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Consignment

Former Member
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Hi,

During the Consignment Issue order when we create a delivery do we do a goods issue or not. I am seeing conflicting answers.

I mean if we do not goods issue the delivery do we do order realted billing or do we do a goods issue and bill the delivery.

Can some explain the steps with relation to PGI and Billing.

Accepted Solutions (0)

Answers (6)

Answers (6)

Former Member
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Delivery is done in all the scenarios of Consignment. Its onky the billing which is not done. Stock needs to be uopdated in each of the four processes and hence PGI also needs to be done. IN the case of COnsignment fill-up there is no billing but in issue there is because thats the time when the material is actually sold.

regds

Jude

Former Member
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Consignment Stock Processing

Purpose

Consignment goods are goods which are stored at the customer location but which are owned by the company. The customer is not obliged to pay for these goods until they remove them from consignment stock. Otherwise, the customer can usually return consignment goods that are not required.

Consignment Fill-Up: Consignment fill-up replenishes the stock at the customer site. Since the goods remain the property of the company, this process is not relevant for pricing and consequently not for invoicing either.

Create a sales order using order type KB.

Enter the required data on the customer, the consignment goods and the delivering plant.

Enter all other relevant data and save the order.

Create a delivery as the subsequent document for this sales order and, after picking has been completed successfully, post goods issue.

The underlying goods movement type is a stock transfer. This ensures that when goods issue is posted, consignment special stock is created for the customer concerned. If special stock of this kind already exists in the delivering plant for this customer, the goods are posted to this special stock.

Order type: KB (document category C: sales order)

Std. Delivery type: LF

Item category: KBN (not relevant for pricing and billing)

Schedule line category: E1 (relevant for deliveries, uses availability check, 631 (GI consignment: lending) to post the stock into a special consignment category in the delivering plants stock for that particular customer and material)

Copy control rules for the sales doc, item category, and schedule line category.

Use trans MB58 or MMBE to check the stock.

In this case, Accounting document is required to be generated only for taxes, as the stock is still the ownership of the company. In the pricing procedure all condition type except for Taxes should be statistical.

Consignment Issue: The Consignment issue enables the customer to withdraw consignment goods from the special stock that are to be used or sold.

Create a sales order using order type KE.

Enter the required data for the customer, the consignment goods and the plant to which the goods are to be returned.

Enter all other relevant data and save the order.

Create a delivery as the subsequent document for this sales order and, after picking has been completed successfully, post goods issue.

The goods are then reduced by the relevant quantity in the special stock assigned to the customer. This goods issue also reduces your total stock.

Invoice the delivery which issues the consignment goods.

Order type: KE (document category C: sales order)

Std. Delivery type: LF

Invoice: F2

Item category: KEN (relevant for pricing and deliver related billing, special stock indicator W, should determine cost too)

Schedule line category: C1 (relevant for deliveries, uses availability check, 633 (GI issue: customer consignment)

In this case, Accounting document is required to be generated only for most of the condition type, as it is being invoiced to end customer.

Consignment returns: proceed as follows: Consignment returns enable your customer to return goods to the consignment stock that has already been issued from it.

Create a sales order using sales order type CR.

Enter the required data on the customer and the consignment goods.

Enter all other relevant data and save the order.

Create a returns delivery for the sales order (the system automatically chooses delivery type LR). The goods issue posting cancels the goods issue posting which was carried out when the consignment goods were issued. This posting records the return of the goods to the plant where goods receipt was carried out.

Create a credit memo for the consignment return you created in Step 1.

Order type: KR (document category H: returns)

Delivery type: LR

Credit for Returns Order type: RE (delivery or order related billing)

Item category: KRN (relevant for pricing and deliver related billing, special stock indicator W

Schedule line category: D0 (relevant for deliveries, no availability check, 634

In this case, Accounting document is required to be generated only for most of the condition type, as it is being returned by the customer & invoicing already done to customer..

Consignment Pick-Up: The company uses consignment pick-up to take back consignment goods that are faulty or excess materials that the customer does not need. This process is not relevant for billing since the goods remain the property of the company.

It may be beneficial to have a mandatory reference such as the consignment fill-up. In addition to it copy control rules can be used to further control it. In the copy control rules indicate the document flow. As the stock is coming back into the warehouse or plant, you can specify a returns shipping point to be automatically determined. No invoice is necessary, as the goods are not changing ownership.

Create a sales order using order type KA.

Enter the required data for the customer, the consignment goods and the plant to which the goods are to be returned.

Enter all other relevant data and save the order.

Create a returns delivery for the sales order (the system automatically chooses delivery type LR). The transaction is completed by the goods issue posting which initiates a transfer posting from the customer's special stock to your plant stock.

Order type: KA (document category C: sales order)

Delivery type: LR

No invoice

Item category: KAN

Schedule line category: F1 (relevant for deliveries, availability check against the stock on the customeru2019s consignment, 632 (Consignment pickup)

In this case, Accounting document is required to be generated only for taxes, as the stock is still the ownership of the company. In the pricing procedure all condition type except for Taxes should be statistical, as the stock is being returned from consignment site to plant.

Regards,

Rajesh Banka

Former Member
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Saad,

I consignemnt process, Conginment issue is relevent for delivery, goods issue and billing.

Consigment issue means the goods will be issued to the customer from the consignment stock, so it is relevent for delivery, goods issue and delivery related billing.

Hope you are clear.

Prase

former_member184555
Active Contributor
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Hi

PGI/PGR happens in all the four activities of consignment. The simple logic for this is, each activity has its own movement type. The role of movement type is only during PGI/PGR. Hope this gives you some clarity.

Thanks,

Ravi

Lakshmipathi
Active Contributor
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Dear Saad

As you would be aware in consignment fillup process, while moving the goods from plant, you would be generating a fillup delivery with [movement type 631] Once you generated this fillup delivery, the stock from Unrestricted in plant will be moved to Customer consignment.

Then based on the end customers' day today requirement, the warehouse agent will deliver some partial quantity from the lot assuming that it would be First In First Out. So accordingly, we will be generating the issue order (order type KE) and generate issue delivery and post the goods issue with [movement type 633] Only after you generate issue delivery, the stock value will get reduced and your sale value will be credited once you generate commercial invoice in reference to issue delivery.

thanks

G. Lakshmipathi

Shiva_Ram
Active Contributor
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Hi,

Do the GI and then proceed with the billing. This is because, during consignment issue only, the user will know how much actual quantity the customer has consumed. Further this GI will reduce the consignment inventory and updates the relevant accounts with values and quantities.

Regards