SAP SD, FI, MM and PP Business Blueprint Document
SAP SD, FI, MM and PP Business Blueprint Document
SAP SD, FI, MM and PP Business Blueprint Document
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CHARMINAR STEEL CASTINGS
BusinessBluePrint
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Table of Contents
Introduction:
CHAPTER CHAPTER Gaps Enterprise Structure Financial Accounting Global Settings Documents General Ledger Accounting Bank Accounting Accounts Receivables Accounts Payable Terms of Payments Interest Settings Reminders Taxation Asset Accounting Information System Controlling Information System 1 3 -
16 Sales Cycle 18 Business Scenario 19 Reports 21 Parameters used for SIS 22 Gaps 24 26 CHAPTER 27 Master Data 28 Production Planning 29 Material Requirement Planning 33 Shop Floor Control 35 Batch Management 36 Reports 49 Gaps 187 183 182 175 171 166 150 4 -
Production Planning
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-MATERI AL
Management
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CHAPTER
Human Resources
197 200 213 227 229 231 236
Organization Structure Master Data Procurement Valuation and Account Determination Inventory Management Logistic Invoice Verification External Service Management Reports Gaps
Organization Structure Organization Unit 65 Personnel Management 71 Payroll 73 Overtime 74 Pay scale Structure 74 Gaps 75 75
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MODULE EXPERTS Finance and Controlling: Mr. VENKAT Material Management: Mr.RAM Sales and Distribution: Mr.LAKSHMAN Production Planning: Mr. RAO Human Resources: Mr. S.REDDY
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Chapter
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Finance and Controlling
Finance and Controlling is the Key to start the Configuration of an SAP System
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Assets
ny SAP Implementation starts with the Creation of Company Code which is created by FI Module of SAP. Finance Module is to develop a framework under which, the rest of modules will work. Here in this Chapter we will discuss various parameters in respect to Finance and Controlling that is going to be the guiding principle for the implementation and Functioning of SAP System in Charminar Steel Castings.
F I - A R E A S
The Overview Here in FI And CO we Start Creating Company code, Plants Business Areas which will be followed by Financial Accounting Settings, Creation of General Ledger Accounts, Configuring the Bank Accounts, Mapping the Accounts Receivables and Payables, Listing the Payment Terms, Etc and will Conclude with Controlling Aspects of the Finance. Gaps are identified and measures to fill the gaps are mentioned thereon. Controlling Controlling concept is used generally for cost accounting purpose in SAP R/3 System for internal reporting. It also uses sub modules like cost center accounting Cost element accounting Profit Center Accounting Product Costing and internal orders and profitability analysis.
Here in controlling the integration with Production Planning Modules done through assignment of Cost Center to Work center. And also used for planning purposes like COPA (Profitability Analysis).
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As Is Vs To Be
As Is Process
To Be Process
(1) Organization Structure 1.1 In SAP Company can be created with a 1.1 Group of Companies. six-character code. (REDDYS) Reddy Group of Companies having Six subsidiaries. T Code: OX15 1.2 Company Charminar Steel Casting Limited, 1.2 In SAP a four character Company Code can be created. (CSCL). Nacharam, Hyderabad. T Code: OX02 Company Code is assigned to Company. T Code: OX16 1.3 Manufacturing Units Charminar Steel Casting Limited 1.3 In SAP Plants can be created with a fourconsists of two manufacturing units. character code. And Are assigned to their Respective Company Codes. Domestic T Code: OX10 Export (2) Accounting Process 2.1 Financial Year Company follows April to March as its Fiscal Year variant can be maintained for the Financial Year Financial Year and assigned to Company Codes. Fiscal Year Variant consists 12 periods starting from April to March. And 4 special periods can be maintained for closing purpose. T Code: OB29 Fiscal year variant can be assigned to Company code. T Code: OB37 2.2 Books of Accounts Books of Accounts are maintained for the In SAP periods can be opened and closed by 12 months periods from April to March using posting period variant and assigned to every year. Company Code. Define Variant for open and close period. T Code: OBBO Open and close periods. T Code: OB52 Assigned to Company Code. T Code: OBBP
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2.3 Currencies Book of accounts are maintained in Indian In SAP we can create and maintain Currency Rupee (INR). Apart from the Indian Rupee codes. for the purpose of Exports, the Company is T Code: OY03 dealing with Euro, Singapore Dollars and Indonesian ruphaih. (3) Accounting Structure 3.1 Journal In SAP document types classify transactions. Day to day transactions are recorded in A Document number identifies each journal journals. Separate journals are maintained entry. Document number intervals are for cash, sales daybook, sales returns book, assigned to Number range of document types purchases daybook and purchase returns in company code. book. Document types T Codes: OBA7 Internal Number Ranges are maintained for Document Numbering. Maintain Number ranges. T Code: FBN1 (4) General Ledger Accounting The Account Groups for creation of GL In SAP a Chart of Accounts can be created Accounts: which contains list of G/L Accounts. Under the Chart of Accounts, G/L accounts are classified under Account groups. T Code: OBD4 Account Groups: Liabilities: Share Capital, Reserves & Liabilities: surplus, Secured Loans, Unsecured Loans, Share Capital Current Liabilities & Provisions; Reserves & Surplus Secured Loans & Unsecured Loans Current Liabilities & Provisions Assets: Fixed Assets, Investments, Current Assets: Assets, Loans & Advances. Liabilities: Fixed Assets Investments Current Assets Loans & Advances Incomes and Expenditure. GL account is recognized by description. GL Master Records G/L Master record is maintained for each General Ledger account. A number recognizes each G/L master. T Code: FS00
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(5) Voucher Types Receipt vouchers for Bank and Cash with Internal Number Ranges are maintained for one Serial Number. Payment vouchers for Document Numbering. Bank and Cash with one Serial Number. Petty Cash Vouchers are used at Plants and also at Head Office with respective Serial Numbers. Journal vouchers. Two types of Sales Invoices are used - one for exports and other for domestic sales. Purchase Invoices with the name of bill passing voucher. 6.Bank Accounting Bank A/cs: In SAP, a House bank can be maintained for each bank account a) State Bank Of India a) State Bank Of India b) Ing Vysya Bank b) Ing Vysya Bank All the Business transactions are carried out Each bank can be treated as a house bank. through State Bank of India. T Code: FI12 All the Administration transactions are carried out through Ing Vysya Bank. Based on the bank statements, the amounts are accounted in the books of accounts. Bank reconciliation is done manually at the For Bank reconciliation purpose we can end of every month. maintain Bank Accounts like main bank a/c, cheques deposit a/c, cheques issue a/c and etc (7) Cash Management Authorized persons maintain cashbooks to In SAP Cash Journals can be maintained for record cash Receipts & payments both at cashbooks. the plant and administration Office. T Code: FBCJCO (8) Payment Terms 8.1 Sundry Creditors A 60 days credit limit is generally obtained In SAP Terms of Payment are maintained for both customers and vendors are same. for the Vendor payments. T Code: OBB8 Payment done by cheques to Vendors. 8.2 Sundry Debtors Receipts from customers are also by cheques only. On order the customers pay 30% of the invoice Amount.
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The company allows 30 days of credit limit for the remaining amount. If the invoice amount is paid completely the customer is eligible for 2%discount. Interest @ 24% will be charged after due date i.e. 30days (9) Loan Management Interest on Cash Credit Account is credited The existing system can be followed by way of to the Bank Account on the basis of Bank GL Postings. Statement only. No separate system for In case of Customers / Vendors: The calculation of the interest on Cash Credit Interest calculation is done by settings made, A/c. by assigning an Interest Indicator to the On personal loans interest will be settled master records of the customer and vendor finally on full repayment accounts for which interest is required to be calculated. T Code: OB46 (10) Budgeting System A yearly budget is prepared based on the Previous Year Statistics. Later the same is converted into Monthly Budgets on uniform basis. Budget amounts are compared with the Actual amounts under Expenditure, Revenues, Purchases and Sales heads. Cash Flow Statements and Funds Flow Statements are prepared on monthly basis. (11) Salaries and Advances HR Department prepares the Salary Statement and passes it to the Finance Department. Finance department checks and pays the salaries through ING VYSYA (Salary) A/c. The finance department handles advance to the employees against salary and in the month end a summary statement will be sent to HR department. Based on that Salary Statement will be prepared after incorporating the proper deductions. Each employee is maintained as a separate record in the sub ledger.
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For travel advances, Finance dept gives the advances and accounted against that particular employee as Advance against Travel. After the tour based on actual expenditure, an expenditure entry will be booked and the travel advance is reversed. (12) Taxes The following taxes are levied / collected wherever applicable 12.1 Tax on Sales and Purchases Excise duty payable / paid. In SAP, Account key is created for each Tax. Customs duty payable / paid. Tax procedure is maintained and assigned to Central sales tax payable / paid. country India. Tax codes are created with the Value added tax payable / paid. percentage of Taxes. Cess payable / paid. Account keys T Code: OBCN Condition types T Code: OBYZ Tax procedure T Code: OBQ3 Assign country to calculation procedure T Code: OBBG Calculation method. T Code: FTXP 12.2 Withholding Taxes As per the Income Tax Act 1961, TDS is In SAP, Withholding Tax types and deducted on service related payments under Withholding Tax codes can be maintained for the following categories. each category of Withholding Tax. Salaries 192b We are deducting the withholding tax based on payment types like contract payment, salaries, Dividends 194 interest payments, etc. Interest payments 194a Contract payments 194c Rent 194i Professional & Technical fees 194j We are deducting withholding tax on total amount or down payments which ever is earlier. In SAP, Remittance challans can be created. T Code: J1INCHLN In SAP. Withholding Tax certificate can be created. T Code: J1INCERT
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(13) Exports Export procedures are followed for Not implementing in SAP system. payment of duty/ exemption of duty/ duty draw back etc. (14) Sundry Debtors (14) Accounts Receivable The accounts department is maintaining a In SAP, generally customers are created by the debtors ledger which contains customers Sales department in FI customers are grouped sub-ledger accounts consisting of regular as customer account groups. and one time customers T Code: OBD2 List of customers. Govt.(Defense) For accounting purpose we are creating Customers. -Domestic T Code: OBD2 -Foreign -One Time Customer An account group can be created for regular customers and one-time customers. A customer master record is maintained for each customer. Customer master record is recognized by a number from the number range interval and assigned to account group. In SAP Billing Document / Invoice can be created. T Code: VF01 In SAP a house bank is maintained for each bank account for receivable purpose. (15) Sundry Creditors (15) Accounts Payable The accounts department is maintaining a In SAP, generally Vendors are created by Creditors ledger, which contains vendor Material Management dept, in FI we only sub-ledger accounts consisting of regular, group the similar type of vendors as vendor and one time Vendors. account groups. T Code: OBD3 List of vendors Domestic For accounting purpose we are creating Vendors. One time vendors T Code: XK01 -Statutory Vendors -Employees An account group can be created for regular vendors and one-time vendors. A vendor master record is maintained for each vendor.
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Vendor master record is recognized by a number from the number range interval and assigned to account group. In SAP, advance to parties are done through special GL transactions Invoices can be created. T Code: MIRO House banks are maintained for each Bank and cheque lots can be maintained for outgoing payment to Suppliers by manual as well as automatic payment programs. T Code: FBZP Automatic Payment Program Run. T Code: F110 (16) Reminders To follow up the advances paid to the To be addressed through Dunning. The Vendors for Goods, a statement prepared SAP System allows using either the automatic by the Accounts Department is sent to the dunning program, which duns all overdue Purchase Department on periodic basis. items in accordance with selection criteria, or, if required, individual customers or vendors The Purchase Department checks the can be dunned. pending Purchase Orders and Deliveries T Code: FBMP and Bills with the vendor and sends some Dunning Program Run. sort of reminders to the Vendors. T Code: F150 To follow up the outstanding amounts from customers the accounts department sends periodic reminders. (17) Advances Advance to Suppliers, Payments of EMDs / Advance to Suppliers, Security deposits and Security Deposits and other Deposits viz., guarantees can be dealt with in SAP as Special Telephone, Electricity and Bank Guarantees G/L Transactions. etc., The EMD amount is received back on completion of the tender process. (18) Forms For the exports the relevant records to be maintained after export of material, the proof of export should be submitted to Excise / Customs and also to Bankers to settle/ Claim the Excise Duty Refund / Duty Draw Back claims Submission of
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Documents to the Bankers and realization of Receipts is done as per the requirement. (19) Asset Management 19.1 Asset Accounting Asset accounting is utilized for In SAP an asset class can be created for managing companies fixed assets, we can each head. Asset class consists of account categorize assets and to the said values for determination key, number range and screen depreciation for each fixed asset. Fixed layout. assets having a useful life and are utilized for business process. In the course of process some wear and tear will occur, for that reason we calculate depreciation. An asset management team is sitting in every manufacturing unit and at the corporate office, which is responsible for Asset account maintenance and disclosure in the financial statements as per accounting standard 10 of ICAI G/L master record is created for each asset class. Acquisition of assets Retirement of assets Calculation of depreciation on assets An asset master is created for each asset. A number recognizes each asset master. Asset master: T Code: AS01 Asset classes: T Code: OAOA Screen layout: T Code: AO21 IN SAP chart of depreciation can be created and assign to company code
19.2 Depreciation Policy Depreciation is provided on depreciable Method of depreciation and Rates of assets under section 205(1) of the schedule depreciation is provided in depreciation keys. XIV of companies Act, 1956 Charminar steels follows written down value as per income tax act 1951 and straight line methods as per companies act 1956. Copy reference chart of depreciation T Code: EC08 Define depreciation areas. T Code: OADB Depreciation key. T Code: AFAMA Acquisition from purchase vendor: T Code: F-90
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Cost Accounting
(1) Costing Cost Accounting provides supporting In SAP a controlling area is created for the information to Management for the purpose purpose of cost accounting.. Planning, Monitoring and Reporting the operations of their Business. Charminar steel castings limited is Assignment of controlling area to company maintaining cost accounts for Calculation of codes. Costs for output produced. T Code: OKKP It helps the management to take decision Number ranges are maintained for CO making for cost control and cost reduction documents. Management makes policy decisions for T Code: KANK
effective and smooth running of business.
