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STEP: 01
Create customer Inquiry in the system T.Code: Via Menus Logistics>Sales and
Distribution>Sales>Inquiry>Create,Change,DisplayVia Transaction Code VA11,VA12,VA13
Enter Inquiry type, Sales organisation, Distribution channel and division.
Click on enter icon
Enter sold to party, Deliver Plant, Description.
Save the Inquiry.Following Enquiry Number gets generated.
STEP: 02 Create Document for InquiryT.Code: Via Menus Logistics>Project System>Documents>Document Management
System>Document>Create,Change,DisplayVia Transaction Code CV01N,CV02N,CV03N
Deliver Plant
Customer Code
Description
Enter Document type ZCW and press icon.
Enter description of the document and click on create original icon Enter the file location path in the original field.
Click check original icon and save the transaction. Document number will be generated.
Description field
Create original icon
STEP: 03 Assignment of document to Inquiry. T.Code: VA12 – Change.
Enter the Inquiry number and press enter icon. Select one line item and the follow the below path to attach the documents.
Enter the document number which is created in step2 and save the transaction.
Mail to different departmentsT.Code: SBWP (SAP Mail)
Send mail to respective departments to get inputs for cost sheet preparation. Mention the inquiry number and different scopes names in the mail.Inquiry Number: 1300007
Scope: FR Studies-FRSScope: Post award Services-PAS etc.STEP: 04 T.Code: SBWPMail to Concerned departments for cost sheet inputs
STEP: 05Creation of base planning objectT.CodeVia Menus Logistics>Project System > Financials >Planning>Costs in WBS>Costs in
WBS>Base planning objectVia Transaction Code KKE1,KKE2,KKE3
Each department creates base planning objects based on Inquiry number, scope, and year.
Inputs: Enter Base Planning Object Number and Press Enter.
Inputs: Base Unit of Measure: ea Company code: 1000 Description
Then Click on cost estimate icon and select costing variant as BP01 in the popup screen
you will find unit Cost estimate screen. Select header screen icon and enter the date. Select
icon so that you can come to Unit cost estimate screen.
Inputs: Category: E Department: Respective cost center Activity Type: Required cost head Quantity :
Then select save and back icons.Step 06: Information to marketing about base planning objects.T.Code: SBWP (SAP mail). Inputs approver sends mail to marketing dept specifying the competed base planning objects.Inputs of the Marketing Dept in the BPOT.Code: ZSDBPO
Select KKE2 Change base planning object and select execute
Enter the Base planning object for which changes are required. Say enter.
Click on change cost estimate icon and do the required changes in the Unit cost estimate.
Step 07: Creation of QuotationT.Code:
Via Menus Logistics>Sales and Distribution>Sales>Quotation>Create,Change,Display
Via Transaction Code VA21,VA22,VA23
Marketing department creates Quotation and compiles all base planning objects for cost sheet preparation.
Enter the Inputs. Sales organisation, Distribution channel and division.
If it is required to create Quotation with respect to Inquiry click on icon and enter Inquiry number.
Inputs: Sold to Party, Deliver Plant, Material and description.Enter always material as Scope and enter description manually.Double click on line item FR Studies (scope), it takes you to item data screen. Click on Costing icon
Following popup screen appears.
Click on Unit costing and enter costing variant as PC04, press enter. It takes you to Unit cost estimate screen.
Inputs: Category : B (Base planning object) V (For marketing inputs) Resource: Base planning object Description: For marketing inputs, description must be maintained manually. Quantity: Always enter quantity as 1 for base planning objects. Price Total: For marketing inputs Price must be maintained manually.
Similarly for each scope we can compile base planning objects.
Attach the offer document to the first line item of the quotation.
Click on save button .
Step 07: Cost sheet ReportT.code ZCWCS
1.Enter the Quotation Number and Execute.
2. In the report we can find scope wise and cost head wise details. If it requires to see the scope wise details double click on scope column.
3. Here we can find the cost head wise and year wise details. If it requires see the report department wise and year wise double click on cost head.
