. If a variance exceeds a tolerance limit, the system issues a warning or error message. In SAP, the types of variance are represented by the tolerance keys. For each tolerance key, we can define percentage and value-dependent upper and lower limits per company code.
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6.13 Release Procedure for Purchase Orders
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Transaction Code | SPRO |
Configuration Description | In this step, we have set up the release procedure for Purchase Orders(this also covers the process for other external purchasing documents e.g. contracts/scheduling agreements) Purchase Order release is the process in which PO is approved and released by HOD of concern department for request of required material or services specified in PO. Once the Order is approved and released then GR can be created against the PO
In case of ITZ, Release strategy is used in case of all purchases.
Configuration involves following elements in sequence:
Release Group: Release groups are created for each type of purchasing
Release codes: The Release Code is a two-character ID allowing a person to release (approve) a requisition.(analogous to approver code)
Release Indicators:
A release indicator shows the release status of a Purchase Order
Release Indicators also involve: Changeability Indicator
Release Strategy The Release Strategy defines the approval process for PO. The strategy specifies the release codes which are necessary and the sequence in which releases have to be affected. We can define a maximum of eight release codes i.e. 8 Levels of approval. Release Prerequisites indicate the sequence in which a Purchase Requisition must be approved via the release codes. (In ITZ case release is by a single authority so there are no prerequisite involved)
Release Status indicates the affect after the release by a particular release code
Release Values These values need to be maintained in every client manually, this forms the basis on which release strategy is triggered for a PO. An important prerequisite for this is to create Class & Characteristics in class type 032 Characteristics for Release Strategy
Create the Characteristics required for release strategy as master data thru transaction CT04, here the most important setting is to attach the characteristics to corresponding field of structure CEKKO
And attach it to the structure
Class for Release Strategy
Create the class as master data thru transaction CL02 and attach the Characteristics created earlier to the class
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6.14 Define Screen Layout at Document Level
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Transaction Code | SPRO |
Configuration Description | In this step we define the attributes of various fields contained in a field selection key (defined for a document type) inside which various fields are grouped into fields selection groups.Steps involved in the process are :
Select a field selection key and set the attributes inside as shown:
get inside a field group and choose the attributes
settings can be made similarly for other fields in various other groups as & when required |
6.15 Define Text Types for Header Texts (Purchase Orders)
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Transaction Code | SPRO |
Configuration Description | In this step we define different Texts which appear in Purchase order header, these are used to store information applicable for a particular PO document |
6.16 Define copying rules for Header Texts (Purchase Order)
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Transaction Code | SPRO |
Configuration Description | In this step we define copying rules for different header Texts which appear in Purchase Order Headers Copying rules are used to determine which texts can be adapted from other objects (for example, vendor master records, contracts, RFQ) to the header text of the Purchase Order. We link text types in the PO with text types in other objects. System can adopt header texts from the following objects:
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6.17 Define Text Types for Item Texts (Purchase Orders)
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Transaction Code | SPRO |
Configuration Description | In this step we define different Texts which appear in Purchase order item level, these are used to store information applicable for a particular PO document line item |
6.18 Define copying rules for Item Texts (Purchase Order)
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Transaction Code | SPRO |
Configuration Description | In this step we define copying rules for different item Texts which appear in Purchase Order ITEM Copying rules are used to determine which texts can be adapted from other objects (for example, vendor master records, contracts, RFQ) to the header text of the Purchase Order. We link text types in the PO with text types in other objects. System can adopt header texts from the following objects:
maintain the rules for a text as under |
6.19 Define Document Types (Contracts)
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Transaction Code | OMH6 |
Configuration Description | SAP manages Contracts as documents which are grouped into various document types., in this step we have :
The update group determines how the data from the document header is updated in the statistics file. In case of ITZ, use of Contracts and Scheduling agreements is very minimal so we have retained and used standard SAP document types
Above linkage governs which type of PR can be referenced created while creating a particular Contract document type |
6.20 Define Screen Layout at Document Level (Contracts)
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Transaction Code | SPRO |
Configuration Description | In this step we define the attributes of various fields contained in a field selection key (defined for a document type) inside which various fields are grouped into fields selection groups.Steps involved in the process are :
Select a field selection key and set the attributes inside as shown:
get inside a field group and choose the attributes
settings can be made similarly for other fields in various other groups as & when required |