Cost elements are classified into: Direct material, direct labor, direct expenses and
overheads
Cost element category can be created. T Code: OKA2 (3) Overheads Distribution of Overheads. It Involves In SAP over heads can be Three Stages distributed/apportioned or absorbed by using Collection and Classification of Overheads assessment cycles T Code: KSU1 Departmentalization of Overheads: Allocation / Apportionment of Overheads Absorption of Overheads (4) Cost Center Structure Cost Center is an area for which cost is to In SAP Cost centers can be created in be ascertained for the purpose of Cost controlling area. Control and Cost Analysis. An area may be a T Code: KS01 Location or Persons or Group of Persons or any Allocated Units 4.1 Cost Centers Charminar Steel Castings Limited is maintaining cost accounts for Cost Centers Maintaining Cost centers for collection and LISTED SEPERATLY distribution of costs Cost centers are classified into Production Cost Centers and Service Cost centers.
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Cost Centers and Service Cost centers. (5) Product Cost It provides to Management the ability to analyze their Product Cost and to make Decisions on the Optimal Price to market their products. The result arrived in product costing helps the Management to fix the Pricing flows and to Optimize Cost of Goods Manufactured and Cost of Goods Sold.
LISTED SEPERATLY
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Index
1. Introduction 2. Enterprise Structure 2.1. Company 2.2. Company codes 2.3. Plants 2.4. Business Areas 3. Financial Accounting global settings 3.1. Fiscal year variant 3.2. Posting period variant 3.3. Open posting periods 3.4. Field status variant 3.5. Tolerance groups 4. Documents 4.1. Document types 4.2. Document number range interval 4.3. Posting keys 5. General Ledger Accounting 5.1. Chart of Accounts 5.2. Account groups 5.3. Retained earnings Account 5.4. G/L Master records 6. Bank Accounting 6.1. House Bank 6.2. Cash Journal 7. Accounts Receivable 7.1. Credit control area 7.2. Sales Areas 7.3. Customer Account Groups 7.4. Customer Master records 7.5. Customer Billing 7.6. Customer payments 7.7. Special G/L transactions 8. Accounts Payable 8.1. Purchase Organizations 8.2. Vendor Account groups 8.3. Vendor Master records 8.4. Invoicing 8.5. Invoice Clearing 8.6. Special G/L transactions 8.7. Automatic Payment Program 15 15 15 15 15 16 16 16 16 16 17 17 18 18 18 18 19 19 19 20 20 21 22
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of Payments 8.8. Sundry Creditors 8.9. Sundry Debtors 8.10. Down Payments Received / Made 9. Interest settings 10. Reminders 10.1. Dunning procedure 10.2. Dunning Notices 11. Taxation 11.1. Tax on Sales and Purchases 11.2. Withholding Tax 12. Asset Accounting 12.1. Asset classes. 12.2. Depreciation Keys. 13. Information System 13.1. External Reports 13.2. Internal Reports 14. Controlling 14.1. Cost Element Accounting. 14.2. Cost Center Accounting. 14.3. Internal Orders. 14.4. Product Cost Controlling. 14.5. Profitability Analysis. 14.6. Profit Center Accounting. 15. Information System 15.1.Reports 16. Integrations 16.1. Integration with S.D 16.2. Integration with M.M 16.3. Integration with P.P 16.4. Integration with H.R 17. GAPS
9. Terms
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1.INTRODUCTION
Charminar Steel Castings Ltd. is one of the Leading Manufacturer of Investment Steel Castings to diversified sectors like automobile, surgical, defense etc, with Quality and Design as the core competence, charminar enjoys high degree of confidence among the clients in various parts of the world. We have two units both located in Hyderabad one each for domestic orders and other for export orders. Administered centrally from Balaji Bhavan Hyderabad, plant has its separate manager who will report directly to the executive director of operations. The company has a strong marketing network in Southeast Asia, Europe along with Domestic network in India. The total turnover for the company for the financial year 2006-07 is 200 crores with a growth rate of 20%. The companys objective is to cross 500crores by 2010-2011.The company has been awarded ISO 9001:2000 and AD2000 for its quality management systems.
2.ENTERPRISE STRUCTURE
2.1 Company Reddy Group of Companies having six company codes. A Company is created with a six-digit character code with the information of address, language, currency and country. The Company is used for the consolidation of financial results of the companies within the group. Company REDDYS T Code: OX15 2.2 Company Code A four character Company Code is created. Company Code CSCL Company code is assigned to company.
2.3 Plant Charminar Steel Castings Limited consists for two Manufacturing units. Plants are created with four-character code. Domestic plant code CSDP Export Plant code CSEP Transactioncode:OX10 Plants are assigned to Company code. T Code:OX18
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2.4 Business Areas Charminar Steel Casting Limited having 4 Market segments. North East West South Export BANO BAET BAWT BASO BAEX T Code:OX03 3. Financial Accounting Global Settings 3.1 Fiscal Year Variant Books of Accounts are maintained by the Company with Financial year April to March. Fiscal Year variant is maintained for the Financial Year. Fiscal Year Variant - CS Fiscal Year Variant T Code: OB29 Fiscal Year Variant consists 12 periods starting from April to March. 4 special periods can be maintained for closing purpose. Fiscal Year variant CS is assigned to Company Code. T Code: OB37 3.2 Posting period variant In every financial yearbooks are opened on 1st April and closed on 31st March. Books are closed in every month and balances are carried forward to next month. So, Posting period variant is created. Posting Period Variant CSCL is used. T Code: OBBO Posting period variant is assigned to Company Code. T Code: OBBP 3.3 Open posting periods Periods are opened for the fiscal year through the posting period variant. T Code: OB52
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3.4 Field Status Variant Field Status Variant is copies from standard SAP with 47 field status groups. Field Status group defines the status of the fields while making posting to the GL accounts. Field status variant CSCL T Code: OBC4 Field Status variant is assigned to Company Code. T Code: OBC5 3.5 Tolerance Groups Tolerance group for GL Account is created in each Company Code. In Tolerance groups the permissible amounts for accounts and for line items are specified T Code: OBA0 Tolerance group for employees is created in each Company Code. This group defines different amount limits for your employees. It determines: The maximum amount for which an employee is permitted to post a document. The maximum line item amount an employee is permitted to enter in a customer, vendor or general ledger account. The percentage amount related to cash discount. The maximum permitted payment differences. T Code: OBA4 Tolerance group for (vendor / customer) is created for each company code. In the tolerance group limits for vendor / customer payment differences are defined. The tolerance group determines: Limits to which differences in payments are posted automatically to expense or revenue accounts when clearing open items. Terms of payments are used for settle the invoices. T Code: OBA3
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4. DOCUMENTS
4.1 Document Types Every transaction is recorded in Journal at the first and separate journals are maintained for cash, sales daybook, sales returns, and purchase daybook, purchase returns. Standard SAP Document Types are used to classify the transactions. Document number intervals are maintained for each document type. From this number interval, system picks and assigns a number to each transaction in SA. Doc.type SA AA AB DR KR DZ KZ DG DA KG KA AF
4.1 Document type
No. No. Intervals Range From To GL account document 01 Asset accounting document 01 100000 199999 Reversed clearing 01 document Customer invoice 18 200000 299999 Vendor invoice 19 300000 399999 Incoming payment 14 400000 499999 Outgoing payment 15 500000 599999 Customer memos 16 600000 699999 Reversal/Clearing Doc. of 16 customers Vendor memo 17 700000 799999 Reversal/Clearing Doc. 17 Of vendor Depreciation posting 04 800000 899999 Description T Code:OBA7
4.2 Document number range interval Number intervals T Code: FBN1 4.3 Posting Keys Standard posting keys defined in SAP are used. T Code: OB41
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The following account groups are created for the Chart of Accounts CSCL COA CSCL CSCL CSCL CSCL CSCL CSCL CSCL CSCL CSCL CSCL Acc. Group SC10 RS11 SU12 CL15 FA20 IN21 CA22 LA29 IC30 EX40 Description Share Capital Reserves & Surplus Secured and Unsecured Loans Current Liabilities & Provisions Fixed Assets Investments Current Assets Loans & Advances Incomes Expenses From Account 100000 100200 120000 150000 200000 210000 220000 290000 300000 400000 To Account 100199 119999 149999 199999 209999 219999 289999 299999 399999 499999 T Code:OBD4 5.3 Retained earnings One retained earnings account is created with GL account 110000 and P&L statement account type X. T Code:OB53 5.4 GL Master Records G/L Master record is maintained for each General Ledger account. Each G/L master record is recognized by a number and text GL master record consists of two segments chart of account segment and company code segment. T Code: FS00, OBY7, OBY2.
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6. BANK ACCOUNTING
6.1 House Bank In SAP, a House bank can be maintained for each bank account. T Code: FI12, FCHI. House bank of a company code is denoted as banks ID every account specifies by an account ID in the SAP system. In the SAP system, use the bank ID and the account ID to specify bank details. These specifications are used to determine the bank details for payment. Bankers: CSCL dealing with SBI, ING VYSYA BANK. One House bank is created for each bank account. Co. code House Bank Key Description bank CSCL SBI SBICSCL SBI Bank CSCL IVY IVYCSCL IVY Bank Bank Ac. No 123456789 123456789 GL account 221000 222000 T Code: FI12 6.2 Cash Journal The cash journal is a sub ledger of Bank Accounting. It is used to manage record the cash receipts and payments. The Company would be maintaining two Cash Books, One is for the Main Cash and other is for Petty Cash Book. By setting the cash balance at the beginning of the day, the cash journal shows the cash balance at any time by adding the cash receipts and deducting the cash payments. The cash journal also serves as a basis for entries in the general ledger and thereby represents the "Cash" G/L account. Settings for Cash journal GL account for Cash journal 210000 Document type for Cash journal SA (General Accounting Document) Number Range Intervals-01: 1 999999 T Code: FBCJC1 Set up Cash Journal T Code: FBCJC0 Create Bank transactions T Code: FBCJC2 Set up print parameters T Code: FBCJC3 Postings to cash journal is made through T Code: FBCJ
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7. ACCOUNTS RECEIVABLE
The Accounts Receivable application component records and manages accounting data of all customers. It is also an integral part of sales management. All postings in Accounts Receivable are also recorded directly in the General Ledger. 7.1 Credit Control Area Credit Control Area is responsible for granting and monitoring credit to the customers. Credit Control Area Code CSCL Maintain credit control area T Code: OB45 Company Code CSCL is assigned to credit control area CSCL. Assign credit control area to company code. T Code: OB38 7.2 Sales Areas 7.3Customer Account Groups Customer Account Groups Account Group CSGC CSDC CSFC CSOT
Description Govt. (Defence) Customers Domestic Customers Foreign Customers One time Customers T Code: OBD2
Number range for customer account groups Account group CSGC CSDC CSFC CSOT Number range GC DC FC OT Number interval From 10000 20000 30000 40000 To 19999 29999 39999 49999 T Code: XDN1 Number ranges are assigned to customer account groups. T Code: OBAR
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7.4 Customer Master Records Customer master record is maintained for each customer. Each customer master record is recognized by number. Customer Masters: Customer Master record consists of three segments, general data, company code data and sales area data T Code: FD01, XD01 7.5 Customer Billing Customer billing is done through the following steps: Sales order T Code: VA01 Outbound Delivery T Code: VL01N Billing a Document T Code: VF01 7.6 Customer Payments Payments are accepted from customers through Cheque, Bills Receivable and Cash. Document type DZ is used to make payments. Incoming payments are made through cheques. T Code: F-28 7.7 Special GL transactions Advances from customers are treated as Special GL transactions F Down payment request A Down payments T Code: OBXR
8. ACCOUNTS PAYABLE
The Accounts Payable application component records and manages accounting data for all vendors. It is also an integral part of the purchasing system: Deliveries and invoices are managed according to vendors.
