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rebate

Former Member
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Dear Gurus,

Please clarify me in rebate processing as I do not have much idea on this...

A pricing procedure is used in both Return document and Rebate Credit Memo.

A condition type used to calculate Lincense fee is active in Return doc..

but, in Rebate this condition type is not appeared..

Condition records.. I could be able to find it in VK13 for that condition type..

Please clarify .. What are all the changes that I need to do to make the condition type to be appeared in Rebate..

Waiting for ur valuable reply..

Thanks & Regards,

Venkatesh.S.P

Accepted Solutions (1)

Accepted Solutions (1)

former_member550050
Active Contributor
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Hi

How to do rebate processing

Rebates Processes in SAP is divided into three components

1) Configuring Rebates

2) Setting up Rebates

3) Managing rebate agreements and payments

Pre-requisites- Check the following:

1.The payer partner needs to have the rebate field checked in the customer master on the sales area-billing doc tab.

2. The Billing type must be marked as relevant for rebates.

3. The Sales Organization must be marked as relevant for rebates.

Condition Technique:

Rebates, use the condition technique, but distinguish themselves from pricing in applying to transactions over time, versus on a transaction basis. Rebates have their own field catalog and their own condition table naming convention. So you could have two condition table "001" one for pricing and one for rebates, which could have different key fields. You need to use the technical names A001 For pricing and KOTe001 for rebates when you use the query type using transaction SE 16.

Use create access sequence (AS). Enter 1 in field category for rebate specific. AS after going thru the right path of maintaining access sequence for rebates.

The big difference between the rebate and the pricing access sequence is that there is no exclusion flag available for rebate related AS. This means multiple tables for an access sequence can be applied at the same time.

Rebate related condition types are identified by condition class -C.

After defining and creating condition types for rebated include them in the pricing procedure. The requirement should be 24 here which implies that the accruals are calculated on the basis of invoice/bill.

The other fields- alctyp and altcbv does not allow you to manipulate how a rebate is calculated. Also, remove the requirement 24, if u want to see rebates at order time.

Now payment of rebates:

Payments can be manual or in full settlement. When you do manual payments, it defines how much can be paid out during a partial settlement. You use partial settlement only when rebate agreement is defined for a full year but the payouts are supposed to happen on a monthly, quarterly or any other specified period.

These accruals are based on sales volume and when they are posted billing is created in the following manner. Provision for accruals is debited and Sales revenue is credited. When rebate credit memo is created

Customer account/ is debited and

Accrual provision account is credited.

Also, please note that when rebates are created without dependent ona material but on customer/material you need to refer to a material for settlement.

What exactly do you wish to know in Rebates? The total outline of the Rebate process or each and every step in the SAP system?

First of all rebates are more or less discounts which are offered to customers. The rebates are based on the volume of the business the customer does with you within a specified time. for eg if the customer agrees for Rs.1 crore worth of business with u in 1 year, then you activate your rebate process. if at the end of the year the customer DOES achieve the target u offer him say 2/3/4 % whatever is decided. The rebates are passed on to the customer in the form of Credit notes.

The rebate can be given to the customer at one time or in installments also.

This is broadly the outline of the rebate process.

Note : I recommend you to study the theory part of why rebate and why not a discount.

This will help you understand better.

May be I can help you with rebate process.(IN -IMG)

1. Define a rebate agreement type

2. Define a condition type group

3. Define a condition type and place this condition

Type in the pricing procedure.(REQUIREMENT=24)

ALSO IN THE PROCEDURE- ACCRUAL KEY = ERU

YOU ALSO HAVE TO DO THE ACCOUNT DETERMINATION FOR REBATES.

Once you have defined all the 3 and assignment starts.

Assign the agreement type to the condition type group

Assign the cond type group to the condition type.

Condition technique is also used in rebates.

REBATE ACTIVATION- IN CUSTOMER MASTER, SALES ORGANISATION AND FOR THE BILLING DOCUMENT.