6.21 Define Text Types for Header Texts (Contracts)
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Transaction Code | SPRO |
Configuration Description | In this step we define different Texts which appear in Contract header, these are used to store information applicable for a particular Contract document |
6.22 Define copying rules for Header Texts (Contracts)
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Transaction Code | SPRO |
Configuration Description | In this step we define copying rules for different header Texts which appear in Contract Headers Copying rules are used to determine which texts can be adapted from other objects (for example, vendor master records, Contract, RFQ) to the header text of the Contract. We link text types in the PO with text types in other objects. System can adopt header texts from the following objects:
We are maintaining Standard Text and copying Rules for Header Texts |
6.23 Define Text Types for Item Texts (Contracts)
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Transaction Code | SPRO |
Configuration Description | In this step we define different Texts which appear in Contract item level, these are used to store information applicable for a particular Contract document line item |
6.24 Define copying rules for Item Texts (Contract)
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Transaction Code | SPRO |
Configuration Description | In this step we define copying rules for different item Texts which appear in Contract Headers Copying rules are used to determine which texts can be adapted from other objects (for example, vendor master records, contracts, RFQ) to the header text of the Contract. We link text types in the Contract with text types in other objects. System can adopt header texts from the following objects:
maintain the rules for a text as under |
6.25 Define External Confirmation Categories
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Transaction Code | SPRO |
Configuration Description | Notification from the vendor to the recipient regarding the status of a purchase order., In case of ITZ , CONFIRMATIONS are not being used Confirmation categories are defined to symbolize the key for a type of confirmation |
6.26 Define Internal Confirmation Categories
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Transaction Code | SPRO |
Configuration Description | In this step, we assign an external confirmation category to each internal confirmation category. Internal Categories are for system controls. |
6.27 Set Up Confirmation Control
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Transaction Code | SPRO |
Configuration Description | In this step, we assign an external confirmation category to each internal confirmation category. Internal Categories are for system controls.
As shown all the conformation categories are relevant for MRP, but the last one is relevant to GR also, which means that when a GR is made against the P.O line item it will get defaulted with qty of last conf. category |
6.28 Define Access Sequence
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Transaction Code | SPRO |
Configuration Description | Access sequence is an important element of pricing determination. It is the Order in which the system searches through the condition tables when searching for particular condition records. The search order goes from specific condition records to general condition records.
Access sequence is made up of condition table (the level at which data is stored) In the access sequence shown system will search for the record from first to last table in sequence. (e.g. if Custom duty % for a material is maintained at all the three levels i.e. Incoterms-plant-maerial / Plant-Material / Plant-Material Type level , then system will take the record from 1st available level only i.e. Incoterms-plant-maerial in this case) Each condition table is defined as an combination of fields for data access and is assigned to different condition types ( In case of ITZ , we are not maintaining any access sequence), |
6.29 Define Condition Types
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Transaction Code | M/06 |
s | In this step we have defined condition types. The condition types are used to represent pricing elements such as prices, discounts, surcharges, taxes, or delivery costs in the SAP. These are stored in the system in condition records. For condition types for which we want to maintain conditions with their own validity period we have specified an access sequence. (e.g. for all import duty conditions Important Settings Condition type include: Condition Class: Defines nature of condition as Prices / surcharge / discounts etc. Calculation type: Defines nature of condition unit i.e. Amount type / Percentage / Qty etc Condition Category : e.g. Packaging, Cost , Tax, Delivery Costs(requiring extra vendor at condition level) Access Sequence : Allows condition records to be maintained Header Condition : Allows usage at Header level of Purchasing document Accruals : Makes a condition irrelevant to net price calculation i.e. excluded from tax base |
6.30 Define Calculation Schema
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Transaction Code | M/08 |
Configuration Description | In this step, we have defined the calculation schemas. In MM area, a calculation schema is a framework of steps used to calculate pricing in as purchasing document Analogous to this is referred to in the Sales and Distribution (SD) area as a pricing procedure. In the calculation schema (pricing procedure), we specify which condition types are to be taken into account in which sequence. In case of ITZ we have defined schemas all starting with Z*, these will get derived in different types of purchasing documents as per the rule explained in Schema determination configuration Select one of the schema and see the control data as shown below: Important keys in defining Schema are as under: Step No. & Counter: For determination the sequence of conditions and to act as a base for calculations with in condition From- To : Base for calculation of condition value, this is only relevant for % type of conditions Statistical: Makes a condition non-relevant to account postings Subtotal: Used to pass the condition value in to fields of P.O item tables and other pricing structure Requirement : Used for validating Condition value determination using small ABAP written formulae Base Type: Here a Formula for determining the condition basis as an alternative to the standard. Accrual key: for deriving a separate account during GR / Invoice postings |