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8.1 Purchase organization 8.2 Vendor Account Groups Vendor Account Groups Account Group CSDV CSEV CSOV CSSV Description Domestic Vendors Employees One time Vendors Statutory Vendors T Code:OBD3 Number range for vendor account groups Account group Number range CSDV CSEV CSOV CSSV DV EV OV SV Number interval From To 50000 59999 70000 79999 80000 89999 90000 99999 T Code: XKN1 Number ranges are assigned to vendor account groups. T Code: OBAS 8.3 Vendor Master Records A Vendor master record is maintained for each Vendor. Each Vendor master record is recognized by number. Vendor Masters: Vendor Master record consists of three segments, general data, company code data and purchasing data. T Code: FK01, XK01 8.4 Invoicing Invoicing is done through the following steps: Purchase order T Code: ME21N Goods receipt T Code: MIGO Invoice verification T Code: MIRO 8.5 Invoice clearing Invoices are cleared through cheques, Bills Payable and Cash. Payment method C (Cheque payment) Document type KZ T Code: F-53
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8.6 Special GL Transactions Advances made to vendors are treated as Special GL transactions Special GL indicators F Down payment request A Down payments G Bank guarantees T Code: OBYR 8.7 Automatic Payment Program Steps involved in APP: 1. All Company Codes for payment transactions 2. Paying Company Codes 3. Payment methods in Country 4. Payment methods in Company Code 5. Bank Determination 6. House Banks T Code: FBZP
9. TERMS OF PAYMENTS
9.1 Sundry Creditors A 60 days credit limit is generally obtained for the Vendor payments. Payment is done by cheques to Vendors. 9.2 Sundry Debtors Customers payments received by cheques only. On order the customers pay 30% of the invoice Amount in Advance. The company allows 30 days of credit limit for the remaining amount. If the invoice amount is paid completely in advance, the customer is eligible for 2%discount. Terms of payment 1. 0001 Payable Immediately 2. CSCL 30 Days credit T Code: OBB8 Payment Terms for installments 3. CSCI Installment Payments T Code:OBB9
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11. REMINDERS
11.1 Dunning Procedure The dunning procedure determines how business partners can be dunned. It contains the number of dunning levels, dunning frequency, minimum amounts and dunning activities. Dunning Level indicates how often an item or an account has been dunned and describes the steps to be maintained for a dunning procedure. Dunning levels control the dunning process. Dunning Area is an organizational unit within a company code from which dunning is conducted. The dunning procedure is controlled and the dunning notices are sent separately per dunning area. A dunning area can represent the following: Business Area Sales Organization Distribution Channel Division 11.2 Dunning Notices Weekly reminders are sent to customers with regard to overdue more than Rs.30000/-. Fortnightly reminders are sent to customers with regard to overdue less than Rs.30000/-. Yearly once Balance confirmation statement is sent to vendors Dunning charges will be charged. Interest notice send to the customers on overdue Dunning procedure: CSCL Dunning Interval in days: 7 Dunning levels: 4 Minimum amount for dunning: INR 30000 Dunning charges: INR 100 to 500 T Code: FBMP
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12. TAXATION
12.1 Taxes on Sales & Purchases The following are the Taxes, which the company is paying on Sales and Purchases Sales: Output Tax: Excise duty payable, Customs Duty payable, Cess payable, SH Cess payable, VAT payable, CST payable, Purchases: Input Tax: Excise duty paid, Customs Duty Paid, Cess paid, VAT paid, CST paid. Tax on sales and purchases are procedure-based taxation in FI component. Condition Types: Condition Types CS01 CS02 CS03 CS04 CS05 CS06 CL01 CL02 CL03 CL04 CL05 CL06 Note: CS Input Tax, CL Output Tax Description Excise Duty Paid Education Cess Paid SH Education Cess Paid VAT Paid CST Paid Customs Duty Paid Excise Duty Payable Education Cess Payable SH Education Cess Payable VAT Payable CST Payable Customs Duty Payable T Code: OBQ1
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Account Keys: A/c Key Description Type Input Tax Input Tax Input Tax Input Tax Input Tax Input Tax Output Tax Output Tax Output Tax Output Tax Output Tax Output Tax T Code: OBCN Not Deductible Posting Indicator 2 2 2 2 2 2 2 2 2 2 2 2
CS1 Excise Duty Paid CS2 Education Cess Paid CS3 SH Education Cess Paid CS4 VAT Paid CS5 CST Paid CS6 Customs Duty Paid CL1 Excise Duty Payable CL2 Education Cess Payable CL3 SH Education Cess Payable CL4 VAT Payable CL5 CST Payable CL6 Customs Duty Payable NOTE: 2 - Separate line item. 3 - Distribute to relevant expense / revenue item.
Tax Procedure: A calculation procedure is defined for each country INDIA, containing the specifications required to calculate and post tax on sales/purchases. Calculation procedure contains tax types, which are called condition types in the procedure. The system defaults condition types when you define a tax code. The condition type (such as input or output tax) specifies the base amount on which the tax is calculated and the account key that is used to post the tax. The specifications necessary for calculating and posting tax have been defined for the condition type and account key. Tax Procedure CSCL Account Conditi Description From To Step Key on Type 10 BASB 100 CS01 Excise Duty Paid Input Tax 10 CS1 110 CS02 Education Cess Paid- Input Tax 100 100 CS2 120 CS03 SH Education Cess Paid- Input Tax 100 100 CS3 130 CS04 VAT paid-Input Tax 10 120 CS4 140 CS05 CST Paid Input Tax 10 120 CS5 150 CS06 Customs Duty Paid- Input Tax 10 CS6 200 CL01 Excise Duty Payable-Output 10 CL1 210 CL02 Education Cess Payable-Output Tax 200 200 CL2 220 CL03 SH E Cess Payable-Output Tax 200 200 CL3 230 CL04 VAT Payable-Output Tax 10 220 CL4 240 CL05 CST Payable Output Tax 10 220 CL5 250 CL06 Customs Duty Payable Output Tax 10 CL6
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T Code: OBQ3. Tax procedure CSCL is assigned to country India. T Code: OBBG Tax Codes The tax code represents a tax category, which must be taken into consideration when making a tax return to the tax authorities. Tax codes are unique per country. The tax rate calculation rules and further features are stored in a table for each tax code. Tax Code Description Tax Type I0 Input Tax Exempted V I1 Customs Duty V I2 Excise + Cess + VAT V I3 Excise + Cess + CST V I4 Customs + Excise + Cess V O0 Output Tax Exempted A O1 Customs Duty A O2 Excise + Cess + VAT A O3 Excise + Cess + CST A O4 Customs + Excise + Cess A Maintain tax codes T Code: FTXP Rates of Tax Tax Rate of Tax (Percentage) Customs Duty 8 Excise Duty 16 Education Cess 2 SH Education Cess 1 VAT 12.5 CST 3 12.2 Withholding Tax As per the Income Tax Act 1961, TDS is deducted on service related payments under the following categories. Salaries, Dividends, Interest payments, Contract payments, Rent, Professional & Technical fees Quarterly Returns are submitted to the Tax Department
At the Year End, TDS certificates are issued to the concerned parties from whom the TDS is made.
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When customer makes TDS, it is not accounted until receipt of certificate. Up to that time it is shown as outstanding against certificate. In the year-end TDS certificates are obtained from the customers. Withholding Tax types and Withholding Tax codes are maintained for each category of Withholding Tax. Withholding tax types 01: TDS on Payment posting 02: Surcharge on TDS 03: Cess on TDS 04: Higher Education Cess on TDS 05: Cess on Surcharge 06: Higher Education Cess on Surcharge Withholding tax codes Remittance challans are created in T Code: J1INCHLN Withholding Tax certificates are created in T Code: J1INCERT 12.ASSET ACCOUNTING Asset Accounting is utilized for managing companies fixed assets, we can categorize assets and to the said values for depreciation for each fixed asset. Fixed Asset having a useful life and are utilized for business process. In the course of process some wear & tear will occur, for that reason we calculate depreciation. An Asset Management Team is sitting in every Manufacturing Unit and at the Corporate Office, which is responsible for Asset Account Maintenance and Disclosure in the Financial Statements as per Accounting Standard 10 of ICAI Acquisition of assets Retirement of assets Calculation of Depreciation on assets
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Charts of depreciation A chart of depreciation is used in order to manage various legal requirements for the depreciation and valuation of assets. Chart of Depreciation code: CSCL T Code: EC08 Depreciation areas: Book depreciation
CHART OF DEPRECIATION
COMPANY CODE CSCL Chart of depreciation CSCL is used for company code CSCL to country India T Code: OAOB Tax codes to assigned to non-taxable transactions Input Tax: I0 exempted Output Tax: O0 exempted Assets are grouped under the following heads Plant and Machinery, land and Buildings, Furniture and fixtures and Vehicles. 12.1 Asset Classes Asset classes are used to structure fixed assets. Asset classes are applied to all Company Codes. Asset classes provide default values for all asset master records. Asset classes consists of account determination, screen layouts and number ranges. Account Determination GL accounts for acquisition, retirement, profit or loss on sale of assets, accumulated depreciation; depreciation and special reserve are specified in account determination. Account number 200000 201000 202000 203000 204000 205000 Determination Description Land & Buildings Plant & Machinery Vehicles Furniture & Fixtures Low Value Assets Asset Under Construction
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To 19999 29999 39999 49999 59999 69999 T Code: AS08 Account Determination 200000 201000 202000 203000 204000 205000 Screen layout 1100 2000 3100 3000 3300 4000 Number Range 01 02 03 04 05 06
Description Land & Buildings Plant & Machinery Vehicles Furniture & Fixtures Low Value Assets Asset Under Const
12.2 Depreciation Keys Depreciation method The Company follows Written down value method for depreciation Rates of depreciation Company is following the Depreciation rates prescribed by Schedule 14 of the Companies Act 1956. For each rate of depreciation, a Depreciation Key is maintained. T Code: AFAMA
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13.2 Internal Reports Report Standard Report Weekly, fortnight, monthly, quarter- year, half- S_ALR_87012186 yearly, yearly Sales reports Over due items from customers statement S_ALR_87012168 Outstanding payments to accounts payable S_ALR_87012084 statements
14. CONTROLLING
Controlling (CO) module is one of the integral components of standard SAP R/3 system. Controlling module provides information to the organization in decision-making. It facilitates coordination, monitoring and optimization of all processes in an organization CSCL is maintaining cost accounts for the purpose of controlling costs in manufacturing units Controlling Area represents a closed system used for cost accounting purposes. T Code: OKKP
Company code CSCL is assigned to Controlling Area CSCL Components are activated in the Controlling Areas Number intervals for controlling areas are maintained at T Code: KANK. Versions Version 0 (Plan / Actual Version) is maintained for controlling areas. Cost Element Accounting: This process takes care of integrating FI GL accounts with CO. Through cost element accounting, an enterprise can get complete information on what costs are
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incurred within the enterprise. Maintenance of Cost Element accounting of the enterprise is for the preparation of internal reporting. Cost Center Accounting: This functionality enables an enterprise to get information on where costs are incurred. It provides supporting data for management decision making to check/control the costs of individual functional areas (cost centers). This requires that all costs be assigned according to their source. However, source-related assignment is especially difficult for overhead costs. Cost Center Accounting lets you analyze the overhead costs according to where they were incurred within the organization. Internal Orders: Internal orders are used to plan, collect, and settle the costs of internal jobs and tasks. The SAP system enables you to monitor your internal orders throughout their entire life cycle; from initial creation, through the planning and posting of all the actual costs, to the final settlement. Internal order is also a powerful tool to collect expenses posted in FI to suitably segregate through creation and deployment of statistical orders. Product Cost Controlling: This part of CO enables determination of: Cost of goods manufactured WIP calculation Variance Analysis and Inventory Valuation (at actual cost with the activation of Material Ledger and Actual Costing) Profitability Analysis: This functionality of CO enables an enterprise to get profitability related information that is critical and useful for Sales & Marketing strategic decisions. The functionality uses critical Sales & Marketing related characteristics (such as Sales order, customer, division, sales organization) mapped as profitability segment and value figures are captured for profitability analysis. These in turn provide input for strategic decisions relating to product mix, regional focus, specific customer care etc. Operating concern is the organizational unit created for profitability analysis. Profit Center Accounting: Profit centers are another organizational units in CO similar to cost centers. The objectives of creation of profit centers are of two fold: To enable transfer price mechanism within organization between two profit centers To evaluate performance of profit centers based on ROI, where the numerator is costing based profits earned by profit center and the denominator is investment in the profit center (fixed assets and current assets are values are derived from these assets assigned to cost centers, which are in turn assigned to profit centers) overhead costs. Cost Center Accounting lets you analyze the overhead costs according to where they were incurred within the organization.
14.1 Cost Element Accounting- Cost Elements-Master Data:
CSCL expects cost accounting records should be updated automatically when the corresponding financial documents are posted in Financial Accounting to know what costs incurred within organization.
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General Explanations: Cost and revenue elements describe the origin of costs, revenues. Cost elements are defined as either primary cost elements or secondary cost elements. Primary cost elements in Controlling are created with reference to corresponding expense or revenue accounts in Financial Accounting. It is a prerequisite to create relevant general ledger accounts in FI, in order to create corresponding primary cost elements in CO. Examples for primary cost elements are material costs, salary costs. To be able to post to a primary cost element, you require cost carrying object such cost center or internal order etc. to identify the origin of the cost. T Code: KA01; OKB2 Secondary cost elements are used exclusively in CO to record internal value flows like assessments, activity allocations and settlements. Secondary cost elements can be created only in Controlling and they do not have any corresponding general ledger accounts in FI. T Code: KA06 When you create a cost element, you must assign a cost element category. This assignment determines the transactions for which you can use the cost element. CSCL uses primary cost elements based on requirements under the following categories: Primary costs/cost reducing revenues, Accrual/deferral per surcharge, Accrual/deferral per debit = actual, Revenues, Sales deductions and External settlement Similarly you can define secondary cost elements under the following categories: Internal Settlement, Order/project results analysis, Overheads, Assessment and Distributions, Internal activity allocation Cost Element Groups are created to group together the cost elements of similar kind of nature to process the cost elements collectively in cost center planning, assessment etc. Cost element groups are also useful in deriving information regarding group wise totals. A new secondary cost element should be created when ever a new assessment or activity allocation or settlement are created for existing/ new controlling objects like cost center, internal order etc. A corresponding primary cost element should be created whenever a new expense/revenue account in general ledger accounts is created.
