on 03-25-2009 8:20 AM
I manage both billing plan types: periodic and milestone.
Most of my customers have got in their contracts a clause of pricing increase by the inflation
.Imagine +4% for the pending billing.
I have found the include (user-exit) RV60FUS1
There is a form called billing_schedule_delta whose SAP description is: This routine decides which is the billing schedule which is added by a price difference
Have you used it?
Thanks,
hi enrique,
i have no expiriance with this user-exit, but i have solved a similar problem with the exchange rate type.
My task was :
Contract on EUR - price Kondition
Order by a Customer with GBP inf order - document
every month, the exchange rate between the customer an us is fixed for one month.
the customer has got a special exchange rate type in VD03.
Finance has to install every month the new exchange rate between EUR and GBP with the exchange rate type XXX.
While copying from delivery note to invoice, i change price-date to actual date and do pricing not with type G, but with Type C.
with this scenario, the EUR - condition will be transformed in GBP by the exchange rate of type xxx. For the financial departement, the GBR is transferred to EUR by the normal exchange rate - daily updated. This ist fixed by SAP an unchanged.
Hans
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