After having done this please proceed to maintain the condition record for the rebates (transaction code-vbo1)

Note: if you maintain the requirement column with the requirement as 24 - the rebate will be affected in the billing document and if you donu2019t give the requirement as 24 your rebate will be affected in the sales order.

The rebate process is completed when you have created a credit memo to the customer.

The document type for the partial settlement is R3.

Please make sure you open two screens SO THAT YOU CAN COMPARE THE NEW ENTRIES WHAT EVER YOU'RE DEFINING WITH THAT OF THE STANDARDS or first you try with the standard condition type BO01, BO02, BO03, BO04.

AFTER YOU HAVE FINISHED A COMPLETE SALES CYCLE OF CREATION ORDER , DELIVERY AND BILLING.

GO TO THE CONDITION RECORD IN CHANGE MODE (VB02) AND SETTLE THE ACCOUNT PARTIALLY.

I hope this will be of any help to you.

In a simple way,

1. First you need to create a Rebate agreement.

2. Create condition record for rebate giving the rebate rate and accrual rate.

3. When the rebate relevant billing doc is generated, the rebate and accruals are determined and posted in a separate GL account as a noted item - amount to be settled. Also it gets copied in the rebate agreement.

4. Create settlement run using credit memo request and then credit memo to settle this amount with the customer.

Rebate Process with Ref. to SO

If I need to make a rebate for a customer what is the process involved.

I am providing some info on rebates which I know.

Rebate agreements are based on agreement types. Condition records which are created like B001 and B002 are linked to the rebate agreements specifying the rebate rate + the accrual rates. Condition records specify the rebate rate and the accrual rates.

Consider an example..

You decided to give a rebate of 3% to a customer whose sales volume is $1000 for a particular SO

Then the rebate value is $30.

Now when you make the rebate settlement by doing the Credit memo and you decide to pay $27, then the accounting will be generated saying 27$ paid towards rebate and 3$ is the accrual which you owe to the customer

Procedure:

Rebate agreement: Transaction code: VB01

When you go to VB01, choose agreement type 0002 and then in conditions give

Material rebate

1 20

20 30

Now create a sales order with a material say M-11 for SOrg 1000 12 00 with QTY 6

Now check VB03 and see rebate agreement it will say Accruals 120 and payments 0

since your rebate is not settled still.

Rebate settlement

Go to VB02 enter ur sales deal no, and change the agreement status to B then enter Shift+F12 and enter the amount to be paid for example u say $80

Then check in rebate payments rebate doc and partial settlement since you have not paid in full.

View the credit memo request

Remove the Billing bloock Go to VA01 and put order type G2 ,,,go to create with ref and enter ur Sales order no,,,save the doc now...

Then go to VF01 and enter the credit memo reqst no generated...save the doc no and go to VF02 and say release to accounting

Now the final settlement will be this way

Accruals:120

Accrual reversed:80

Rebate pay:80

Amount payable:40

So the balance 40 is still the accrual

This is an example how a rebate will be processed with ref to a SO with an example.

How to do a rebate agreement for a specific customers with settings details?

1. Create a condition by copying a a standard condition like BO03 in V/06

2. Assign this condition in the std pricing procedure with acct key as ERB and accural key as ERU - V/08

3.Create a Rebate Agreement in VBO1 (It is O = Owl and not zero). No will be generated

choose 003 - Customer rebates, enter the customer code, the validity and check for the status shld be in Open, click on the conditions enter the percentage and accrual amount. You also can have scales in this. Also you need to maintain the material for the settlement

4. Create a sales order for that customer and check the rebate agreement.

5. You can see the rebate condition in the invoice only.

6. Once you have posted the invoices, then go to rebate agrrement no. clicl on verficayion and it will show the order details.

7. For settlement change the status of the rebate to B - release for the settlement.

8. Credit memo request will b generated copy the no. and go to VA02, remove the blocks if any and create an invoice (credit memo).this will show u the accrual amount.

9. In both the invoice and the credit memo check the posting - accounting document it will show u the accrual as negative.

10. Again go to rebate aggreement and check the status it will show you D - Final settlement of agreement already carried out

Regards

Raja

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