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CSCL expects to compare actual operating results (cost / revenue) with the planned cost / revenue and identify the variance that serve as signals to take corrective measures at cost center level, by updating cost center records automatically on online real time basis when ever corresponding business transaction takes place. General Explanations: Cost centers are locations at which costs are incurred or revenues are generated. Cost centers are designed based on functional requirements, activities provided and areas of responsibility. In CSCL, cost centers are created according to the cost center categories of Management, Production, Administration, Other Services, Sales and Distribution, Personnel and Purchases. For over head cost controlling, cost centers are of similar type are grouped in to Cost Center Groups, for instance, Inventory Management, Information Systems, Accounting etc., to process the group of cost centers together in cost center planning, assessment, information system to generate reports. A new cost center should be created whenever there is a need for CSCL to further classify the originations of the costs for controlling purposes. T Code: KSH1 Standard Cost Center Categories are used for 1: Production 7: Service Cost Center 5: Management Cost center categories 8: Purchasing 7: Personnel 3: Sales 4: Administration Cost Center Groups Cost Center Groups are created to classify the Cost Centers Cost Center Structure CSCL Groups Under this group, Cost Centers are grouped into the following heads 0000 Management 1000 Production 2000 Administration 3000 Purchasing (M&m) 4000 Sales & Distribution 5000 Other Services
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Cost Center STEELMNGT STEELPROD STEELPD&D STEELPWAX STEELPASM STEELPPRC STEELPSHB STEELPDWX STEELPSSK STEELPMLT STEELPFTL STEELPHET STEELPFNG STEELSADM STEELSPUR STEELSSND STEELSOSR STEELSPER STEELSPWR STEELSDSL STEELSRNT STEELSR&M STEELSQAS STEELSPKG STEELSDSP
Description Management Production DES&DEV WAXING ASSEMBLY PRE COAT SHELBLDG DEWAX SHELSOAK MELTING FETTLING HEATTRTM FINISHING Administration Purchasing Sales & Distribution OTHERSERVIC ES Personnel Power Diesel Rent Repairs & Maintenance QUATYASS PACKING DISPATCH
CC Category 5 1 1 1 1 1 1 1 1 1 1 1 1 4 8 3 7 7 7 7 7 7 7 7 7
Hierarchy 0000 1000 1000 1000 1000 1000 1000 1000 1000 1000 1000 1000 1000 2000 3000 4000 5000 5000 5000 5000 5000 5000 5000 5000 5000 T Code: KS01
Cost Center Accounting-Master Data-Statistical Key Figures CSCL desires to distribute the expenses of service and administrative cost centers expenses on a logical basis to other cost centers. General Explanations Statistical key figures serves as tracing factors for periodic transactions such as assessment to allocate the costs from non-production cost centers to production cost centers. Statistical Key Figures are defined such as power consumption units, telephone units etc., for the purpose of allocation of power costs, communication costs respectively to the consumption cost centers. Statistical key figures can be defined as fixed value or as a total value. The fixed value is carried over from the period in which it is entered to all subsequent periods of the same fiscal
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year. You need to enter a new posting only if the value changes. The total value posts the value only in the period, which it was entered. This means that if the statistical key figure is a total value, it has to be entered for each period. Statistical Key Figures Statistical Key Fig 1000 2000 3000 4000 5000 6000 7000 Description Number of Employees Area Occupied Power Repairing Hours Admin Hours Asset Value Purchase Order Units Each FT2 KW Hours Hours Each Unit Category Fixed Fixed Total Total Total Fixed Total T Code: KK01
Cost Center Accounting-Master Data-Activity Types There is a need for CSCL to allocate proportionate cost of a (production) cost center to a production order on logical basis such as machine hour rate or labor hour rate etc. for each of production order on online real time basis using SAP functionalities. General Explanations: Activity Types categorize production and service activities provided by a cost center to the organization and used for allocating costs of internal activities to the respective production departments, for example, in CSCL, activity types are defined in such a way that all activity types should be measured in terms of quantity and value. T Code: KL01 Activity Types of CSCL ACTIVITY TYPE 500000 501000 502000 503000 504000 505000 ACTIVITY UNITS HOURS HOURS HOURS HOURS HOURS UNITS
DESCRIPTION MACHINE HOURS LABOUR HOURS SET UP HOURS PROCESS HOURS TESTING HOURS PRODUCTION HOURS
Activity types are classified into two categories namely, direct activity allocation and indirect activity allocation.
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Direct activity allocation: is used to allocate the production process costs directly to the respective production cost centers. Indirect activity allocation: is used to allocate costs of cost center such as utility costs (Power and Steam) activities costs to the respective production cost centers. T Code: KP06 While designing cost center accounting and activity types, it has been firmed up that the activity type would be designed for production cost centers only. Thus, only direct activity allocation functionality would be designed and would be machine hour, process hour and labor hour as the basis. Activity types in a cost center are closely correlated with the operations performed in the corresponding work center in PP. As such, any change in production process or creation of new work center and cost center calls for corresponding designing of activity types. T Code: KP26 Through designing of activity types, the costs of production (cost of goods manufactured) are computed in line with configured parameters. This is achieved on online real time basis for each of the production order / each of the semi-finished / finished goods.
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Cost Center Accounting-Planning In order to determine the overhead absorption / recovery rate it is imperative to prepare the budget estimate of expenses that would be part of costs. General Explanations The basic goals of cost centers cost planning are: Plan and structure of companys future operations for specific period in monetary terms Create benchmarks for controlling the business transactions within an accounting period Monitor efficiency by means of plan/actual comparisons and To Valuate organizational activities, though estimating the unit cost of a specific activity in given period. T Code: KP04 The cost and activity inputs section of planning facilitates in planning of both activityindependent and activity-dependent primary costs based on cost elements of cost centers periodically. In activity-independent primary cost planning, planning will be done only for fixed costs. Activity-dependent primary cost planning enables to plan primary costs on a cost center that are dependent on the work performed by the cost center, in terms of activity quantities. In activity-dependent planning, provision is made to plan the costs dependent on these activities in fixed and variable portions. This means that the activity type price include two fixed cost portions per cost center: Activity-independent plan costs and activity-dependent fixed plan costs. The Activity output/prices segment of planning assists in planning of which cost centers provide which activity at what price. These planned prices are used to calculate the actual activities value by considering actual quantities of activities, carried out at production cost centers. T Code: KP26; KP06 Planning of statistical key figures (such as number of power units per cost center that are used as tracing factors) is for periodic transactions such as assessment. These statistical key figures can be defined as fixed value or as a total value. The fixed value is carried over from the period in which it is entered to all subsequent periods of the same fiscal year. You need to enter a new posting only if the value changes. The total value posts the value only in the period, which it was entered. T Code: KP46
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Cost Center Accounting-Actual Postings-Reposting Errors are unavoidable and may result particularly during initial days of SAP live operations. Thus, there will be occasions where postings are assigned to the wrong controlling object, and CSCL should be able to rectify posting errors related to erroneous assignment to controlling objects. General Explanations CSCL can repost primary costs from one controlling object to another using transactionbased transfers; the original cost element is always retained. This function is designed to correct posting errors. Posting errors should preferably be corrected in the application component where they originate, so that external and internal accounting (FI and CO) is always reconciled. Cost Center Accounting-Period-End Closing-Assessment CSCL anticipate automating the process of allocating primary and secondary costs of some non-production cost centers to the production cost centers based on predefined apportionment basis with statistical key figure, periodically (say monthly). T Code: S_ALR_87005742 General Explanations Assessment is the process used to transfer primary and secondary costs from sender cost center to receiving controlling objects. Cost centers are used as senders, where as receivers can be cost centers, internal orders, or cost objects. During assessment, the original cost elements are summarized into assessment cost elements and assessed to the receiving object. Should consider the following sender and receiver relations before allocating the costs, from which objects the costs are allocated, which objects costs are allocated to, which costs should be allocated, how the costs are distributed among the receivers. Can combine sender and receiver relations using sender and receiver rules. Sender values can be posted values, fixed amounts as well as fixed prices. On the receiver side rules can be, fixed amounts, fixed percentages, fixed portions and variable portions. The tracing factor of the variable portion identifies a posted value on the cost center as an allocation base. Provision is made to specify whether the variable portion is to consist of costs, consumption, statistical key figures, or activities. Plan and actual values can be used as an allocation base. In assessment, line items are posted for the sender as well as receiver, enabling the allocation to be recorded exactly. The system does not display the original cost elements in the receivers. T Code: KSU5
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Distribution of overheads Overhead Structure Overhead Structure defines the rules for the calculation of the values to be posted. An overhead structure consists of the following rows: Base row - Contains the amount used as a basis for the overhead application. Calculation row - Contains the overhead percentage rate to be applied to the base row. Totals row - Contains the sum of the base and overhead amounts Overhead structures are used to calculate accrual costs. It involves three stages Collection and classification of overheads Departmentalization of overheads: allocation / apportionment of overheads Absorption of overheads Overheads can be distributed/apportioned or absorbed by using assessment cycles T Code: KSU1 14.3 Internal Orders Internal Orders are normally used to plan, collect and settle the cost of internal jobs and tasks. You can create an internal Order to monitor the cost of a time-restricted jobs are the cost for the production of activities. Internal Orders can be used to monitor the cost of short-term measures, the cost and revenues related to a specific services and monitor on going costs. Internal Orders are categorized as : Orders used only for monitoring objects in Cost Accounting (such as, Advertising or Trade Fair Orders) Productive Orders that are value added i.e. Orders that can be capitalized (Such as inHouse construction of an assembly line) Type of Internal Orders: 1) Accrual Orders: This is used to Monitor such a period-related accrual calculations for Cost Accounting. 2) Capital Investment Orders: These are used to monitor Investment Costs that can be capitalized. These Investment cost can then be settled in the fixed assets. 3) Orders With Revenues: You can use Orders with revenues to perform Tasks such as: a) Monitoring activities for Partners outside the business organization. b) Monitoring organizational activities that do not affect the core business of the organization 4) Overhead Cost Orders: These are used to Monitor Overhead Costs independently of the cost center structure and process unit.
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Master data is partly used for system- technical purposes, and partly for business process. You use the master data to define the attributes of an internal order, such as the purpose and the processing possibilities. Define order type Maintain number ranges for orders Creation of Internal orders To see Internal Orders T Codes: KOT2 T Code: KONK T Code: KO01 T Code: KOB1
14.4 Product costing Product cost controlling is part of R/3 controlling application component and is a tool for managing costs related to manufacturing process and rendering of services. It uses information from the overhead cost-controlling tool to calculate such cost as labour, machine or factory overhead and it supplies information to profitability Analysis. Product costing tools: A) Product cost planning: It is a planning tool that helps you predicts the cost incurred when you manufacture a product or provide a services. It shows us Cost composition of each product Value added in each manufacturing step Value added in each overhead process Value added by each profit center, plan, business area and company. B) Cost object controlling: It is a management tool that Traces the cost incurred when you manufacture a product or provide a service. It Answers recurring question like: How high or actual cost by period in my area? How high should the cost have been given actual production output? Do some product groups perform significantly better than others? Can I identify the cause of these variant? C) Actual costing: Initially the system values goods movement with a standard price and collects all variances against this standard price into a ledger. Uses these values to calculate the actual cost for each material at the end of period. D) Information System: It helps you perform high-level analyses of the cost by plant, area of responsibility, product groups and so on. It provides a variety of report that display the detail of individual orders and postings.
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Benefit of product cost controlling Product cost controlling application components support both management and legal requirements. You can customize it to meet your company specific needs without addition tools. Management requirements: Cost Reduction Evaluation of effectiveness Variance analysis Support strategies, decisions that effect which products are manufactured. Supports operating decisions such as pricing a particular product re determining the effectiveness of changing the manufacturing process i.e. Activity based costing tools. Legal requirements: Product cost controlling helps you satisfy two legal requirements. A. Inventory valuation valuated according to tax law and commercial law and inter company consolidation. Work in process Inventory: Done at the closing of period, outstanding orders and update balance sheet and p&l a/c statements. Raw material Inventory: B. Provision for losses: In a make to order environment, we may expect certain losses, we can use result analysis to create reserves and update p&l and balance sheet statements accordingly. Detail functions of product cost planning: Material cost estimates: Costed BOM (Bill of Material) Steps: Determine cost of Raw material, purchased items and Trading goods by selecting price from the material master. Calculate the cost of finished and semi finished products using BOM Itemization: Itemization is done to show the cost of operation in each phase and itemization based on standard routings Cost component splits: Cost of goods manufactured: Shows value added in each production level, Typical cost components included Direct material cost, Direct labour, direct cost, Material over head, Factory over head etc.. Primary cost component split: Shows the production resources used in manufacturing process. Typical cost components include direct material cost energy cost, depreciation, wages, and salaries and so on.