4. We can see the grade wise report of particular dept by double clicking on department.
Step 08 Create ProjectCreate a new project on receipt of order from the customer. Create the project a fresh or create with reference from an existing project. Click open number to view the next open number. Create the project with the required project profile.
T.Code:
Access transaction by:
Via Menus Project System > Project > Special Maintenance Functions > Work Breakdown Structure (WBS) > Create
Via Transaction Code CJ01
1. On screen “Create Project: Initial Screen”, enter information specified in the table below:
You can enter Project code directly or by finding through next open number.
Field Name Description R/O/C User Action and Values Comments
Project Definition
Enter the project definition ID R Enter a unique project definition ID
Project Profile
Enter the project profile R Enter the relevant project profile
(Note: On above table, in column “R/O/C”: “R” = Required, “O” = Optional, “C” = Conditional)
2. Click to find the current open number. To copy from template, in the template area enter the standard project definition or project
definition to copy from.
3. Click to find the proposed open number; subsequently click to use the new open project ID.
4. In the project definition enter data as below:
Field Name Description R/O/C User Action and Values Comment
sProject Definition Description
Enter the project definition description
R Enter the project description for the required project
Basic DataBusiness Area
Enter the business area R Choose from the dropdown the required business area
Plant Enter the plant O Choose from the dropdown the required plant
Location Enter project location O Choose from the dropdown the location
Functional Area
Enter the functional Area O Choose from the dropdown the required functional area
Profit Center
Enter the profit center R Choose from the dropdown the required profit center
(Note: On above table, in column “R/O/C”: “R” = Required, “O” = Optional, “C” = Conditional)
4. Enter the WBS Element detail by clicking on in the project definition
Level Enter the level in the project hierarchy
R Enter the level of the WBS element. Enter only one WBS element at level 1. All other WBS elements should be entered below this on levels viz. 2,3,4,5.
WBS Element Enter the WBS element unique ID
R Enter WBS element ID as per the project coding mask.
Planning Element
Check or uncheck the check box
O Check the ‘PE’ box wherever cost planning has to be carried out. If the box is not checked system will not allow cost planning for the WBS element.
Account Assignment
Check or uncheck the check box
O Check the ‘Acct’ box wherever network / activities or actual cost has to be booked
Note: If ‘Acct’ box is ticked then maintain investment profile for the WBS element.
Billing Element Check or uncheck the check box
O Check the ‘Bill’ box wherever revenue or sales document has to be assigned
Assignments Tab pageBusiness Area Enter the business area O Choose from the dropdown the
required business area for the WBS element i.e. only if the Business area is different than the business area as defined in the project definition
Plant Enter the plant O Choose from the dropdown the required plant for the WBS element i.e. only if the plant is different than the plant as defined in the project definition
Location Enter the location O Choose from the dropdown the required location for the WBS element i.e. only if the WBS location is different than the location as defined in the project definition
(Note: On above table, in column “R/O/C”: “R” = Required, “O” = Optional, “C” = Conditional)
5. Use entry tool to enter WBS elements.
Press enter button.
6.All WBS Elements are on level one. To correct hierarchy follow the below path.
You can find the WBS Elements are arranged in hierarchy automatically.
7. Maintain operative indicators:
1) Planning Element: To allow planning in WBS elements2) Account assignment element: To allow actual and commitment postings 3) Billing: To allow assignment to sales & billing documents
8. To see the Project in hierarchy graphic, click the icon .
Step 09 Create Resource allocation sheetT.code ZPSO281. Enter the Quotation number, Select Create/Update icon and execute to prepare the resource allocation sheet.
2. In the above screen you can find the cost sheet vaules year wise. Buy putting Percentage for each year and cost head resource allocation sheet values will be prepared automatically. For the ManMonth cost head WBS Element need to be maintained so that quantity check takes place at the time of execution.Save and click on back button.
3. To see the Cost sheet vs. Resource allocation sheet display report, select report radio button and execute and select cost sheet radio button. In this report you can not change any values.Click on back icon.
Click on back icon.4. To see the Resource allocation sheet display report, select report radio button and execute and select Resource allocation sheet radio button. In this report you can not change any values.
