Description
Selection can be restricted by the number of the arrangement and the"condition granter" (the entity granting the rebate, which may beconditional upon a certain business volume for instance). By specifyingthe settlement calendar, you can restrict selection to arrangementsrequiring monthly or quarterly settlement for example. You can, of course, also select arrangements for which settlement isnon-periodic (i.e. for which there is no settlement calendar). Only those arrangements are selected for which an interim or finalsettlement is due according to the settlement date. In particular, forfinal settlement to take place, the validity end date must be the sameas or earlier than the settlement date. An interim settlement is due ifthe validity period of the period condition record has expired (that isto say, the expiry date is the same as or earlier than the settlementdate). The settlement date should lie in the past (except where settlement isbeing simulated or in the case of an advance interim settlement - seebelow), because settlement is generally only carried out with regard toarrangements or condition records if their validity period has expired.If you are not running the report in the background, however, advancesettlement is fundamentally possible. Selection can be restricted to certain purchasing organizations andpurchasing (buyer) groups. Only those arrangements whose organizationaldata lies within the specified area are selected. By specifying the posting date, you can determine the date with whichthe settlement documents are posted in Financial Accounting. Forexample, you can carry out the year-end final settlement in January,but still post the settlement documents to the previous year. Each arrangement has a status. By the suitable assignment of the statusindicator to arrangements, you can temporarily exclude certainarrangements from the process of settlement accounting for instance. Simulate/perform settlement accounting Via the fields "Simulate/perform settlement accounting", you determinewhether settlement accounting is actually to be carried out (and asettlement list and settlement document(s) created) with regard to anarrangement. If the parameter "Simulate settlement accounting" is set,the system merely simulates settlement - that is to say, it determinesthe income due from the arrangement. The system checks whether or notthe settlement document (billing or credit memo document) can becreated. However, the documents are not posted. The user can choose anysettlement date for the purposes of simulating settlement. Interim or non-interim settlement accounting with regard to conditionrecords Via the fields "Perform interim settlement accounting" or "Performsettlement accounting" for condition records, you determine whether youmerely wish to carry out advance interim settlement accounting or finalsettlement accounting with regard to the condition record. In theformer case, the system checks on the basis of the existing cumulativevendor business volume whether any income can be generated prior to theend of the validity period of the condition record. Distribution (apportionment) of income among plants If, through your choice of settlement type (Customizing, arrangementtype), you have specified that the income from a condition record is tobe posted to a plant (site) account, you can specify whether thedistribution (apportionment) of the total income is to be effected byshare of business volume (that is according to the plant's share in thecondition basis), or evenly (that is, according to the number of plantsinvolved. Here you can influence the sequence in which the settlement programprocesses and lists the arrangements. Settlement in the background Precondition Output |
113031 | Subsequent settlement: Taxes |
536466 | Subsequent settlement: Foreign payments |
183379 | Composite SAP note subsequent settlement (Purchasing) 4.6 |
485130 | Arrangement status for interim settlement set incorrectly |
80233 | Debit-side settlement: Customizing, error messages |
325341 | Incorrect exception processing of user exit LWBON003 |
383600 | Income updating from settlement document not executed |
202036 | Termination TSV_TNEW_PAGE_ALLOC_FAILED when you settle |
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 |
216962 | Comparison of period-specific condition ignored in settlemnt |
72199 | Problem analysis update business volume data |
69800 | Subsequent settlement: Error message - FF758 |