6.31 Define Schema Group
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Transaction Code | SPRO |
Configuration Description | Every External Purchase document derives Calculation Schema from a combination of Purchasing Organization and Vendor, to simplify data maintenance for this process SAP works with grouping concept. So all the purchasing org. are grouped in to a Schema group and Vendors requiring same pricing stricture are grouped into a Schema group , now for the combination of these , system derives the pricing schemas
Click on a row to enter :
the other part i.e. vendors are assigned with schema group in vendor master |
6.32 Define Schema Determination
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Transaction Code | SPRO |
Configuration Description | In this step we have defined the determination of Pricing schema for different type of Purchasing documents and for Stock transport orders
For standard purchase orders For stock transport orders
select first item , and second item |
6.33 Define Transaction Event keys
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Transaction Code | SPRO |
Configuration Description | In this step, we have defined transaction/event keys for condition types involving provisions. This enables the system to find the relevant account for provisions (for accrued delivery costs or miscellaneous provisions, for example), We have assigned these transaction/event key to each condition type that is relevant to provisions in the step Define Calculation Schema.
Select the 1st row
Select second row, it displays the usage of key in schema |
6.34 Maintain Condition Table
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Transaction Code | SPRO |
Configuration Description | In this step, we create custom tables, these table are used to store condition records for different condition types , for this these tables should be a part of access sequence With help of this we can derive prices, discounts and surcharges dependent on almost all the fields in a purchasing document. As per SAP recommendation we should not change the condition tables that are included in the standard version of the SAP System. Check the extent to which we can use the condition tables that are supplied with the standard SAP System, for our tables we can only choose names between 501 and 999. If we make no entry, the system will automatically assign a consecutive number. For ITZ we have not defined any tables: Steps: For creating new condition tables. copy a similar condition table and proceed as follows:
IMP: All the fields that shall be used to pick up any condition value must be part of Header/Key field in the condition table. |
6.35 Define Grid for Quantity Variances
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Transaction Code | SPRO |
Configuration Description | For Purchasing information system for vendor performance the statistics is managed on the amount of quantity variances of vendors. The delivery quantity variance specifies in percent the variance between the purchase order quantity and the quantity actually delivered. This key figure is determined if an order item is completed and is updated for the entry date of the goods receipt or for the entry date of purchase order change. In this step we can determine four interval limits for every purchasing organization. Five intervals are then available to we for evaluation of vendors
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6.36 Define Grid for Delivery Date Variance
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Transaction Code | SPRO |
Configuration Description | Delivery date variance data is used in statistics for evaluating vendor performance. The delivery date variance specifies the difference in days the difference between the statistically relevant delivery date and the date of the goods receipt. This key figure is updated during the goods receipt for the entry date. In this step we can determine four interval limits for every purchasing organization. Five intervals are then available to we for evaluation of vendors |
6.37 Define Weighing keys
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Transaction Code | SPRO |
Configuration Description | In vendor evaluation criteria are weighted according to their importance through Weighing key. For example, the overall evaluation of a vendor is calculated from the scores awarded for the main evaluation criteria "price," "quality," and "delivery." The latter comprises "on-time delivery performance" and "quantity reliability." If we consider a vendor's price to be more important than quality, and quality to be more important than delivery, we can assign weights to the criteria in a ratio of three for price, two for quality, and one for delivery. This ratio is recorded in a weighting key. |
6.38 Define Criterion (Vendor Evaluation)
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Transaction Code | SPRO |
Configuration Description | Here we have defined the criteria by which the system computes scores for vendors and specify whether the scores for the subcriteria are computed manually, semi-automatically, or automatically. Select One of the criterion and drilldown to sub criterion |
6.39 Define Scope of List (Vendor Evaluation)
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Transaction Code | SPRO |
Configuration Description | In this step we define various types of list, each representing different main criteria or the same main criteria in a different order. In the standard system, the scope-of-list parameters 'standard' and 'version 1' are supplied as an example:
check the details of list inside |
6.40 Maintain Purchasing Organization data
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Transaction Code | SPRO |