Step 10 Copy Cost sheet values to Project cost planning
Via Menus Project System > Project >Financials>Budgeting>Planning>Costs in WBS>Overall values>Change
Via Transaction Code CJ40
Enter Project definition and version.
Say enter
Enter the plan values against each WBS element by referring to cost sheet.Total the values by selecting top level WBS Element and by following Edit>total Up.
Say Enter
Step11 Copy Resource allocation sheet values to Project budget.
Via Menus Project System > Project >Financials>Budgeting>Original budgetVia Transaction Code CJ30
Copy the values from Resource allocation sheet values to Project budget manually.
Total the values by selecting top level WBS Element and by following Edit>total Up.
Save the budget.
Step12: User status to Project Definition
Put User status RFAP to Project definition.
Select Project definition icon to go to Project definition overview screen. First user status will be INIT.In this status Project can not be released. Marketing dept puts the user status to Project
definition which will trigger workflow to Group head, HOD (Marketing), HOCW.Then HOCW puts user status APPD. That means Resource allocation sheet is approved. Then only we can release the Project.
Step 13 Creation of Sales Order
T.code.Via Menus Logistics>Sales and
Distribution>Sales>Order>Create,Change,DisplayVia Transaction Code VA01,VA02,VA03
Recording receipt of Advance from Customer
Inputs: Sales Organization: 1000 Distribution channel: 10 Division: 02Say enters and provide the Following inputs.
Customer : 10000001 (Pick up from the drop down)Delivering Plant: 1002Material : ADVWBS Element : CW-09855-1 (say)
Fill in the Text:
Go to Line Item- Conditions Tab
Fill up the condition type ZADP wit the Advance Cheque Value and Press enter.
Go to tab and choose the relevant Bill to Party
Press Save
Note the order No and go to Transaction VF01
Type the order no in the Document No Column , choose document type FAZ and enter billing date.
Press enter to arrive at the following screen:
Press save button to generate Down Payment Request No.
Go to transaction VF03 and type the document no:
Press the document Flow Icon to see the document flow:
Please note the accounting document No ( eg; 2400000113)
Go to F-29 transaction:
Fill in relevant date fields , company code data (1000) currency (INR) Customer Code, Bank Account No in SAP & Business Area as 1002. Fill- in Cheque No and Date in the Assignment Field and Cheque Particulars in the Text Field.
Fill-in value 1 in the amount field and press button.
You will see the following screen.
Choose the relevant Down Payment request line created earlier and press tab.
You will come to the following screen:
Enter the tax amount as suggested in the footer..
and press the
overview button: Withholding Tax screen will pop-up for you to enter any TDS amount else press enter:
Press enter till you come to this screen:
Double click the Bank line item and replace the value of 1 with * , this will copy the value of the Down Payment Request to the Bank Line Item, Press Overview icon again and you will come to this screen:
From Menu choose Document- simulate to populate the additional line items as shown below:
Press save icon to post the payment document. Message at the footer will confirm the transaction as shown below:
Step14: Notification for Nomination of Project Manager
Via Menus Logistics>Project System > Notifications>General Notification>Create
Via Transaction Code IQS1
Enter Notification type and enter
Inputs:
Description: Subject Long text Document type: Document No:
Step15
Creation of Network Activities and scheduling
Via Menus Project System > Project >Project BuilderVia Transaction Code CJ20n
Click on Open icon and enter the Project definition in the popup window. Click on enter button
.
Here we can define two types of network networks.1. Network with costs: Normally these networks are created for time sheet neworks.Here each department is defined as an activity. Work and work center will be mentioned in the activity. During time sheet entry employee enters hours against this activity, which will be approved and transferred to project by the project manager. As a result cost also updated in the project.In case of shared manpower, Project manager defines separate network activities and confirms the activities which posts costs as well. Network type: CW01,Network Profile: CW000012. Network without costs: For scheduling activities separate network will be created. In case of site deployment actual cost will be booked through personnel master. But actual man month will be updated through activity confirmation with out any cost updation.Network type: CW02,
Network Profile: CW00002
Timesheet Network
Select WBS Element for which timesheet activities need to be created and right click the mouse and select create network. Enter Network profile and network type.
