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Dec 28, 2018 at 03:22 PM




We have activated LOG_MM_SIT.

Below steps followed:

Sales Contract --> Sales Order -- PGI (687 - & 687 T +)

At the time of PGI Goods in transit DR and Inventory CR. (Special stock indicator T) triggered in the month of Oct'18. We closed the period with ML period end activities. We did VLPOD in the month of Nov. When we check the ML document , system posting the Goods issue with Oct'18 standard price . Not considering the actual cost of the Oct which was updated in the Oct month end. Can anybody advise? How to get actual cost of the material in the current period whenever VLPOD is done. We need to update COGS as per the current period price