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14.5 Profit center Accounting: Profit centers are another organizational unit in CO similar to cost centers. The objectives of creation of profit centers are of two fold: To enable transfer price mechanism within organization between two profit centers. To evaluate performance of profit centers based on ROI, where the numerator is costing based profits earned by profit center and the denominator is investment in the profit center (fixed assets and current assets are values are derived from these assets assigned to cost centers, which are in turn assigned to profit centers) overhead costs. Cost Center Accounting lets you analyze the overhead costs according to where they were incurred within the organization. Dummy Profit Center T Code KE59 Define Profit Center T Code KE51 Maintain Automatic Account Assignment of Revenue element T Code OKB9
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16.INTEGRATIONS
16.1 Integration with SD The integration with SD happens through T Code- VKOA, a combination of particulars of customer Account Assignment group, Material Account Assignment group and Account key in an access sequence. The related GL accounts are assigned to Condition types (The condition type denotes the discount offered on the net / gross price on sales), The Account assignment group (The customer account assignment group denotes the type of customer, the material account assignment denotes the type of material), and Account keys - ERL, ERS, ERF, MWS (The account keys denotes the respective G/L accounts for the transactions involved in sales) map up the FI SD integration. T Code VKOA 16.2 Integration with MM The data integration happens through Account Determination Linkage of Account Key with General Ledger Accounts by the following.
1.
Movement Types: The Posting and Updating of the stock fields in the Material Master.
2. Valuation Class: The assignment of G/L Accounts use to determine the respective G/L Accounts, which is to be updated as result of goods movements. 3. Transaction / Events Key: It differentiates various transactions such as goods movement that occurred in inventory. 4. 5. Material Type: Each material should be assigned material type in material master record. Which in turn updates the changes made in quantity and values in stock account. The integration between FI MM through the T Code T Code OBYC
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16.3 Integration with PP The integration with PP CO is through Cost Centers and Activity Types. Activity types in a cost center are closely correlated with the operations performed in the corresponding work center in PP. Through designing of an Activity Types, the cost of production are computed through configured parameters. Activity Types of CSCL ACTIVITY TYPE 500000 501000 502000 503000 504000 505000 ACTIVITY UNITS HOURS HOURS HOURS HOURS HOURS UNITS
DESCRIPTION MACHINE HOURS LABOUR HOURS SET UP HOURS PROCESS HOURS TESTING HOURS PRODUCTION HOURS
Change Cost Element / Activity input planning T Code KP06 Change activity type /Price Planning T Code KP26 Set Planner Profile T Code KP04 16.4 Integration with HR Integration with hr involves assignment of Company code, cost center (mgmt) and through the creation of related GL accounts like salaries and allowances, medical aid, and bonus a/c.
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17.GAPS
1. Customer statement of accounts- to get the report showing opening balance, credits & debits closing balance based on fiscal year. But our customers want their own format for identification of their transactions during the FINANCIAL YEAR. Customer balance as is Format.
Output desired Customer Statement Customer Name Customer No City Interest Outstanding Balance
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2. Vendor statement of accounts- to get the report showing opening balance, credits & debits closing balance based on fiscal year. But our Vendors want their own format for identification of their transactions during the FINANCIAL YEAR. Vendor balance as is Format
Output desired Vendor Statement of Accounts Company Code Fiscal year Document Date
Sl No
Particulars Debit
Credit
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3. Depreciation posted for each month customized reports showing opening balance and transactions in a columnar fashion is not available in standard sap reports in T Code- ART0 (Asset Accounting Info systems). Asset Depreciation as-is format (output screen)
Output desired Depreciation for monthly wise statement Depreciation Asset No Posting periods Asset class Main Sub 1 2 3 4 5 6 7 8 9 10 11 12
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4. Reports on RELATED PARTYS USING USER EXITS. Transaction occurred with related parties are to be reported as per the ICAI guidelines. There are SCAC and other fields, which are active, we need to have only SCAC field mandatory. Related party reports DESIRED OUTPUT Report on Related Party Transactions for the Year / Quarter Company Code Address Name Particulars of of Amount Sl.No Date Vendor Transaction
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MATERIALS MANGAGEMENT
Chapter
2
Materials Management
Materials Management Module is where Key Sources like Materials and Vendors are defined in the System
M
I C O N
aterials is the central point of the business process in the company. This module basically deals with the record and defining of Enterprise elements, Master date, Purchasing data, Inventory Management & Physical inventory, Logistics Invoice Verification, Valuation & Account Determination & External Service Management etc.
The Overview
K E Y
Here in Material Management Module we calibrate the system to understand various types of materials that are used in the business process. Mapping different business processes like Stock/Non stock item purchase, sub Master Data contracting, Stock transfers, services etc. It also configures different purchase Purchasing documents like PR, RFQ, PO, Contract and Schedule Agreement etc with or Inventory Management without Release procedure. Logistics invoice verification for incoming invoice Invoice Verification checking.
Enterprise Structure
Configuration Creating the types of materials, the types of sales, various types orders in respect to purchases and sales, Storage locations, Configuring the Pricing Procedures are some the many important configuration elements that are deals by a Material Management Consultant. In Addition Material Management Consultant also looks after issue and receipt of goods, Posting, inventory. The various reports that could be generated by a consultant are the key factors to depend on when crucial decision-making is done. Material Management Consultant is responsible for one of the crucial element of the sap implementationMaterial Maste3r.
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MATERIALS MANGAGEMENT
INDEX
1. Organization Structure 1.1 Plants 1.2 Storage Locations 1.3 purchase organization 1.4 purchasing group 1.5 procurement process 2. Master Data 2.1 Material Master 2.2 Vendor Master 2.3 Purchase Information Record 2.4 Source List 3. Procurement 3.1 Purchase Requisition 3.2 Request For Quotation 3.3 Purchase Order 3.4 Transmission Of Purchase Order 3.5 Contracts 3.6 Release Of Purchase Order 3.7 Pricing Procedure 4 Valuations And Account Determination 4.1 Valuation 4.1.1 Valuation Area 4.1.2 Valuation Class 4.1.3 Account Category Reference 4.1.4 Valuation And Grouping Code 4.2 Event Keys and Account Modifiers 5 Inventory Management and Physical Inventory 5.1 Inventory Management 5.1.1 Goods Receipt 5.1.2 Goods Issue 5.1.3 Transfer Posting 5.1.4 Physical Inventory Posting 5.2 Physical Inventory 6. Logistic Invoice Verification 7. External Services Management 8. Reports 9. Gap Analysis 58
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1. ORGANIZATION STRUCTURE
1. 1.1 Plants Company Code CSCL CSCL Plant Description PLANT 1 (DOMESTIC) PLANT 2 (EXPORT) SAP Code PL01 PL02 Location Hyderabad Hyderabad
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STORAGE LOCATIONS SAP solution will have the following storage locations.
Sr. No
Plant
Storage Location
1 2 3 4 5 6 7 8 9 10 11 12 13 14 PL02 PL01
Nomenclatur e In SAP RM01 CO01 MR01 SF01 FG01 PK01 SC01 RM01 CO01 MR01 SF01 FG01 PK01 SC01
Semi-Finished Finished Products Packing Material Store Scrap Yard Raw Materials Consumables Maintenance, Repairs & Operational Spares Semi-Finished Finished Products Packing Material Store Scrap Yard
PURCHASE ORGANIZATION SAP solution will have the following Purchase Organizations: Sr. No.
1 2
Company Code
CSCL
Plant
PL01 PL02
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1.4
PURCHASING GROUPS
The purchasing groups defined for CSCL. Company Purchasing Description Group Raw Material PG01 Consumables PG02 PG03 CSCL PG04 PG05 PG06 PG07 PG08 Spare Parts Services Raw Material Consumables Spare Parts Services Telephone Number 9989860101 9989860102 9989860103 9989860104 9989860105 9989860106 9989860107 9989860108
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PROCUREMENT PROCESS
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2. MASTER DATA
2.1 Material Master Material master contains information of all the materials that a company produces & procures, stores & sales. It is the companys central source for retrieving material specific data.
2.1.1 MATERIAL TYPES
The following material types are used in PL01 & PL02. Material types ROH KMAT HALB LIEH HIBE HAWA FERT ERSA VERP NLAG PIPE DIEN UNBW
2.1.2
Description Raw materials Configurable Materials Semi finished materials Returnable Packaging Operating Supplies Trading goods Finished products Spare Parts Packing Material Non stock items Pipe line Services Non valuated items
All materials are having external number ranges, each material number contains 10 digits in which first four letters represents the material type and the remaining 6 digits tell the sequence number of that material type. Number Range Material types From To
ROH KMAT HALB LIEH HIBE NLAG HAWA FERT ERSA VERP PIPE DIEN UNBW RAWM0000001 CONF0000001 SEMI0000001 LIEH0000001 CONS0000001 NONS0000001 TRAD0000001 FINI0000001 SPAR0000001 PACK0000001 PIPE0000001 SERV0000001 NONV0000001 RAWM9999999 CONF9999999 SEMI9999999 LIEH9999999 CONS9999999 NONS9999999 TRAD9999999 FINI9999999 SPAR9999999 PACK9999999 PIPE9999999 SERV9999999 NONV9999999
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2.1.3
MATERIAL VALUATION
In PL01 & PL02 materials are valuated according to material type Sr. No. 1 2 3 4 5 6 7 8 9 10 11 12 13
2.1.3
Material Type ROH KMAT HALB LIEH HIBE NLAG HAWA FERT ERSA VERP PIPE DIEN UNBW
Standard Price
MATERIAL VIEWS
Sr. No. 1 2 3 4 5 6 7 8 9 10 11 12 13
Material Type ROH KMAT HALB LIEH HIBE NLAG HAWA FERT ERSA VERP PIPE DIEN UNBW
Basic Data X X X X X X X X X X X X X
Sales X X X -
MRP X X X X X X X -
Purchase X X X X X X X X X X X X
Store X X X X X X X X X X X X
A/c X X X X X X X X X -
Fore caste X X X X X X X -
Costing X -
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2.1.5
MATERIAL GROUPS
Sr. No. 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21
Material Group Chromium Manganese Scrap Sand Bismuth Metal Tin Metal Furniture Cobalt Welding Rods Hand Gloves Wax Bearings Wooden Boxes M Seal Silicon Services Oils Gases Stationary Nickel Office Equipments
Code (SAP) MG01 MG02 MG03 MG04 MG05 MG06 MG07 MG08 MG09 MG10 MG11 MG12 MG13 MG14 MG15 MG16 MG17 MG18 MG19 MG20 MG21
2.2 VENDOR MASTER The vendor master contains information on vendors from whom a company procures materials or services. Business transactions are posted to vendor accounts and managed using these documents. Data in vendor master record control how transaction data is posted and processed for a vendor. The vendor master record also contains all the data required to do the business with vendors.
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2.2.1
Vendor account group is classifying feature in vendor master that determines The type of number assignment
A number range for assigning account numbers Which fields are displayed and whether their entry is optional or required when you enter or change vendor master data Whether the account is for one time vendor? Vendor Account Group Description 0001 0002 0003 0004 0005 0006 0007 OTVN Main Vendor Goods supplier Alternative payee Invoicing party Freight Vendor Ordering address Plants One time vendor
Internal number ranges are used. Vendor Account Group 0001 0002 0003 0004 0005 0006 0007 MNFR OTVN
Number Ranges From To 110000 119999 120000 129999 130000 139999 140000 149999 150000 159999 160000 169999 170000 179999 180000 189999 190000 199999
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2.2.3
INCO TERMS
The following INCOTERMS (Price Basis) will be maintained in the SAP system Sr. No. 1 2 3 4 5 6 7 INCO Terms EDS EXW EVG EVS ONS FOB EXS Description Ex-destination station Ex- works Ex-vendor go-down Ex-vendor station On site Free on board Ex- (our) site
2.3 PURCHASING INFORMATION RECORD Vendor and material information is stored in SAP in the form of purchase info record. Info record will have the following key data Info record number * Vendor code Material code * Purchasing organization Info Category (standard, sub-contracting, pipeline). 2.4 SOURCE LIST To define a source of supply as fixed. Such sources count as preferred sources over a certain period of time.
As an aid in selecting the preferred source during the source determination process.
To block the external procurement of a material with respect to a particular vendor for a specified period of time.
3. PROCUREMENT
3.1 PURCHASE REQUISITION Purchase requisition processing: At CSCL internal number range will be used for PR documents, these will be identified basing on the document types of PR. In SAP NB FO RV Description Standard Framework Outline Agreement Document type STD FRM AGR Number Range From To 100000000 109999999 110000000 119999999 120000000 129999999
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Item categories standard () Sub contracting (L), Stock transfer (U), Services (D), Third Party (S). 3.2 REQUEST FOR QUOTATION
Document type for this will be AN Number range for this document --- 20000000 ---29999999 The vendor pricing and different pricing conditions can be entered in the maintenance of the quotation document.
3.2.1 APPROVAL OF QUOTATION
Through the price comparison screen SAP ranks all the quotations based on the price. The other details such as delivery date and the related information is also displayed the entire quotation of the vendors also can be viewed from the same screen. The decision to select/reject a vendor can be based on the price comparison list generated by the system and by checking the vendors technical competency (specifications, delivery terms, free sample inspection), which will be done outside the system. Once the vendor is selected the price can be updated in the info record from the price comparison list by selecting the info record indicator. 3.3 PURCHASE ORDER
In CSCL plant wise procurement is as follow Type of the procurement Standard Sub-contracting Third Party PL01 X X X PL02 X X X
3.3.1. STANDARD PURCHASE ORDER
Stock transfer X X
The approved requisitions can be converted to a purchase order, if there is a preferred vendor or if there is an existing contract. By using with reference functionality, a single PO can be created with multiple requisitions. Individual requisitions will be represented as separate line items in the PO to maintain the reference of the PR.