Select activity overview and enter description the duration, work, work center
Scheduling Network
Select WBS Element for which scheduling activities need to be created and right click the mouse and select create network. Enter Network profile and network type.
Select activity overview and enter description the duration. After saving the transaction network numbers will be generated automatically.To create capacity requirements for the activities select the capacity requirements indicator in the network header (basic data tab page) and perform the network scheduling.Select the network header and go to Edit->Dates->Schedule. Capacity requirements will be generated for the network.Creation of Milestones:Select the activity or WBS Element to which Milestone need to be created and double click on Milestone object in the template area.
Enter the Milestone description, Milestone Usage, Invoice Percentage, Fixed date or Offset to activitySales document date.
Making a Sales Order for the Purpose of Billing a Customer
T.code.Via Menus Logistics>Sales and Distribution>Sales>Order>Change,DisplayVia Transaction Code VA02,VA03
Create sales order ( change mode) after getting order from the customer. While creating sales order, Payment terms with the customer must be taken in to consideration like lump sum, actual Man month, Actual tours etc.
Take the Sales Order no against which advance has been taken and run transaction VA02. Give the order No and press Enter.
Enter the followingPlant:1002Material: Lumpsum (Say)WBS Element: CW-90000-1 (say)
Press Enter and type Plant Code = 1002Type the Material code LUMPSUM (say)And give the relevant WBS no.
Double click on Line item of Material Line item -- it takes you to Line item detail screen.Click the Conditions tab .
Manually select the Condition ZPR0 and enter the LUMPSUM amount.
Press Enter.
ZPR0 line with amount will move up and the taxes will be calculated accordingly.
Select the tab. There will be a pop-up screen and select the WBS .
This will lead to the Milestone Billing Plan Screen and you can copy dates from the WBS by pressing
or manually create the milestones
In normal case the Invoice Percentage should be 100.00
Press the back button from the top menu and save the order.
Step 16 Manual confirmations of the activities.
Via Menus 1.Logistics>Project System > Project > > Project Builder2. Logistics>Project System>Progress>Confirmation>Individual/Collective
Confirmation
Via Transaction Code CJ20n,CN25,CN27
In case of site deployment actual cost of the manpower will be updated through payroll. But actual ManMonth will not be updated. To update actual ManMonth, manual confirmation for the activity needs to be carried out.In case of shared manpower utilization also manual confirmation need to be carried out. Prerequisite for confirmation is activity should be released.
To do confirmation select an activity and follow the below mentioned path.
Enter the Inputs like Personnel number, work center, actual work, posting date and select the back icon and save the transaction.
BILLING A CUSTOMER POST ACTIVITY/MILESTONE CONFIRMATION USING SALES ORDER:
Transaction VA02: Change Sales Order.Give the order no and press enter.Choose the relevant line item , say LUMPSUM and go to its Billing Plan Tab
On milestone confirmation in Project System the Billing Block in Sales Order Billing Plan Line will be automatically removed.
Press Back button and save the Order.
Enter Transaction Code VF01 and give type the Sales Order No in the Document Field Choose Billing Type ZCON and enter the Date of Billing and Press Enter
Chose the line item and double click to see its details
Go to its Texts Tab and enter the item details.
Press Back Button and go to Header Texts by clicking the icon
Go to the text Tab and re-enter the texts relevant for the billing.
Press Back Button and Save the document ---. This will post the document to FI module.
Successful message will be flashed on the footer:
Go to Billing Document- display and Press the document flow Icon
Cross check that automatically accounting document has been generated.
This completes Successful Billing in SAP System
Step 17Workforce planning There are two way of doing workforce planninga) Project view b) Work center view
Via Menus Logistics>Project System > Resources>Workforce Planning> Project View
Via Transaction Code CMP2
Select the project in which you want to do the workforce planning. Enter the profile for workforce planning and the planning period (start and the end date of the planning).
Press the 'Execute' button . It will display the project view. Assignment of the workforce to the activities is to be done.
Select the activity and press 'Create Assignment ' button . Assign the resource/ resources to the activities.
