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QM-WM: Problem to create a TO when “stock posting type” is different from one HU to other

marianela_rodriguez4
Participant
0 Kudos
67

Hi Gurus,

I have an inspection lot created after a good receipt posting (inspection type 05). The storage location is relevant for WM. So, the system creates the corresponding HUs.

I record the results without problems, but when I post the usage decision, I have two cases:

If the posting is the sam for all the HUs, no error is raised. In these examples I posted

VMENGE01 or VMENGE04 for all the HUs.

marianela_rodriguez4_0-1745335202119.png

marianela_rodriguez4_1-1745335202120.png

But, if I set a different “stock posting type” for at least one HUs, the system raises an error. See the image below.

marianela_rodriguez4_2-1745335202121.png

marianela_rodriguez4_3-1745335202122.png

So, I must run the LT03 transaction and distribute the total quantity according to the “Stock Category” to be congruent with the “stock posting type”. For example:

marianela_rodriguez4_4-1745335202124.png

marianela_rodriguez4_5-1745335202125.png

As a result:

marianela_rodriguez4_6-1745335202137.png

marianela_rodriguez4_7-1745335202137.png

Now I can post the delivery:

marianela_rodriguez4_8-1745335202137.png

The HUs are updated, properly:

marianela_rodriguez4_9-1745335202139.png

And the stock is updated, accordingly.

marianela_rodriguez4_10-1745335202140.png

Is it the standard behavior? I mean, if the user assigns a different “stock posting type” for one HU than other, then the TO must be processed manually?

I’m aware I can implement a Z solution, but I am not able to find an SAP Note, blog or documentation to be sure there is not a missing customizing.

Thanks!

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