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3.3.2.
SUB-CONTRACTING
Order Processing In a sub-contracting purchase, the normal purchase order is raised with a sub contracting item category indicator L. SAP allows creation of the purchase order without creating a RFQ also. Issue of components Receipt of the final product Once the vendor sends the final product, it will be received against the sub-contract purchase order. The system will copy the quantity of the final product and the components mentioned at the time of the PO in the goods receipt document. Based on the consumption quantity mentioned by the sub-contractor or the transferred quantity, the components quantity will be adjusted in the Goods Receipt document before posting.
3.3.3. THIRD PARTY
Order processing In CSCL, manufacturing plant is having third party process. As per the requirement from the sales department (sales order) a standard purchase order created with account assignment 1 & item category S. These purchase orders are sent vendors who are approved only. Receipt of Third Party Stock No stock is received against purchase order into receipt storage location in our plant but we will get the acknowledgement from the customer about the same. Vendor will send the invoice to us for the payment.
3.3.4. STOCK TRANSPORT ORDER
In Plant 2, manufacturing plant procures components from the plant 1, the procurement is done with billing. Vendor master and customer master will be created to manage intra business unit purchases and will be handled through stock transport order procedure of SAP. Procurement Process When the goods are received at the receiving business unit, a goods receipt will be posted against the delivery document of the issuing plant. The goods are posted to Unrestricted Use Stock. Invoice is entered in the receiving plant against the stock transfer order of the receiving plant. The required reconciliation accounts will be done in the financial module with the defined account groups of internal vendors. 3.4 TRANSMISSION OF PURCHASE ORDER Purchase orders will generally be sent through electronic - mail and hard copy by out put device settings.
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Summary of Purchasing Document Types and Number Ranges Sr. No. Document Document type Allowed item Number Internal Categories ranges /external Standard. Stock transport. Standard Internal Sub-contracts, Third Party Stock transport Standard Internal
1 2
NB UB
3.5
CONTRACTS
Central purchase organization will create the contract after arrival of the total requirements of individual plants after negotiations with vendors. Referring to the contracts individual purchase organizations will raise the Release order as per the plant requirement. There are two types of contract. Description Value contract Quantity contract 3.6
3.6.1.
Doc type WK MK
The parameters VALUE, PLANT, PURCHASING GROUP, COST CENTRE AND DOCUMENT TYPE are main criteria to release the purchase order, these can be created as characteristics in SAP These characteristics are grouped into classes
3.6.2.
RELEASE CODE
The release code is a two-character ID allowing a person to release (clear, or approve) a requisition or an external purchasing document. In CSCL the release of PO has four releasing authorities, these authorities can be created as release codes in SAP.
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Release Code 01 02 03 04
Release Authority Purchase Officer Asst. Manager Purchase Purchasing Manager Commercial Director
3.6.3 Release Group All the releasing authorities are grouped in one group. And the class is assigned to the release group. Release Group PO Value / Plant Plant 1 Name of the Release Group Purchase Order Release Group > 100000 (INR) Purchasing Asst. Asst. Manager Purchasing Manager-Purchasing Commercial Director Purchasing Asst. Asst. Manager Purchasing Manager-Purchasing Commercial Director
<= 100000 (INR) Purchasing Asst. Asst. Manager Purchasing Manager-Purchasing Purchasing Asst. Asst. Manager Purchasing Manager-Purchasing -
Plant 2
3.8 PRICING PROCEDURE We define access sequence and condition types in purchasing conditions and assign these condition types in the pricing procedure. Schema Group Schema group allow you to group together certain purchase organizations that uses the same calculation schema, we can also use them to group together vendors for whom the same calculation schema is valid. Schema Group organization ZSGC For Purchase Purchase for All Purchasing Organizations in PL01 & PL02
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Schema Group Vendor We will assign these schema groups to the pricing procedure based on the vendor it triggers the corresponding pricing procedure in the purchasing document. Schema group Schema group purchase org. vendor ZSGC All Vendors Pricing Procedure RM0000 Description for Pricing Procedure Domestic Procurement
The procedure can be defined by using the following pricing conditions. Condition Types Percentage Value Quantity Gross Price Automatic X Gross Price Manual Discount Packing and forwarding Excise Duty Educational Cess Service Tax Educational Cess on ST Manual LST (VAT) CST Insurance Freight Cash Discount. Loading Charges Unloading Charges Surcharge On Gross Surcharge On Net X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X
X X X X X X
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4. VALUATION DETERMINATION
4.1 VALUATION
4.1.1 VALUATION AREA
AND
ACCOUNT
All materials are valuated at plant level only. Each material is assigned to valuation class while creation of its master record.
4.1.2 VALUATION CLASS
Grouping of similar accounting requirement materials for automatic determination of G/L accounts is called valuation Class.
4.1.3 ACCOUNT CATEGORY REFERENCE
Grouping of valuation classes for the purpose of automatic account determination is called as account category reference. In CSCL the following valuation classes and account category references are defined. Material type ROH HALB FERT HAWA ERSA ERSA HIBE VERP NLAG DIEN UNBW
4.1.4
Valuation class 3000 7900 7920 3100 3040 3040 3030 3050 9000 3400 3300
Valuation class description Indigenous Raw materials Semi finished materials Finished goods Trading goods Mechanical spares Electrical spares Operating Supplies Packing Material Non Stock Items Services No valuated
Account category reference 0001 0008 0009 0005 0003 0003 0002 0004 0010 0006 0007
Grouping of valuation areas for the purposes of automatic account determination Valuation Area Valuation Grouping Code PL01 0001 PL02 0001
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4.2
ACCOUNT POSTING
In SAP automatically the G/L accounts are updated while goods receipt and invoice receipt according to the movement type control data. To up date the stock accounts the following transaction/event keys are defined for CSCL. Event Key Description BSX Inventory postings WRX GR/IR clearing account BSV Stock change account GBB Off setting entry for inventory postings UPF Unplanned Freight PRD Price difference accounts KON Consignment Liabilities FRL Purchasing Services. FR1 Freight clearing FR2 Freight provision FRE Purchase price account Account Modifiers: Account Description Modifiers GBB AUF Goods Receipt for Purchase Order BSA Initial Entry of Stock Balances INV Expenditure / Income from Inv. Diff. (Physical Inv.) VAX Goods Issue for Sales Order VBO Consumption from Stock of Material Provided to Vendor VBR For Internal Goods Issue ( Cost Center) VNG Scrapping / Destruction VQP Withdrawal of Samples ZOB Goods Receipt without Purchase Order ZOF Goods Receipt without Production Order PRD BLANK Goods & Inv. Receipt against Purchase Order PRF Goods Receipt against Production Order PRA Goods issue & other Movements PRU For Transfer Posting KON PIP Pipeline Materials Liabilities
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INVENTORY MANAGEMENT
goods receipt (GR) is goods movement with which the receipt of the goods from a vendor or from a production is posted. A goods receipt leads to increase in the stock in the storage location.
a goods issue is a goods movement with which a material withdrawal or material issue, a material consumption, or a shipment of goods to customer is posted. A goods issue leads to reduction in warehouse stock.
5.1.3 TRANSFER POSTINGS:
a transfer posting is a general term for stock transfers and changes in stock type or stock category of a material. It is relevant whether the posting occurs in conjunction with a physical movement or not.
5.1.4D PHYSICAL INVENTORY POSTINGS:
after user decides to carry out physical count, user will have to create physical inventory document, enter the count and post the difference (excess/shortage). At the time of posting the difference the system will generate the material document. For valuated stocks accounting document will also be generated. ventory In SAP system the Physical inventory is done in three steps. Creation of physical inventory documents Counting of physical stock and entering physical stock into the system Simulate and posting the differences, recounting if necessary and re-posting where the difference goes to the Profit and Loss statement i.e. automatic charging of GL a/c and adjustment in the physical inventory.
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a.
As unplanned services with the setting of a value limit only. By unplanned services, we mean services that cannot be specified in detail because their precise nature and scope are not initially known, or services which - for various reasons you do not wish to plan. Unplanned services therefore have no descriptions. They are entered in the form of maximum values in the relevant currency. Services may be performed up to a value not exceeding these value limits. This ensures an element of cost control.
REPORTS
Sr. No.
1
Title
Code
Purpose
Intended For
Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts.
Stock Overview for MMBE To check the current stock levels Material Number wise Material Document List Materials analysis, Purchasing values, Basic List List of GR/IR balances Display of Stock in Transit MB51 To know details of Material doc. To know Material / Plant / Pur. Org. MC$G wise PO Value, GR Value, Invoice Amt. To know GR/IR balances with MB5S reference to vendor, Pur. Org., Pur. Group, Material, Pur. Doc. or Item
To know stock in transit with Director, Manager, Asst. MB5T reference to material, sending plant, Manager, Officer & Assts. receiving plant or company code. To know the list of materials available in SAP with reference to MM60 material, plant, material type, material group or created by MC.9 To know the report on material, valuated stock, consignment stock Director, Manager, Asst. Manager, Officer & Assts.
Materials List
Material analysis Stock selection Storage location analysis, Stock selection Key-figure, Slow Moving Items Purchasing Doc. Per Vendor
10
Director, Manager, Asst. Manager, Officer & Assts. To know the report on valuated stock Director, Manager, Asst. MC.5 & consignment stock of storage Manager, Officer & Assts. location To know the slow moving items Director, Manager, Asst. MC46 (number of days wise) and total stock Manager, Officer & value. Assts. Director, Manager, Asst. List of Purchase Docs. & status of ME2L Manager, Officer & GR, IV Assts.
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Purchasing Doc. Per Material Purchasing Doc Per Account Assignment Purchasing Doc Per Project Purchasing Doc Per Material Group
ME2M
List of Purchase Docs. & status of GR, IV List of Purchase Docs. & status of GR, IV List of Purchase Docs. & status of GR, IV List of Purchase Docs. & status of GR, IV
12
ME2K
13
ME2J
14
ME2C
15
Purchasing Doc Per List of Purchase Docs. & status of requirement Tracking ME2B GR, IV Number Purchasing Doc Per Doc. Number Purchasing Doc Per Supplying Plant ME2N List of Purchase Docs. & status of GR, IV List of Purchase Docs. & status of GR, IV
Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts. Director, Manager, Asst. Manager, Officer & Assts.
16
17
ME2W
18
19
List of Vendors
MKVZ List of Vendors List of Diff. between the physical count entered and the book stock.
20
List of Inventory Diff. List of Inbound Deliveries List of POs Pending Release List of PRs
MI20
21
22
23
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UPLOADS
Uploads that are identified to be loaded in the system through customized program 1. Material Master 2.Vendor Master 3. Purchase orders
9. GAP ANALYSIS
1. GAP:
In the Collective Number (10 char) field of the RFQ, The number in series should be automatically generated by the system while the document is saved.
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PURCHASE ORDER
DOC NO: DATE
YOUR REF:
With reference to your quotation and further negotiations, we are pleased to forward the orderas per the terms and conditions hereunder and as mentioned overleaf and any annexure thereof:
Item Description
UOM
QTY
RATE
TOTAL
Rupees (in words): Price Basis: Date of delivery: Special Instructions: Terms Discount P&F EXCISEDUTY Edu. Cess Material to be delivered at: VAT/CST Freight Insurance Grand Total We request you to send an acknowledge receipt and acceptance of the order.
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PR NO: DATE YOUR REF: TIN No: CST NO: ECC No:
With reference to your quotation and further negotiations, we are pleased to forward the orderas per the terms and conditions hereunder and as mentioned overleaf and any annexure thereof:
Sl.#
Item Description
UOM
QTY
RATE
TOTAL
Total Amount
Terms % age Discount P&F EXCISEDUTY Edu. Cess Material to be delivered at: VAT/CST Freight Insurance Grand Total We request you to send an acknowledge receipt and acceptance of the order.
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CHARMINAR STEEL CASTINGS LIMITED TO,S011_LIFNR PURCHASE ORDER DOC NO:EKPO_EBELN DATE S011_SPTAG PR NO: DATE YOUR REF: TIN No: CST NO: ECC No: EBNA_BANFN EBNA_BADAT
With reference to your quotation and further negotiations, we are pleased to forward the orderas per the terms and conditions hereunder and as mentioned overleaf and any annexure thereof:
Sl.# Our Mat. Code Item Description UOM QTY RATE TO TAL
Rupees (in words): Total Amount Price Basis: Date of delivery: Special Instructions: Terms Discount P&F EXCISEDUTY Edu. Cess Material to be delivered at: VAT/CST Freight Insurance Grand Total % age
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Chapter
3
Sales and Distribution
Cavet Emptor Or Customer is the king and SD module is the Link between the Company and the Customer.
S
Billing
ales and Distribution Module of SAP have key elements like sales offices, Customer data base, or A Sale as a whole under its jurisdiction. Sales and Distribution will be responsible to configure all the elements that are related to sale and client either independently or in co ordination with Finance and Controlling. This Module works closely with all the other modules as it is the link between the customer and the company which puts sales and distribution module in a key junction which is of crucial nature. .
I C O N K E Y
Credit Management
The Overview Sales and Distribution Module will Create, Configure and Operate the key elements like customer database , sales offices, and various documents like sales orders, quotation. Credit management will be working in parallel with Finance and Controlling of SAP and Product Costing will bring Material Management and Production Planning into Picture. Revenue Account is determined at sales end. Sales and Distribution module will create Sales office, various types of sales, shipping types. Customer Database is the key for various decision-making aspects of an organization. This module also covers various external elements like return goods policy, shipping forms, taxation aspects etc, for whole and broader smooth functioning of an organization.
