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Logistics : MM and its sub-modules (WM, IM, PO, LIS)
Moderators: thx4allthefish, Snowy, Ha Tran, svetja
by Limori » Mon Apr 30, 2012 6:39 am
Hi,
I've created a new condition type X for a PO (via tran. M/06) and assigned it to a Schema (via tran. M/08) with account key 'VST'.
The value for this condition type X is entered manually in the PO itself and is % based on net value of item.
I've assigned a value Y for the new condition type X in a specific PO #A.
Now, in the MIRO stage, there isn't a place who captures the amount Y for the correct GL account.
What am I missing?
Thanks.
Limor
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Limori
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by Ha Tran » Mon May 07, 2012 1:39 am
Hi,
You have to assign the key to the ''Accrual'' field in M/08 transaction and make sure also that the ''Accrual'' indicator checkbox shall be flagged for your condition type in M/06 transaction.
Cheers,
HT
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Ha Tran
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