To see the availability of the resources, press the 'Availability Personal Resource' tab
Distribute the quantum of work assigned to the activity to the resources in the open to enter fields for the required periods. The assignment displays ‘Total work’ allocated to the activity, ‘To be distributed’ which indicates the work still to be distributed. Distribute the quantum of work in the activity to the periods.
Press save and go back to save assignment.
b)
Via Menus Project System > Resources>Workforce Planning> Work Center View
Via Transaction Code CMP3
Select the work center at which you want to do the workforce planning. Enter the work center, plant, and profile for workforce planning and the planning period (start and the end date of the planning).
Press ‘execute’ button This gives the Workforce Planning, Work center view.
This screen has two sections; the upper section gives the personal resources assigned to the work center and the lower section displays the activities in which the work center have been assigned.
To assign resource to the activity select the activity and press create assignment tab . The activities and the resources will be displayed on the upper screen. Distribute work in the open to entry fields as per the quantum of work in the project activity.
Press save and go back to save assignment. c) Reporting for capacity planning Via Menus Project System > Information System >Resources>Capacity
Load > Work Center ViewVia Transaction Code CMP9
Select the project for which you want to see the workforce planning report. Enter the profile for workforce planning and the planning period (start and the end date of the planning). If you want to see the availability of the resource, then tick the checkbox with the availability personnel resources.
Press execute button . It will lead to the report for the workforce planning.Step 18: Time Sheet Entry
Via Menus Project System > Progress>Confirmation>Time Sheet .CATS Classic>Record Working Time
Via Transaction Code CAT2
Enter the data entry profile, the date from which you enter the data and the personal no of the resource for which the time sheet data entry is to be made.
Press the Enter Times button It will show the Time Sheet Data entry view
Data entry screen have two parts,The upper section shows the work list for the employee.
Select the activity for which you want to enter the working hours and select the copy tab from the menu. After this it can be seen in the Data Entry Area. Enter the Activity Type, Task Level, and Task Component. Enter the working hours for different days.
After entering the working hours, release the time sheet by pressing Release View button
Then release the by selecting the activity and releasing it by selecting Edit > Release from the menu bar.Once the timesheet is released, it is ready for the approval.Step 19: Approval of the working time
Via Menus Project System > Progress > Confirmation > Approval > Approve Working Times
Via Transaction Code CATS_APPR_LITE
In the Approve Working Time screen enter the network no. for which activities are to be approved.
Press executes .It leads to the Approve Working Times Screen.
This screen displays the date and the no. of hours entered for different resource/resources. Select
the activities which is to be approved and press the approve tab
I f you don't want to approve any activity, then select the activities and press the reject tab. Once you press this tab, the system will ask for the rejection reason. Pick the suitable reason. It will give a pop-up window in which texts about the rejection reason can be entered.
Enter the text and press enter .
The rejection of the activity will initiate a workflow. Through the workflow the resource whose time sheet entry is rejected will get a mail in his inbox. The mail will contain the document which will explain the rejection reason.
Step 20 : Transfer of entry in the time sheet to the projectVia Menus Project System > Progress > Confirmation > Transfer >Project
System > TransferVia Transaction Code CAT5
Enter the Personnel number. If there is a need to see the log then selects the Log check box.
If you want to see the result without transferring them to the project pick the Test Run check box
also. Press Execute .
If the log is checked then the above screen will show the details of the transferred data. Once the time data is transferred it can be seen in the project. Open the project in the Project Builder and pick the activity and its Dates tab. In the details of the Dates tab see the Actual Date's entry.
1. Creation of Purchase requisition:
OverviewA requisition defines the need for a material or service. It is the primary instrument for identifying materials or services that must be either procured outside the company or manufactured internally. It authorizes the Purchasing department to purchase materials in specific quantities within a specified time frame. It is an internal document and is not used outside of the company.
Requisitions can be created for materials with or with out a material master. When creating the requisition with a material master, the part number must be referenced, and a flag must be placed in the account assignment field. This will bring up a pop-up window to assign the material to an account.
Requisitions do not need a material master. If processing a requisition for material that does not have a material master, the account assignment must be flagged with the proper key to charge the item to a cost center, project, or an order.