INDEX
1. As-Is / To-Be 2. Executive Summary 3. Organizational Structure 4. Master Data 5. Basic Functions 5.1 Revenue Account Determination 5.2 Credit Management 5.3 Output Determination 5.4 Text Determination 5.5 Log Of Incompletion 5.6 Availability Check And Transfer Of Requirements 6. Sales Cycle 6.1 Sales Documents 6.2 Delivery 6.3 Billing 7. Business Scenario 1: Standard Sales 8. Business Scenario 2: Quantity Contract 9. Business Scenario 3: Make To Order 10. Business Scenario 4: Returnable Packaging 11 Business Scenario 5: Return Of Goods 12.Business Scenario 6: Third Party Sales 13.Reports 14.Parameters Used For Sis 15.Gaps 81 84 85 91 94
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1.AS IS TO BE
AS - IS Organization Charminar Steel castings have five operating companies. The group runs its sales through 4 Branch offices at mumbai, Calcutta, Kanpur and Trichy. Export sales is routed through the consultant and its operated from sales head office Hyd. Channels Charminar Steel Castings has 3 various approaches where in the products of the company are reached to customers. They are Direct selling, Institutional selling and Exports Products Charminar Steel Castings has various products group like Defence, Surgical, Engineering and Pressure valve. Customers Charminar Steel Castings has its customers in the form of Institutions like government, Defence public sectors, MNCs and Private Institutions. TO BE For mapping the companys organizational structure in SAP standard system the following has been done:Operating Companies - Company codes Sales head office Sales Organizations (1) Taking care of both Domestic and Export market Branch Offices Sales Offices Domestic (4) Based at mumbai, Calcutta, kanpur and trichy, Sales office export- hyderabad Sales personal Sales groups In SAP standard system these 3 approaches have been mapped to Distribution Channels, Which are nothing but channels through which material or services, is reached to customer. They are as follows:Direct selling Direct Sales Institutional selling Institutional Sales Export sales Export Sales (direct sales) In SAP standard system the products of the group have been mapped to Divisions. Division is nothing but a group or range of products. Defence Surgical Engineering Pressure Valve In SAP standard system the data on business partners Charminar Investment Steel Castings has a business relationship is kept in master records. Master records contain all data necessary for processing business transactions. A customer master record is created when you start a business relationship with a new customer. Customers have been mapped to Regular customer, One time Customers. In SAP standard system, Sales and Distribution data in a material master record is defined for a specific sales organization and distribution channel. The division, delivering plant, sales
Materials Charminar Steel Castings procures most of its materials from local suppliers / vendors and process
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them further to make finished groups, grouping terms for price agreements and products. sales texts etc are included in sales and distribution data. The fact that a material is linked to a distribution channel allows the material to be sold with different conditions. In SAP standard system, Inquiry is a customers Inquiry Inquiry for domestic market and request to the company that they provide a export market are for all the quotation or sales information without obligation.. The sales area that accepts the inquiry becomes charminar steel products. responsible for further processing. The total An Inquiry can relate to materials quantity of an inquiry item can be subdivided or conditions and if necessary between the schedule lines in different amounts and relevant delivery dates. delivery dates Quotations Quotations are created when a customer has an The company quotes to the informed sales query. The customer wants to customer a specific price with a know, for example, how much a certain quantity validity period along with the terms of a product will cost and when it will be available & condition. for shipping. Sales Orders After the customer agrees to the terms and condition given in the Quotation, they will issue purchase order with the required quantity of goods to be delivered on a specific date. Based on the requested delivery date the company will check the availability and proceed further to delivery. If the stock is not available then the next possible delivery date will be intimated to customer. Delivery Based on the requested delivery date given by the customer, the company will deliver the goods from a particular plant. During sales order processing, the system carries out monitoring the sales transactions, checking for availability, transferring requirements to materials planning (MRP), scheduling the delivery, checking credit limits and creating printed or electronically transmitted documents (confirmations, and so on).
Billing
Outbound delivery supports all shipping activities including picking, packing, transportation and goods issue. During the outbound delivery process, shipping-planning information is recorded, status of shipping activities is monitored and data accumulated during shipping processing is documented. When the outbound delivery is created, the shipping activities, such as picking or delivery scheduling, are initiated, and data that is generated during shipping processing is included in the delivery. Billing is done on the basis of sales orders and
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After delivering the goods an deliveries, which includes Invoice, Credit and Invoice is raised as per the delivery Debit memo, Performa Invoice. If no complaints depending on the price. are made about the delivery, the business transaction is considered complete from the sales point of view. Credit and Debit Memo: Credit memo: A sales document created on the basis of a customer complaint. This reduces receivables in Financial Accounting. Debit memo: A sales document created on the basis of a customer complaint. This increases receivables in Financial Accounting. Credit memos are created for various reasons (for example, because of defective goods or because you have overcharged a customer). Similarly, you may need to create a debit memo (for example, you have not charged the customer enough). When you create a credit or debit memo, you can refer to an invoice or a credit memo request. Returns Returns documents are created when the customer If the customer returns the goods a wants to return damaged goods or goods that were returns delivery is created and delivered on a trial basis. The returns document credit memo is issued to the can be created with or without reference to the customer. sales order. When the returned goods arrive back at the warehouse, you then create a returns delivery, which refers to the returns document you already created. The goods issue posted for the return delivery records the inward movement of the goods into your own stock. Exports In SAP standard system the exports sales process Charminar Steel castings is is mapped just like that normal sales order process primarily being exported to except that distribution channel involved will be European countries. The nature of Exports through which the products reach its business is bulk. The sale is done customer in the European countries. through agents SPECIAL SALES PROCESSES Cash Sales In SAP standard system this sales process can be This process occurs when the configured by sales document type (CS) available. customer is ready to take the The delivery is done automatically along with the Product by paying the required sales order, while an Invoice is raised when the amount immediately. order is created. Rush Order In SAP standard system this sales process can be The Rush Order also follows configured by special sales document type (RO) a cycle similar to the Cash Sales available. Only difference to that cash sales and
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except that an Invoice is raised later rush order is that invoice is raised later and and customer pays the amount at a customer pays the amount at a later date. later date. In the SAP standard system, control parameters Third Party Sales All orders for Charminar Steel like Item Category group (BANS) and Item Castings Limited are procured Category (TAS) map Third party sales. The through the Vendor using third party Standard sales document type is used to execute sales process. Vendor directly sends the third party sales. the goods to the customer as per the requirement mentioned in the sales order and vendor bills the company.
Make-to-order When a customer orders for a particular material, which are not maintained in stock, based on the customer requirement, company, manufacture the products and supplies to that particular customer only
In SAP standard system the make-to-order process is mapped by using standard sales order process, he item category group 0001 in the material master and requirement type KE. The item category TAK is triggered in sales document.
2.EXECUTIVE SUMMARY
OVERVIEW OF THIS REPORT
A Business Process Workshop (BPW) was held with the key users of Sales & Distribution. Over these discussions, the Implementation Team has developed a high degree of process understanding. During the BPW, various business scenarios have been discussed that needs to be addressed. The purpose of this report is to confirm the understanding of these business scenarios and freeze these business requirements, which will form the basis for development or configuration activity. This document would provide the way forward during the Realization phase, where these processes will be configured in the SAP System.
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The complete Sales structure and Master data as well as the business process will be included in the scope of the project. This project will include the following business processes of Sales & Distribution. Export sales Domestic sales Direct Sales Institutional Sale Sales Returns
3 ORGANIZATIONAL STRUCTURE
3.1 Sales Organization The following Sales Organizations are created for Project. Sales Organization is an organizational unit that sells and distributes products, negotiates terms of sale, and is responsible for sales transactions. The zonal nature of the organization structure is mapped using sales organizations.
SALES ORGANIZATION 1001 DESCRIPTION Charminar steel casting Sales Organization
3.2
Distribution Channel
A distribution channel is a channel through which materials or services reach to customers. The following three Distribution Channels will be created for Project Charminar Investment Steel Castings Limited. CHARMINAR STEEL CASTING SALES ORGANIZATION Distribution Channel Description 10 Direct Sales 11 Domestic Institutional Sales 12 Exports
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3.3 Division A division is a product group that can be defined for a wide ranging spectrum of products. The above divisions have been created to indicate the Four main product groups in the company. The following divisions will be created for Project Charminar steel casting Limited. 10 11 12 13 Defence Surgical Engineering Pressure Valve
3.4 SALES OFFICES Sales office is defined as it is a physical location (for example, a branch office) that has responsibility for the sale of certain products or services within a given geographical area. The following Sales Offices will be created for Project Charminar Steel Casting Limited.
1001 1002 1003 1004 1005
North Office (kanpur) South Office (Trichy) East Office (Calcutta) West Office (Mumbai) Export sales office (Hyderabad)
3.5 SALES GROUP Sales Group is a group of sales people who are responsible for processing sales of certain products or services. By using sales groups you can designate different areas of responsibility within a sales office and also can be used for reporting purposes. The following Sales Groups will be created for Project Charminar Steel Castings Limited 110 Sales Group North Office
111 112 113 114
Sales Group South Office Sales Group East Office Sales Group West Office Sales group export office
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3.6 SHIPPING POINTS The shipping point is the top level in the organization for shipping. A delivery is always initiated from exactly one shipping point. Thus, all items of a delivery belong to one shipping point. Groups of deliveries also belong to exactly one shipping point. The following Shipping Points will be created for Project Charminar Steel Castings Limited..
1001 1002 Shipping point Standard Shipping Point Returns
3.7 LOADING POINTS The loading point is the top level in the organization for loading. Picking is always initiated from exactly one loading point. Thus, all items of a picking belongs to one loading point. Loading Points are assigned to Shipping Points. The following loading Points will be created for Project Charminar Steel Castings Limited
Charminar Steel Castings Limited SALES ORGANISATION SHIPPING POINT 1001 1002 LOADING POINT 10 11 DESCRIPTION LP 1D LP 1R
The purpose of this is to allocate the company code so that it establishes a link between the SD and FI systems. A sales organization belongs to just one company code Sales Org Desc Company Code Desc 1001 Charminar Steel CSCL Sales CSCL Castings Ltd.
ASSIGN DISTRIBUTION CHANNELS TO SALES ORGANIZATION
The purpose of this step is to allocate the distribution channel to Sales organization to find out which distribution channel is responsible for the sale.. A distribution channel can be valid for several sales organizations.
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DESC Direct Sales Direct Sales Direct Sales Direct sales Institutional Sales Exports
DIV
DESC
10 10 10 10
10 13 12 11
1001 1001
11 12
11 12
Charminar Steel castings Limited Sales Org Desc 1001 1001 1001 Dist Chl Desc Direct Sales Institutional Sales Export Sales
The purpose of this step is to allocate as many as division desired to a sales organization. Any one division can belong to several sales organizations. Charminar Steel castings Limited Sales Org 1001 1001 1001 1001 Desc CSCL Sales CSCLSales CSCL Sales CSCL Sales Div 10 11 12 13 Desc Defence Surgical Pressure value Engineering
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Sales area is a combination of sales organization, distribution channel and division. The following Sales Areas will be created for Project Charminar Steel Castings Ltd. The purpose of this step is that you can allocate as many as desired . Any one sales office can belong to several sales areas at the same time.
CSCL (1001)Direct(10))Defence (10) CSCL (1001)Direct(10))Surgical (11) CSCL (1001)Direct(10))Pressure Valve (12) CSCL (1001)Direct(10))Engineering (13)
CSCL (1001)Institutional (11))Surgical (11) CSCL (1001)Export (12))Pressure Valve (12) Assign sales groups to sales office 1001 (Kanpur), 1002(Trichy), 1003(Calcutta), 1004(Mumbai) Export sales office Hyderabad (1005)
The purpose of this step is that you can assign as many as desired. Any one sales group can belong to several sales offices.
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ALES OFFICE 1001 (kanpur) 1002 (Trichy) 1003 (Kolkata) 1004 (Mumbai ) 1005
DESC
Sales Group North Office Sales Group South Office Sales Group East Office Sales Group West Office Sales group Export Hyderabad
Assign sales organization, distribution channel to plant The purpose of this step is to assign any number of Distribution Channel to a combination of Sales Orgonization and a plant.
10 11 12
DP DP EP
The purpose is to allocate as many shipping points as desired to the plants. Any one shipping point can belong to several plants.
CHARMINAR STEEL CASTINGS SALES ORGANISATION 1001 1002 Shipping point Standard Shipping Point Returns Domestic Plant Export Plant DP EP
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4. MASTER DATA
Create Customer Master Record
The customer master record is the basis for all sales transactions as well as deliveries and payments. It represents the data relevant to the entity being dealt with.
Here, we maintain Customer related information for all the customers of Charminar Steel Castings Limited in the following fields. Inputs New Customer details Customer details modification General data. Company specific i.e. Company code related data. Sales area related data.
The process will be managed in SAP as follows The customer master will be maintained centrally for SD and FI purposes using transaction XD01. Customer numbers will be generated internally. Specific inputs from finance view will be detailed on the reconciliation account, receipt of payment modes, terms and the credit limit. Also information like House Bank for receipt of payment from the customer. Receipt payment method, planning group etc. will be entered. One authorization profile will be created for maintaining the customer master for all fields in finance view. The new customer master record will be created and / or the changes will be recorded.
