Description
You can limit selection by entering the arrangement number and thecondition granter. You can enter the settlement calendar to limit theselection to rebate arrangements that are settled on a monthly orquarterly basis, for exaple. You can, of course, also selectarrangements that are not to be settled at intervals (no settlementcalendar). Only those rebate arrangements are selected for which interim or finalsettlement is due according to the settlement date. For finalsettlement, the end of the validity period must be on or before thesettlement date. Interim settlement is due if the validity period ofthe period-specific condition record has expired, i.e. likewise on orbefore the settlement date. The settlement date should be in the past (except when settlement issimulated, or when an interim settlement is made in advance, seebelow), as rebate arrangements and condition records are only settledwhen their validity period has expired. However, if you do not executethe report in the background you can also settle arrangements inadvance. Selection can be limited to specific purchasing organizations andpurchasing groups. Only those rebate arrangements with correspondingorganizational data are selected. You can enter a posting date to control the date on which thesettlement documents are posted in Financial Accounting. For example,you can carry out year end settlement in January, but still post thesettlement documents in the preceding year. Each rebate arrangement has a status. By entering the appropriatestatus ID of the arrangements, you can, for example, temporarilyexclude certain arrangements from settlement. Simulate/execute settlement The fields "Simulate/execute settlement" control whether thearrangement is settled. If "Simulate settlement" is set, settlement issimulated only, i.e. the arrangement income is determined. The systemchecks whether the settlement document (billing document or creditmemo) can be created. However, the document is not posted. Whensettlement is simulated, any date can be selected as the settlementdate. Interim/final settlement of condition records The fields "Interim/final settlement of condition records" controlwhether you make an interim settlement in advance or final settlementof the condition record. In the case of interim settlement in advance,the system uses the vendor business volume already achieved to checkwhether an income can be generated before the end of the validityperiod for the condition record. Method of distributing income over the plants If you have selected a settlement type (Customizing settlement type)that leads to the income from a condition record being posted to aplant account, you can define here whether this income is to bedistributed according to business volume shares, i.e. plant's share ofthe condition basis, or equally among the number of plants involved. Here you can define the sequence in which the settlement programprocesses and lists the rebate arrangements. Batch settlement Precondition Output |
485130 | Arrangement status for interim settlement set incorrectly |
383600 | Income updating from settlement document not executed |
457035 | Incorrect doc. status if document not relevant to accounting |
458695 | Man. correction f. customer BillDoc income w/ partial settl. |
437429 | Message SG105 List settlement documents, setting up incomes |
433752 | Error when checking for release to accounting |
386157 | Shrt dmp CONVT_OVERFLOW or BCD_FIELD_OVERFLOW durng settlmnt |
353546 | Settlement of incorrect incomes via vendor billing documents |
324705 | Msgs MN781 or MN164 with settlement of rebate arrangement |
324686 | Message MN145 during rebate arrangement settlement |
195730 | Message MN684 in rebate arrangement settlement |
72199 | Problem analysis update business volume data |