Purchase order can be created by
Via Menus a) Logistics>Production>DRP>Execution>Purchase Requisition>Create
Via Transaction Code ME51
On screen “Create Purchase Requisition: Initial Screen”: enter information specified in the table below:
Fields Description R/O/C User Action and Values Comments
Document Type
Defines whether a requisition or agreement is to be created
R Enter type (ZP12) for regular purchase requisition for the project
Purchase requisition
Number that uniquely identifies a requisition
O Leave blank. Number assigned by system.
Source determination
Flag that determines whether automatic sourcing of materials from a vendor is to be used
O
Item Category
Denotes specific features of an item (example - material is consignment)
O
Account assignment
key specifying whether accounting for an item is to be effected via an auxiliary Account
R Choose either Project,(P) Projects
Delivery date Date on which the goods are to be delivered. If delivery date is sooner than the system calculated lead time,
R Enter date material is required
date format may vary by configuration
a warning will be issuedPlant Plant requiring material R Enter plant where material is
to be shippedStorage location
Key for determining storage location for a specific plant
O
Purchasing Group
The Buyer responsible for purchasing the specific requisition/item
R Identify the buyer who will purchasematerial
Material group
Grouping of several materials with similar features
R Enter material group code
Req. tracking number
This number can be used to facilitate the monitoring of material procurement
O
Requisitioner Indicates for whom the material is ordered
R
Shipping Plant
The plant from which ordered material is supplied
O
R = Required, O = Optional, C = Conditional
On screen “Create Purchase Requisition: Item Overview”: enter information specified in the table below:
Fields Description R/O/C User Action and Values CommentsItem Number that uniquely
identifies an item within a purchase requisition
R Defaults
I Denotes specific features of an item (example - material is consignment)
O
A key specifying whether accounting for an item is to be effected via an auxiliary Account
O Choose either Project,(P Projects, orders and cost centers will have assigned numbers
Material Name or number that uniquely identifies a material
R Enter name
Short Text Description of Material O Required for materials with no material master
Qty requested
Quantity to be ordered R Enter number of units required
UN Unit of measure in which the requested material is to be ordered
R Defaults from material master
C Category of delivery date (indicates whether the date format is day, week or month)
R Select from the drop-down list
Delivery date Date on which the goods are to be delivered. If delivery date is sooner than the system calculated lead time, a warning will be issued
R Enter date material is required date format may vary by configuration
PGr Purchasing Group R Defaults from material masterMatl Group Material Group O Enter material groupPlant Plant requiring material R Enter plant where material is
to be shipped to Storage location
Key for determining storage location for a specific plant
O Do not enter a location.
SPlt Supplying Plant O
Click on the save folder to produce a numbered requisition, or hit Control + S.
Overview
Trigger:
A purchase order needs to be created, and the vendor is known.
Business Process Procedure OverviewA purchase order is a legal document used to record an individual purchase (negotiated terms, conditions and pricing) with the vendor or arrange for a delivery based on prior agreement. It also provides the vendor with a reference document to link to shipping (goods receipt) and invoicing (invoice verification) processes. The purchase order is a commitment to a vendor for a given material, in a specified quantity at a predetermined price and delivery date.
The steps you must perform to copy a document or convert it into a purchase order are identical.To create a requisition or purchase order by adopting an existing document, you can either select the desired document in the document overview or adopt it in the current purchase order in the right-hand area of the screen using the ADOPT button. In addition you can drag it onto the shopping basket symbol with the left-hand mouse button. A prerequisite is that the relevant documents can be displayed in the document overview.
Click the Personal Settings button on the tool bar, this function is for default information for purchase order header data and also purchase order item data. This will reduce the amount of redundancy in the data entry, i.e. plant, company code.
One Purchase Order may be created for several purchase requisitions.
