Hi,
I have done the following set up for transfer pricing:
- Activated ML for parallel valuation for legal and profit center valuation
- Activated Profit center valuation in PCA settings
- Did profit center transfer price settings with one condition type-TP01 with “Fixed price” indicator
- Created a transfer price variant 000 and linked the same to pricing procedure TP0001
- Maintained condition records for TP01 with fixed price of 5 EUR. Access sequence is based on plant, receiving profit center and material
- Created two versions- 0 for legal and 8 for PCA valuation. Linked the TP variant 000 in version 8
- Configured account determination for profit center postings
My material master profit center is 1000. I am issuing stock to cost center 2000 which is having profit center 1001. System is picking the material master price from profit center valuation view. I was expecting it to value the same at 5 EUR/unit.
Could you please let me know if I am missing some settings?
Regards
Suresh