Configuration Description | Select a row and displays criterion for Purchasing Organization Sub criterions for main criterion Weighing for a Purchasing Org. We have provided Equal Weighting to the Criteria as we have different weighing parameters for ITZ Point scores for a Purchasing Org. |
6.41 Define Permissible Partner Roles per Account Group
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Transaction Code | SPRO |
Configuration Description | Here we can specify for each account group of the vendor which roles the vendor may assume. Example we can specify that certain vendors may only serve as an ordering address, not as an invoicing party. |
6.42 Define Partner Schemas (Vendor Master)
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Transaction Code | SPRO |
Configuration Description | Partner schemas allow us to group various partner roles. We can specify that certain roles in a schema are mandatory, i.e. cannot be changed after entry. For ITZ, Schema groups Z1 is defined select a schema to detail the allowed partner functions |
6.43 Assign Partner Schemas to Account Groups
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Transaction Code | SPRO |
Configuration Description | Here we assign the already defined schema groups to vendor account groups |
6.44 Define Partner Schemas (Purchasing Documents)
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Transaction Code | SPRO |
Configuration Description | Partner schemas allow us to group various purchasing documents for partner determination. We can specify that certain roles in a schema are mandatory, i.e. cannot be changed after entry. For ITZ, Schema group Z001 is defined Select a Schema to detail the partner function allowed |
6.45 Assign Partner Schemas to Document Types
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Transaction Code | SPRO |
Configuration Description | In this step, we have assigned the partner schemas to the various types of purchasing document. As a result, only the roles of the schema in question can be maintained in documents of the relevant types. |
7 Materials Management – External Services Management
7.1 Define Service Category
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Transaction Code | SPRO |
Configuration Description | In this step, we define the service category. The service category is the most important criterion for structuring Service master records. It provides a default value for the valuation
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7.2 Define Number Ranges
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Transaction Code | SPRO |
Configuration Description | In this step, we define NumberRanges for each service category.
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7.3 Define Number Range for Service Entry Sheets
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Transaction Code | SPRO |
Configuration Description | In this step, we define the service category. The service category is the most important criterion for structuring Service master records. It provides a default value for the valuation
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7.4 Define Attributes of System messages
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Transaction Code | SPRO |
Configuration Description | In External Services Management, a number of system messages containing important information for users may be issued. Users can process this information further.
In this step, we can define whether the SAP System
For ITZ requirement, additional messages no. SE 346 / 347 / 361 is activated as Error along with other additional Standard SAP Messages |
8 Materials Management – Inventory Mgmt. & Physical Inventory
8.1 Plant Parameters
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Transaction Code | SPRO |
Configuration Description | In this step, we make the general plant settings for ‘Inventory Management’. All settings are also contained in the individual steps of the Implementation Guide for Inventory Management.
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8.2 Define Number Assignment for Accounting Documents
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Transaction Code | OMBA | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Configuration Description | In this step, we set the number ranges for the accounting documents which are created when goods movements or inventory differences are posted.
For accounting-relevant goods movements, the system creates two different documents:
Both the material documents and the accounting documents have their own document numbers. When inventory differences are posted, the system also creates an accounting document for the physical inventory document.
In this step, we only maintain the number assignment for accounting documents.
Accounting documents are split into document types to allow differentiated document number assignment, which is the basis for distinguishing between the various accounting operations. A number range is assigned to each document type. In a company code, we have to define number intervals for each number range and fiscal year. In inventory management, the transaction determines which document type is used.
Goods Issue Document Type
Goods Receipt Document Type
Automatic Movements Document Type
Physical Inventory Document Type
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8.3 Define Number Assignment for Material and Physical Inventory Documents
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Transaction Code | OMBT | |||||||||||||||||||||||||
Configuration Description | In this step, we maintain the number assignment for the following documents:
The number assignment for these documents is not to be confused with the number assignment for accounting documents which we completed in the step Define number assignment for accounting documents. The number assignment for accounting documents depends on the document type which is allocated to the transaction.
The number assignment for material documents and physical inventory documents depends on the transaction/event type which is also allocated to each transaction in Inventory Management. The transaction/event types are divided into groups of number ranges. A number range interval has to be defined for each group.
