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Credit Management ...

Former Member
0 Kudos

Hi gurus...

We want to implement Centralised Credit Check in our organisation.While doing the testing in Development server, we face a problem that system is not checking the credit limit at any level ( Order, delivery, PGI) when the credit limit actually crosses the assigned limit of that Customer. Once the limit crossed, only then the system responds.

My requirement is to do Automatic credit check, in order system should give the warning that limit crossed and block the delivery.

ganesh shete

Accepted Solutions (1)

Accepted Solutions (1)

former_member1091983
Active Contributor
0 Kudos

Hi,

Check ur basic settings of CM...

check settings 0f FD32, OVA8 and activation of CM in item category'Credit Active' and IMG-Financial Accounting (New)-Accounts Receivable and Accounts Payable-Credit Management-Assign Permitted Credit Control Areas to Company Code...

check this link also

https://wiki.sdn.sap.com/wiki/display/ERPLO/Credit+Management

REg,

JJ

Answers (2)

Answers (2)

Former Member
0 Kudos

Hello,

You may check the following:

1. In SPRO or tcode OVA8 (maintenance of automatic credit control), you can actually see if static or dynamic is active, the reaction and on what grounds will it be blocked or not.

2. Also, try checking the item categories of the material used (like TAN or TANN), credit check should be ticked and should be active, thus, everytime you process sales for that materials, it will update and affect credit check.

Thanks, hope this helps.

Former Member
0 Kudos

Hi Ganesh,

pls do the below mentione settings. This will help u to configure the automatic credit control area settings.

Create Credit Control area

Procedure

1.Access the activity using one of the following navigation options:

IMG Enterprise Structure  Definition  Financial Accounting Define Credit Control Area

Transaction code OB45

2. On the change view Credit Control areas Overview screen

3. Enter the following information

a. Credit control areas

b. Description.

11.2. Assign Company code to Credit Control area

Procedure

1. Access the activity using one of the following navigation options:

IMG Enterprise Structure  Assignments  Financial Accounting Assign company code to credit control area

Transaction code OB38

2.On the Change view assign company code to Credit control area overview screen

Assign the Credit control area

11.3. Assign Sales area to Credit control area

Procedure

1. Access the activity using one of the following navigation options:

IMG Enterprise Structure  Assignments  Sales DistributionAssign Sales are to credit control area

Transaction code SPRO

2.On the change view Sales are allocation to credit control area overview

3.To respective sales area assign the credit control area

11.4. Defining Risk Categories

Use

The purpose of this activity is to assign the risk category to the company code.

Procedure

1. Access the activity using one of the following navigation options:

IMG menu Financial Accounting (New) u2192 Accounts Receivable and Account Payable u2192 Credit management u2192 Credit Control Account u2192 Define Risk Categories

Transaction code OB01

2. Choose New entries and make the following entries:

Field name

Risk Category

CCAr

3. Choose Save.

11.5. Defining Credit Groups

Procedure

1. Access the activity using one of the following navigation options:

IMG Sales and Distribution  Basic Function  Credit Management/ Risk Management  Credit Management  Define Credit Groups

Transaction code OVA6

2.On the change view Credit groups transaction types overview screen

3.Maintain the following Credit Groups

A Credit Groups for Sales order

B.Credit Group for Delivery

C. Credit Group for Goods Issue

4. Choose Save

11.6. Assigning Credit Limit Check to Sales Document Type

Use

The purpose of this activity is to define the settings for the credit checks for sales orders:

Procedure

1. Access the activity using one of the following navigation options:

IMG menu Sales and Distribution u2192 Basic Functions u2192 Credit management / Risk management u2192 Credit management  Assign Sales Documents and Delivery Document u2192 Credit limit check for order types

Transaction code OVAK

2. On the Change View u201CSales Document Types u2013 Credit Limit Checku201D screen, set the Credit Limit to D u2013 Credit Management: Automatic credit control:

3. Make the following entries:

Sales Document Type

Credit Check

Credit Group

4. Choose Save.

5. 3 ways to control the simple credit check.

A. Warning

B. Error message

C. Warning message with delivery block

11.7. Assigning Credit Limit Check to Delivery Type

Procedure

1. Access the activity using one of the following navigation options:

IMG menu Sales and Distribution u2192 Basic Functions u2192 Credit management / Risk management u2192 Credit management  Assign Sales Documents and Delivery Document u2192 Credit limit check for delivery types

Transaction code OVAD

2. On the Change View u201CDelivery Types u2013 Credit Limit Checku201D set the Credit Limit to <bank> u2013 Credit Management: Automatic credit control:

3. Make the following entries:

Field name

Delivery Type

Delivery credit group

GI credit group

4. Choose Save.

11.8 .Defining Automatic Credit Control

Use

The purpose of this activity is to assign the document credit group to the credit control area and risk category.

Procedure

1. Access the activity using one of the following navigation options:

IMG menu Financial Supply Chain Management u2192 Credit Management u2192 Integration with Accounts Receivable Accounting and Sales and Distribution u2192 Integration with Sales and Distribution u2192Define Automatic Credit Control

Transaction code OVA8

2. Choose New Entries and make the following entries: .

Credit control Area Risk category Document credit group Credit control

11.9. Determining Active Receivables per Item Category

Use

The purpose of this activity is to assign the active receivables to the relevant item categories.

Procedure

1. Access the activity using one of the following navigation options:

IMG menu Sales and Distribution u2192 Basic Functions u2192 Credit management / Risk management  Credit management / Risk management Settings u2192 Determine Active Receivables Per Item Category

Transaction code OVA7

1. Check the entries for your item categories:

2. For item category, for example,, TAN, TAS, YBAB, set the credit active indicator 1

3. Choose Save.

11.10. Checking Update Group

Use

The purpose of this activity is to check the activity group for your credit control area.

Procedure

1. Access the activity using one of the following navigation options:

IMG menu Enterprise Structure u2192 Definition u2192 Financial Accounting u2192 Define Credit Control Area

Transaction code OB45

2. Choose the credit control area as follows and choose Details.

Field name

Credit Control Area

3. Check the following details:

Field name

Update

4. Choose Save.

Result

The update group is set to standard.

11.11. Checking Type of Update for Sales Info Structure

Use

The purpose of this activity is to check the type of update for the relevant sales info structure.

Procedure

1. Access the activity using one of the following navigation options:

IMG menu Logistics General u2192 Logistics Information System u2192 Logistics Data Warehouse u2192 Updating u2192 Updating Control u2192 Activate Update u2192 Sales and Distribution

Transaction code OMO1

2. Make the following entries:

Field name Description User action and values Note

Info structure S066

3. Double-click the structures name and check the entry of update group:

Field name Description User action and values Note

Update group 1 - Synchronous Updating (V1 Update)

4. Choose Save.

11.12. Setting a Credit Limit

Use

In this activity, you set a credit limit for the customer.

Procedure

1. Access the transaction choosing one of the following navigation options:

SAP ECC menu Accounting  Financial Accounting  Accounts Receivable  Credit Management  Master Data  Change

Transaction code FD32

2. On the Customer Credit Management Change: Initial screen, make the following entries:

Field name

Customer

Credit control area

Central data (General data tab page)

Status (Credit control area data tab page)

3. Choose Enter.

4. On the Customer Credit Management Change: Central Data screen, make the following entries and choose Next screen.

Field name

Total Amount

Individual limit

Currency

5. On the Customer Credit Management Change: Status screen, make the following entries:

Field name

Credit limit

Risk category

6. Save your entries.