Via Menus Logistics>Materials Management>Purchasing>Purchase Order> Create>Vendor/Supplying Plant KnownLogistics>Sales and Distribution>Foreign Trade/Customs>General Foreign Trade Processing>Environment>Purchase-Import>Purchasing>Purchase Order>CreateLogistics>Production>KANBAN>Environment>Purchasing>Purchase Order>Create
Via Transaction Code ME21N
On screen “Create Purchase Order”, enter information in the fields as specified in the table below:
Field Name Description R/O/C User Action and Values Comments
Shopping Cart Symbol
Order type R System defaults in Standard PO. Use pull down to change if necessary
Purchasing document number
Number can be internally or externally
assigned
O Leave blank if internally
assigned; fill in if external assignment
Vendor Vendor number R Vendor number known or via match code search
Doc. date Purchase order date R Date PO created (defaults to today’s date)
Header Section Header
Purchasing Organization
Purchasing organization code
R Purchasing Organization known or via match code search
Purchasing Group
Purchasing group code R
Company Code
Company code for purchase R Enter if not defaulted in from purchasing org or group
Item Overview
Item Overview
Item number Item number within document
R Will default by system
Acct. assignment category
Account where costs are allocated
For a consumable material. For a stock material it is not required
C Leave blank for stock item, enter if a consumable material
Choose either Project (P), Order (F), or Cost Center (K) to charge costs Projects, orders and cost centers will have assigned numbers
Item category Type of purchase C Leave blank for standard purchase
Material Material number R Use match code search if needed
External numbering may be used.
Short text Text from the material master record
R Default from master record
PO Quantity Required units / quantity R Enter quantity
Unit of measure
Unit that good or service is purchased
R Enter unit of measure
Category of delivery date
Indicates whether the delivery date is to be entered and displayed as a calendar day, week or month.
R default
Delivery Date Date material is required R Enter delivery date
Net Price Vendor selling price for good or service
R Enter price
Currency Currency used for plant R Default
Per Price per unit R Default
Order unit The unit of measure for which material is purchased
R Default
Material group
Grouping together of materials by characteristics
R Enter material group
Plant Facility where goods or services are produced or sold.
R Enter plant
Storage Location
Location where stock is stored
R Enter storage location Required for stock item
tracking number
Number that facilitates monitoring of the procurement of required
O Enter if known Can be used in List display to list all PO’s created
materials by a certain buyer. Potential entry is employee number.
Requisitioner To whom material or service is ordered
O
Info Record Purchasing information record informal price agreement that may be updated with each purchase
O Default if good or service was purchase from vendor previously or info record created manually
Returns Item Specifies if good or service are returns
C
Free Free goods C
Texts Texts exist if checked C
Purchase req Reference document number C Use tool bar button to reference other purchasing documents
Outline Agreement
Reference document number C Use tool bar button to reference other purchasing documents
Agreement Item
Item number C Item number within purchasing document
RFQ Reference document number C Use tool bar button to reference other purchasing documents
RFQ item Item number C Item number within purchasing document
Purchasing doc
Reference document number C Use tool bar button to reference other purchasing documents
item Item number C Item number
within purchasing document
Higher level item
Item number of higher-level item to which this item belongs (in a hierarchical arrangement).
C
Sub-item category
Indicates the nature of the sub-item (for example, discount in kind).
C
(Note: On above table, in column “R/O/C”; “R” = Required, “O” = Optional, “C” = Conditional)
Click on the Enter button.
On the ‘Item Details’ screen, click the Services tab for Item. Enter information in table below:
Field Name Description R/O/C User Action and Values
Comments
Service No. Enter the service defined in the Service master
0
Short Text Description of the Service C, if no Service no. is maintained
G/L Account General Ledger Account C
Quantity Quantity of the of the service ordered
C
Gross price Price of the service C
On the ‘Item Details’ screen, click the Limits tab for Item. Enter information in table below:
Field Name Description R/O/C User Action and Values Comments
Overall limit Enter the overall purchase value
O
Expected value
Enter the expected value of the purchase
C
Actual Value The actual purchase value C
No limit checkbox
If there is no limit on the overall purchase order value
O
On the ‘Item Details’ screen, click the Account Assignment tab for Item. Enter information in table below:
Field Name Description R/O/C User Action and ValuesComments
Quantity Enter quantity that will be expensed
C
Unloading point
Location for delivery O
G/L Account General Ledger Account C
Controlling area
May include one or more company codes
C
WBS Element
Enter the WBS element for which PO is being made
C
Recipient Individual to receive delivery O
(Note: On above table, in column “R/O/C”; “R” = Required, “O” = Optional, “C” = Conditional)
Click on the Enter button.