Note We cannot change the transaction/event types. However, we can change the number range intervals or we can allocate transaction/event types to new groups.
SPRO-> IMG-> Materials Management-> Inventory Management and Physical Inventory-> Number Assignment-> Define Number Assignment for Material and Phys. Inv. Docs
If you want to maintain new number range intervals for an existing group: |
8.4 Define Number Assignment for Reservations
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Transaction Code | OMJK |
Configuration Description | In this step, we set up number assignment for reservations. The number assignment applies to all plants in the client.
Note If we create reservations with method CreateFromData1 (function module BAPI_RESERVATION_CREATE1), we can use the number range RB for an external number assignment. |
8.5 Field Selection for Goods Movement/Initial Header Screens
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Transaction Code | OMJN |
Configuration Description | In this step, we define the field selection for goods movements initial and header screens. Note that the field selection for the item screens depends on the movement type and is configured in separate steps.
In this step, we specify whether the fields are input, mandatory, display or hidden. |
8.6 Field Selection for MIGO
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Transaction Code | OMJX |
Configuration Description | Here we can:
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8.7 Field Selection per Movement Type
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Transaction Code | SPRO |
Configuration Description | In this step, we maintain all the settings for field selection by movement type. This step replaces the activity Define Screen Layout for the Enjoy transactions. The settings from Define Screen Layout are adopted in these settings automatically so that we do not need to maintain new entries here.
We can specify for each field whether it is an optional entry or a mandatory entry. In the table, we see all fields that are visible. We can access the setting Field Invisible by deleting the appropriate entry from the table.
There is no distinction between different special stock indicators in these entries. Special stock fields are always suppressed automatically.
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8.8 Settings for Transactions and Reference Documents
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Transaction Code | SPRO | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Configuration Description | We can limit the number of selectable transactions (goods receipt, goods issue, and so on) and reference documents (material document, delivery note), and we can specify the movement type that the system is to propose for every reference document.
If we need only certain transactions (for example, goods receipts or goods issues), we can choose from the following preset transactions:
MIGO - Used to enter all goods receipts. MIGO_GR - Used to enter goods receipts from external procurement. MIGO_GO - Used to enter goods receipts for production orders. MIGO_GI - Used to enter goods issues.
We can always display material documents.
Transaction MIGO; Actions Mentioned in the table
Reference Document Types (For details go to the path mentioned)
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8.9 Create Storage Location Automatically
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Transaction Code | OMB2 |
Configuration Description | In this step, we specify whether the automatic creation of storage location data is allowed for goods issues and transfer postings.
This is advisable if we work with negative stocks and a material's first movement may be an outward movement.
Note that the reversal movement for a goods issue, for example, movement type 202 or 262, is not considered as an issue but as a receipt. If we only use the automatic creation of storage location data for reversals of goods issues, we do not have to allow negative stocks. We have to allow automatic creation per plant first of all. We then have to explicitly allow the creation of storage location data for each movement type.
The storage location data is only created if the quantity is posted to 'standard' storage location stock. It is not created for receipts into a special stock (for example, into sales order stock).We are using standard movement types for automatic Storage Location Creation |
8.10 Set Manual Account Assignment
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Transaction Code | OMB6 | ||||||||||||||||||||||||||||||||
Configuration Description | In the R/3 System, account assignment is predefined via the automatic account determination facility.
When we enter material movements that are assigned to a cost account, we can enter the account number manually. In doing so, we change the account assignment predefined as offsetting entry for inventory posting.
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8.11 Define Screen Layout
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Transaction Code | OMBW |
Configuration Description | In this step, we set the field selection for the movement types including goods issues and transfer postings.
When creating a goods movement, the field selection determines which fields
In Inventory Management, the field selection depends on the movement type.
The field selection defined for a movement type is valid for entering goods movements and reservations.
Note
We do not maintain the input features of the G/L account and Reason fields here, but in the following steps:
Caution The field selection for the movement type must correspond with the following field selections:
We must take care that a mandatory entry in the G/L account is also defined as a mandatory entry for the movement type. |
8.12 Maintain Copy Rules for Reference Documents
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Transaction Code | SPRO | ||||||||||||
Configuration Description | In this step, we configure whether the items of the reference document are proposed as selected on the item selection list when entering a document with reference, or not.
