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How a trading contract in GTM determines pricing procedure for either sales or purchasing?

frank100
Explorer
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Dears,

i'm confused by that - i created a both side Trading Contract in GTM, it works figured out pricing procedure and purchasing pricing schema...but i'm confused why it can works.... since i could not find the config to assign a Doc Pricing Group to the T/C type. Could anyone help here? thanks,

Accepted Solutions (1)

Accepted Solutions (1)

peter_langner
Active Contributor
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Hi Frank,

GTM has no own price determination. It uses the customizing of the follow on document types. It the definition of the trading contract type you assigned a control group sales resp. purchase. In that group the document type of the follow on document is defined.

When determining the pricing procedure, the system uses the master data of the business partner org data from the TC and the customizing of the price determination a well as data of the document types of the follow-on document types.

I hope that helps you.

Best

Peter

frank100
Explorer
0 Kudos

Peter,

Very appreciate your help here. I've tested and it works. I have a little bit experience on SD/MM, but really a rookie in GTM. really appreciate your reply.

May i ask one more question about trading expense? is it mandatory to have the expense condition types in SD or MM pricing procedure? If not, what will happen? Furthermore, if T/C type uses "sales price" rather than "std price", how does a value-based expense condition to be figured out the value ?

peter_langner
Active Contributor
0 Kudos

Hi Frank,

I am glad I could help you.

Regrading your other questions please create a separate question for each of them and will answer them individually.

Best

Peter

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