on 06-21-2010 10:32 AM
Hi,
I need some clarification regarding intercompany sales process.
My client is having two company code named 8500 & 8700.
we have to sell 8700 material eg 870000 through 8500 plant 8501. For this requirement i configured intercompany sales.
i have assigned my deliverung plant 8501 and distribution channel to 8700 . Created Internal customer representing 8700 in 8500/01/01 sales area and assigned to 8700 sales organisation. Ordertype OR assigned to billing type IV.
I created a sales order from sales area 8700/01/01 with a customer 1920 and the dispatch plant is 8501.
I did delivery , PGI and i did normal invoice from 8700 company code to 1920 customer . sales account is reflected in company code 8700 ( g/l account 410001 in FS10N)
then i did intercompany billing from 8500 to internal customer. accounting document is generated. But i can,t see it in 8500 company code under G/L account 410001 eventhough it has created with accounting document in 410001.
Please tell me where this account is moving
Edited by: Mohamed.Naseem on Jun 22, 2010 12:53 PM
Edited by: Mohamed.Naseem on Jun 22, 2010 12:54 PM
Edited by: Mohamed.Naseem on Jun 22, 2010 12:54 PM
So Mohamed, So it is posting to right account and you can see the Accounting document. But when you display the account balances, you don't see the Accounting Document there? Is that the issue?
What T code are you using to display the account balances? Also describe briefly what you are doing after entering the transaction?
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