The user can delete the check marks manually on the item selection list if she/he does not want to adopt some items.
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8.13 Set up Dynamic Availability Check
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Transaction Code | OMCP | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Configuration Description | In this step, we configure the dynamic availability check.
In Inventory Management, two types of availability check are carried out.
The system checks whether the material to be withdrawn is available and issues a message, if necessary.
The availability check is only carried out if:
We can define
This is an indicative table.
Checking Rule
Define Checking Rule
Transaction Codes
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8.14 Generate Physical Inventory Documents for Goods Movements
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Transaction Code | OMCC | ||||||
Configuration Description | In this step, we define for each plant and movement type whether a physical inventory document is automatically generated when posting a goods movement.
We can create a physical inventory document in addition to the material document at the time of a goods movement. This function is important when inventory differences are posted from the Warehouse Management System. These inventory differences are thereby documented in Inventory Management with a physical inventory document.
In order to create an inventory document in addition to a material document for a goods movement, the following conditions must be met:
In the plant, we must define the transaction/event type WV for automatically generated physical inventory documents. We must define the document number assignment for this transaction/event type. Automatic generation of physical inventory documents must be allowed for the movement type.
The above list is indicative |
8.15 Check Tolerance Limits
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Transaction Code | OMC0 |
Configuration Description | In this step, we set the tolerance limits for goods receipts.
When processing a goods receipt, the system checks each item to determine whether the goods receipt varies from the purchase order or the material master data.
The different types of variances are defined by tolerance keys. For each tolerance key, tolerance limits can be set per company code.
The following variances are checked in Inventory Management:
(Explanation) For this variance, two tolerance keys are provided:
We use tolerance key VP to define the percentage variance from which a warning message is issued. This warning message indicates a price change. |
8.16 Create Storage Locations Automatically
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Transaction Code | OMB3 |
Configuration Description | In this step, we specify whether the automatic creation of storage location data is allowed for goods receipts.
This is advisable if we want to post a goods receipt without having to maintain the storage location view of the material master record in advance.
We have to allow automatic creation per plant first of all. We then have to explicitly allow the creation of storage location data for each movement type.
The storage location data is only created if the quantity is posted to 'standard' storage location stock. It is not created for receipts into a special stock (for example, into sales order stock).
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8.17 Set Manual Account Assignment
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Transaction Code | OMCH |
Configuration Description | In the R/3 System, account assignment is predefined via the automatic account determination facility.
When we enter goods receipts which are assigned to a cost account, we can enter the account manually. In doing so, we change the account assignment predefined as offsetting entry for inventory posting. |
8.18 Define Screen Layout
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Transaction Code | OMCJ |
Configuration Description | In this step, we set the field selection for the goods receipt movement types.
When entering a goods receipt, the field selection controls which fields (account assignment fields) are
In Inventory Management, the field selection depends on the movement type. |
8.19 Maintain Copy Rules for Reference Documents
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Transaction Code | SPRO | |||||||||||||||||||||||||||
Configuration Description | In this step, we configure whether the items of the reference document are proposed as selected on the item selection list when entering a document with reference, or not.
The user can delete the check marks manually on the item selection list if she/he does not want to adopt some items.
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8.20 Set Dynamic Availability Check
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Configuration Description | In this step, we configure the dynamic availability check.
In Inventory Management, two types of availability check are carried out.
Movement Type
Checking Rule
Transaction Code
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8.21 Set “Delivery Completed” Indicator
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Transaction Code | SPRO |
Configuration Description | In this step, we can define that the R/3 System automatically suggests
The "delivery completed" indicator has the following effects:
Note Even if the "delivery completed" indicator has not been set, an item is considered closed once the total quantity has been delivered. This means that the "delivery completed" indicator is not necessary in this case. |
8.22 Set Expiration Date Check
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Transaction Code | OMJ5 |
Configuration Description | In this step, we set the material shelf life expiration date check for goods receipts for each plant and movement type.
Prerequisites The shelf life expiration date of a material can only be entered if:
No expiration date check has been activated for ITZ. |
8.23 Create Storage Location automatically for automatic movements
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Transaction Code | OMJ8 |
Configuration Description | In this step, we specify whether the automatic creation of storage location data is allowed for automatic goods movements.
