on 12-31-2007 1:45 PM
Hi,
when I am doing export billing from delivery system is picking the exchange rate according to the billing date. That is it is picking the exchange rate from OB08 which was maintained under that billing date as I have maintained the copy controls like that. But I need the same thing to happen from billing to billing also. I have maintained the copy controls in VTFF perfectly. I have maintained (B) "Redetermine the export date" under "Determ.export d" in header and (C) "Exchange rate determination according to billing date" under "PricingExchRate t". in item.
But still it is taking from previous billing only not from OB08.
Can anyone explain me how to do this? first tell me wether this is possible from billing to billing or not?
Regards
Rama rao
Hi;
You are doing correct configs.
even system is not giving correct results pl. try following wayout.
in VBRK - use 011 routine
& in exchange rate maintain current date i.e. 'E'
Pl. post the result.
Avinash
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.
Rama Rao,
It is possible to control the exchange rate date through configuration settings from delivery to billing (VTFL). However, the behaviour is not same for billing to billing (VTFF).
Regards,
GSL.
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.
Hi friends,
Anyone can help me out?
Rama
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.
User | Count |
---|---|
106 | |
14 | |
10 | |
5 | |
4 | |
3 | |
3 | |
3 | |
3 | |
2 |
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.