The Purchase Order may be posted by clicking on the Save button.
A message will be displayed stating that the purchase order was saved, with the purchase order number.
b) PO release
Via Menus Material management >Purchasing > Purchase Order >Release > Individual Release
Via Transaction Code ME29N
In the screen select the status and release the PO.
Business Process Description OverviewThis document describes the procedure for creating a service entry sheet. Within purchasing, this service entry sheet document is designed for the recording of the services that have been performed by the service provider. The service entry sheet is a list of all planned services that have actually been performed. It can also be used to list and specify unplanned services that have been performed and whose precise scope and nature were unknown at time of planning phase.
Input Required Fields Field Value/Comments
Purchase Order Number for Services Enter the purchase order you wish to reference(Item Category = D)
BUSINESS PROCESS PROCEDURE
Title: I-1Organization/Area: Project Systems
File Name : PS_01 Release: ECC 6.0Responsibility: Status:
Output - Results CommentsService Entry Sheet
Access transaction by:Via Menus a) Accounting> Project System> Resources> Capacity
Requirements Planning> Requirements> Maintenance Order> Completion Confirmation> Servicesb) Logistics> Customer Service> Service Processing> Confirmation> Activitiesc) Logistics> Plant Maintenance> Maintenance Processing> Completion Confirmation> Servicesd) Logistics> Production> Capacity Planning> Requirements> Maintenance Order> Completion Confirmation> Services
Via Transaction Code ML81
Select the other Purchase Order tab and enter the PO number for service.
Select the Create Entry Sheet tab
Field Name Description R/O/C
User Action and Values Comments
Purchase Order Number
Enter Purchase Order Number for Services
R Enter Purchase Order Number. Match code (F4) may be used to help.
Purchase Order Item
PO line item of service O Enter PO item number
Entry Sheet Number
Number of entry sheet in system
O Enter entry sheet number
Selection Criteria:
Section Heading
Person resp : (ordering party)
Name of person responsible for ordering service
O Enter name
Person resp : (contractor)
Name of person responsible at contractors office
O Enter name
Reference Date Date when the price was put on the service entry sheet
O Enter date
Only open sheets
To select only open sheets.
O Check this if the selection should be limited to open sheets.
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BUSINESS PROCESS PROCEDURE
Title: I-1Organization/Area: Project Systems
File Name : PS_01 Release: ECC 6.0Responsibility: Status:
Location service performed
Location at which service was performed.
O Enter location
Short Text To select using short text. O Enter short text.Adoption of Planned Services
Adopt planned service from PO into service entry sheet
O Check box if you wish all planned services to be adopted into service entry sheet from PO
Percentage for quantities
% of planned services adopted from PO
O Set percentage of planned services to be adopted
Model Service Specifications
Number of a set of model service specifications
O Choose one
Sequential Control
OverviewDetailsAdd
R Choose one
(Note: On above table, in column “R/O/C”; “R” = Required, “O” = Optional, “C” = Conditional)Click on the Enter button.Click on the Create Entry Sheet button.On Screen “ (Entry Sheet Number): Create Entry Sheet”: enter the information in the fields as specified in the table below:
Field Name
Description R/O/C
User Action and Values Comments
Service No. Key which uniquely defines service(service master number)
R Enter Service number
Short Text Description of Service O Field populates when service no. entered
Quantity Qty of service performed R Enter qty of service performed
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BUSINESS PROCESS PROCEDURE
Title: I-1Organization/Area: Project Systems
File Name : PS_01 Release: ECC 6.0Responsibility: Status:
Un of Measure
Unit of Measure for service O Field populates when service no. entered
Price Price of service performed R Enter price of service performed(Note: On above table, in column “R/O/C”; “R” = Required, “O” = Optional, “C” = Conditional)Click on the Enter button.
Save the sheet.
Now select the service and enter the Accept tab on the toolbar.
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