This is advisable for goods movements via Shipping or when we post physical inventory differences, for example.
We have to allow automatic creation per plant first of all. We then have to explicitly allow the creation of storage location data for each movement type.
The storage location data is only created if the quantity is posted to 'standard' storage location stock. It is not created for receipts into a special stock (for example, into sales order stock). |
8.24 Set manual account assignment for automatic movements
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Transaction Code | OMJ9 | ||||||||||||||||||||||||||||||||||||||||||||
Configuration Description | Maintenance of this indicator is only useful in conjunction with movements for which a G/L account can be entered or is provided by the calling program.
In the R/3 System, account assignment is predefined via the automatic account determination facility.
When we enter material movements that are assigned to a cost account, we can enter the account number manually. In doing so, we change the account assignment predefined as offsetting entry for inventory posting.
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8.25 Define Screen Layout for automatic movements
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Transaction Code | OMJA |
Configuration Description | In this step, we set the screen Layout for automatic movement types. |
8.26 Generate Physical Inventory Documents for Goods Movements
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Transaction Code | OMJC |
Configuration Description | In this step, we define for each plant and movement type whether a physical inventory document is created automatically when a goods movement is posted.
In conjunction with automatic movements, please also note that this indicator is not set for goods movements which are created from within a physical inventory since, in this case, the physical inventory document already exists. This applies to movement types 701 to 708. |
8.27 Define Default Values for Reservations
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Transaction Code | OMBN |
Configuration Description | In this step, we specify the default values for the following functions for each plant:
Allow movements for reservations We can only post a goods movement with reference to a reservation if the Movement allowed indicator is set in the reservation item.
We are not using Reservations for ITZ.
Delete reservations The management program sets the deletion indicator for reservation items whose requirements date is earlier than the number of days specified here.
Create storage-location stock data automatically for reservations When this indicator is set, the storage-location stock data is automatically created when a reservation is posted. This applies both to planned outward movements and planned receipts. |
8.28 Maintain Copy Rules for Reference Documents
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Transaction Code | SPRO |
Configuration Description | In this step, we configure whether the items of the reference document are proposed as selected on the item selection list when entering a document with reference, or not.
The user can delete the check marks manually on the item selection list if she/he does not want to adopt some items |
8.29 Set Dynamic Availability Check for Reservations
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Transaction Code | OMB1 | ||||||||||||
Configuration Description | In this step, we configure the dynamic availability check.
In Inventory Management, two types of availability check are carried out.
The system checks whether the material to be withdrawn is available and issues a message, if necessary.
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8.30 Default Values for Physical Inventory
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Transaction Code | SPRO |
Configuration Description | In this step, we specify the following default values for physical inventory for each plant:
Pre-settings for entering physical inventory documents
Pre-settings for entering physical inventory documents
Note: We only see this field when we enter inventory differences if we have activated it in the step Field selection for physical inventory. |
8.31 Record Reasons for Goods Movements
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Transaction Code | OMBS |
Configuration Description | In this step, we can carry out the following for each movement type:
When we enter a goods movement, we can only enter reasons which have been defined for the movement type here. |
8.32 Copy, Change Movement Types
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Transaction Code | OMJJ |
Configuration Description | In this step, we can
When we enter a goods movement, we must always enter the movement type. The movement type has important control functions in Inventory Management. It is essential for
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9 Materials Management – Valuation and Account Assignment
9.1 Split Valuation
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Transaction Code | OMW0 |
Configuration Description | You configure whether split valuation is allowed at your company. If you generally allow split valuation, this does not mean that you must valuate each material on this basis. You decide whether to do so or not for a particular material when creating the material master record. |
9.2 Configure Split Valuation
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Transaction Code | OMWC |
Configuration Description | In split valuation, we can distinguish between partial stocks of a material according to certain criteria and valuate them separately.
To select split valuation, proceed as follows:
a) Select "Goto --> Global Categories". b) Position the cursor on a valuation category and select "Goto --> Global Categories --> Allocations --> Types->Category". c) Activate the valuation types you want.
a) Select "Goto --> Local definitions". b) Position the cursor on a valuation area and select "Goto --> Local Definitions --> Allocate Categories->Org.units". You obtain a list of the global valuation categories. c) Activate the categories to be used in this valuation area. The system creates the local valuation types based on the allocations under point 2. |