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CONFI GURATI ON
Account Group: Account Group is grouping of customers or classification of customers. Partner Functions: The rights and responsibilities of each partner in a business transaction. When creating a customer account, we must specify an account group. We can specify a reference account group under "Control" in the "General data" part of a one-time account's master data. If we do not specify a reference account group, then, as previously, all fields of the one-time account screen are ready for input during document entry. We use the account group to determine: o The interval for the account numbers o Whether the number is assigned internally by the system or externally by the user (type of number assignment) o Whether it is a one-time account o Which fields are ready for input or must be filled when creating and changing master records (field status)
Following Customer groups will be created for all Charminar Steel Castings Ltd business sector
A C C O U N T G R O U P
The material master data is used by the system to represent the data pertinent to the products your company is selling or producing. It is configured much the same way as the customer master record with different views. Maintain Material related information for all the materials of Charminar steel castings ltd. in the following fields Industry Sector Material Types
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I N P U T S
Plants Sales Organization Distribution Channel The process will be managed in SAP as follows: The material master will be maintained centrally for SD and MM purposes using transaction MM01. Material Numbers will be created externally for all products and services. A product hierarchy will be assigned to each material. Product hierarchy will be created based on the products or service group. Scenario: Material Master Creation Transaction: MM01 Organizational Level Plant Sales Organization Distribution Level Basic data 1 (To be maintained by MM) Base Unit of Measure Material Group Material Group Packaging Material Sales Organization Delivering Plant Cash Discount Option Product Hierarchy Material Pricing Group Account Assignment Group Transportation Group Loading Group Foreign Trade Export Export / Import Group Country of Origin Region of Origin Exemption Certificate Sales Text Long Text Short Text.
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5.BASIC FUNCTIONS
Pricing In SAP standard system we use pricing to calculate price and cost of the material by using Condition Technique.
CONDITION TECHNIQUE
Condition technique is a method by which system determines the values from the information stored in condition record during sales order processing.
PRICING PROCEDURE
In a condition table, you define the combination of fields for which you can create condition records. CONDITION TABLE DESCRIPTION
Customer Price Material Price Customer Discount Material Discount Freight Domestic Taxes
Price elements are represented in the SAP system by condition types. Price elements can be, for example, prices, surcharges, discounts, taxes or, freight, and are stored in the system in condition records.
COND TYPE DESC ACC SEQ DESC
The access sequence is a search strategy, which the SAP System uses to search for condition records valid for a condition type.
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Access Sequence PR00 K004 K007 KF00 MWST Maintain Pricing Procedure
CHARMINAR STEEL CASTINGS LIMITED Procedure CSCL10 CSCL11 CSCL12 Description Direct Sales (Dealers) Institutional Exports
Pricing Procedure Determination for Company Code CSCL Charminar steel castings Limited Sales Org 1001 1001 1001 1001 1001 1001 Dist Channel 10 10 10 10 11 12 Division 10 11 12 13 11 13 Cust Pricing Doc. Pricing Proc Pricing Proc Proc A A A A A A 1 1 1 1 1 1 CSCL10 CSCL10 CSCL10 CSCL10 CSCL11 CSCL12 Condition Type PR00 PR00 PR00 PR00 PR00 PR00
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CONDITION TECHNIQUE:
CONDITION TABLE
ACCESS SEQUENCE
CONDITION RECORD
It is one of the elements to determine the pricing procedure. We specify the customer determination procedure in the customer master record for each sales area.
Document Pricing Procedure
It is also one of the elements to determine the pricing procedure. We specify the document pricing procedure for each sales document type. Sales area: We define sales area in enterprise structure.
MAINTAIN CONDITION RECORDS (VK11) We maintain Condition Records for pricing elements in VK11.
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Description Standard -
Description Inquiry Item Quotation Item Standard Item Third party item Free of charge Item Cash Sales Item Standard Item (Return)
Pricing X X X X X X
Carry out pricing: Indicates whether the system automatically carries out pricing at the item level Determine cost: Indicates whether, during pricing, the system determines the cost (stock value) of a sales document item.
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Item Category
Description
Determine Cost
Inquiry Item Quotation Item Standard Item Free of charge Item Cash Sale Item Standard Item (Return) Third party item
X X X X X
X X X X X X
3. 4. 5.
Condition Exclusion Group Condition Supplement Pricing Limit Scale Price Header, Item and Group Conditions.
TAXES: We define the defaults for tax calculation. In pricing the SAP System automatically calculates the taxes. Here tax classifications indicates at what level customer and material is liable for tax
Define Determination rules We define the rules for tax calculation. The SAP System determines the taxes automatically within pricing Define Regional codes We define the following indicators for tax calculation:
Country-specific regional codes (county codes), which represent, for example, states in the USA or counties in Great Britain Country-specific city codes
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We allocate the plants to a country, and if appropriate to a geographical region, a county/state code as well as a city code. The allocation always depends on the countries in which you are using the SAP System.
Define Tax relevancy for master record Customer Taxes Tax Cat Desc Tax Class Desc
MWST MWST
0 1
Material Taxes Tax Cat MWST MWST Desc Ouput tax Ouput tax Tax Class 0 1 Desc Exemption Taxable
REVENUE ACCOUNT DETERMINATION Check Master Data relevant for Account Assignment
Settings have to be maintained for Material account assignment group for account determination. For Charminar Steel Castings Limited, following configuration settings are maintained
Description
Finished Goods Trading Goods
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Settings have to be maintained for customer account assignment group for account determination. For Charminar steel castings Limited, following configuration settings are maintained Account Assignment Group
01 02
Description
Domestic Revenues Foreign Revenues
The purpose of defining the dependencies for the revenue account determination is to store the combination of criteria on which should depend in an account determination table. You can select the following criteria for an account determination table: Condition Type Chart Accounts Account group customer Account group material Account key Create the condition table used for account determination. When creating the condition table, remember that you have to select a key between 501 and 999 for the condition table. By defining access sequences and account determination types revenue account determination is made automatic. Using the, you define With which condition tables the SAP System is to access condition records In which sequence the condition tables are to be read With which field contents the are to be read In the account determination type, you define the control data and validity date.
Acc No 10 20 30 40 50 Table 601 602 603 604 605 Description Cust.Grp/MaterialGrp/AcctKey Cust.Grp/Account Key Material Grp/Acct Key Acct Key General
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The purpose is to define account determination procedures and allocate them to the billing types. In an account determination procedure, you define the sequence in which the SAP System should read the account determination types used for Revenue Account Determination. You allocate the account determination procedures to the billing types for which a corresponding account determination is to be carried out. Charminar Steel Castings Ltd. follows the standard condition type KOFI
Step 10 10 Cntr 1 2 Ctype KOFI KOFK Description Acct Determination Acct Determination with CO
The Purpose to define account keys is to allocate them to the condition types in the pricing procedures. With the account keys, you group together similar accounts in financial accounting. Using the account key, the SAP System finds the desired G/L Account. This way you can allocate a separate account key to each condition type within a pricing procedure to implement detailed revenue account determination. For example, you can allocate a freight condition to a freight revenue account, or a surcharge for packaging costs to a corresponding account for packaging revenues Account Keys
Account Key Description
The purpose is to allocate G/L accounts for revenue account determination. You have to make the allocation for every access sequence you have defined beforehand. A variety of criteria is valid for a G/L account, depending on the key combination. For the key combination "Customer Group/Material Group/Account key" a G/L account depending upon the following criteria, for example, is given:
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App V V V V
Application (key for SD application) Condition type Chart of accounts (from the module FI) Sales organization Account assignment group for Customer Account assignment group for Material Account key
Cndty KOFI KOFI KOFI KOFI Ch CSCL CSCL CSCL CSCL S Org 1001 1001 1001 1001 AAG C 01 01 01 01 AAG M 01 01 01 01 Actky ERL ERS ERF MWS G/L A/c NO G/L A/c No
CREDIT MANAGEMENT In business process credit sales is quite common to encourage the customer as well as slow moving goods. While generating credit to the customer, the business should be cautious other wise business may go bankrupt; so as to avoid these kinds of situations SAP delivers a feature called Credit Management Here we have centralized Credit Control Area to monitor the credit limit of the customer. The credit limit of the individual customer can be carried out through Automatic Credit Check by taking three factors in to consideration. Credit Control Area: Credit control area is an independent organizational unit, which is responsible to monitor credit of the customer, and it is defined in FI/CO module. Credit Control Area IACC
Description
Credit Control Area Risk Category: Classifying attributes for customers from the viewpoint of credit risk such as: - high risk category, medium risk category and low risk category, which is maintained in FI Customizing Risk Category Description 001 High Risk 002 Medium Risk 003 Low Risk
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Configuration Settings
Define Credit Groups
Credit group groups together different business transactions that at which document level credit check is going to be carried out, whether it is at
Credit Group 01 02 Document credit group Credit Group for Sales Order Credit Group Delivery
03 Credit Group for Goods Issue Assign Sales Documents and Delivery Documents Credit Limit Check for Order Types
SaTy OR RO
Check Cr D
Cr.Group 01 01
Description Credit Group for Order Level Credit Group for Order Level
Description
Check Credit Limit for Delivery Types DelTy Description Check Cr Description
Credit Gr.
LF LO
Delivery Dlv.W/O
D D
or or
Cr. Group
IACC
DETERMINE
Item Category TAN STANDARD ORDER BVN CASH SALES RO RUSH ORDER TAS THIRD PARTY ITEM TAK-MAKE TO ORDER
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Check Credit D D
The meaning of Check Credit is whether system has to carry out simple or automatic credit check as follow
DELIVERY TYPES
Del type LF LO LR LF LO LR
Description Outbound Delivery Returns Delivery without Reference Outbound Delivery Returns Delivery without Reference
Del Credit Gp 01 02 03 02 02 02
5.3 OUTPUT DETERMINATION Purpose: Outputs are an important media for communicating with Business Partners or with your own employees in sales processing. Sales and distribution output can be sent both electronically and by mail. Output control which is dependent on various criteria allows output to be processed and sent subject to certain conditions and restrictions. You have to define the following:
Rules of output determination Print parameters When the sending of output is to be initiated
You can use the condition technique to propose output in SD documents. This can be done according to criteria which you freely define. There are however some limitations to the
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condition technique in picking lists. For more information see the chapter on output determination for picking lists in the Implementation Guide. In this case, you can control output processing individually for each output recipient. Maintain Output Determination for Sales Documents Maintain Condition Tables
CONDITION TABLE 501 502 DESCRIPTION Sales Org/Customer Sales Org/Material
OUTPU T TYPE
AF00 AN00 BA00 K000 LP00 RD03
DESCRIPTION Inquiry Quotation Order Confirmation Contracts Scheduling Agreements Cash Sales
In this step, you assign the allowed output types to Partner Functions .In addition, you can specify the allowed type of output processing for the combination of output types and partner functions.
MAINTAIN OUTPUT DETERMINATION PROCEDURE DESCRIPTION
Inquiry Output Quotation output Order output Contract output Scheduling Agreement output Cash sales output Item output
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Here we assign output determination procedures to the documents. You may also specify an output type, which is to be displayed when the relevant document is displayed or changed.
MAINTAIN MASTER RECORDS. OUTPUT DETERMINATION FOR OUTBOUND DELIVERIES CONDITION TABLE CONDITION TABLES DESCRIPTIION
504
Sales Org/Customer
LD00
ACCESS SEQUENCE ACCESS SEQUENCE
Delivery Note
DESCRIPTION
Sales Org/Customer
ASSIGN OUTPUT TYPES TO PARTNER FUNCTIONS
In this step, you assign the allowed output types to Partner Functions. In addition, you can specify the allowed type of output processing for the combination of output types and partner functions.
OUTPUT PROCEDURE V08000 DETERMINATION PROCEDURE ASSIGN OUTPUT DETERMINATION PROCEDURES DESCRIPTION Delivery Output procedure
Here we assign output determination procedures to the documents. You may also specify an output type, which is to be displayed when the relevant document is displayed or changed.
OUTPUT DETERMINATION FOR BILLING DOCUMENTS
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CONDITON TABLE CONDITION TABLE 505 506 OUTPUT TYPES OUTPUT TYPE RD00 RD04 ACCESS SEQUENCE ACCESS SEQUENCE 602 DESCRIPTION Sales Org/Customer DESCRIPTION INVOICE INVOICE RECEIPT DESCRIPTION Sales Org/Customer Sales Org/Material
In this step, you assign the allowed output types to Partner Functions . In addition, you can specify the allowed type of output processing for the combination of output types and partner functions.
OUTPUT DETERMINATION PROCEDURES PROCEDURE V09000 DESCRITION BILLING
In this IMG activity, you define the rules for text determination. You must carry out the following steps:
Select a text object and define the rules for text determination for this object. Text objects are, for example, the sales texts in the customer master record or the sales document header.
Define the permitted Text Type for every text object. If the text types contained in the standard SAP R/3 System are not sufficient, create new ones.
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Define the Access sequence . This way, you define how the SAP System should determine the texts for a text type. Group the text types together in Text determination procedure. The SAP System then proposes the text types from the procedure when you maintain a customer master record or a sales & distribution document. The search for the respective text is carried out using the access sequence, which you have stored for each text type in the procedure.
Allocate the text determination procedures so that a procedure applies to the following criteria in each case:
Account Group customer Sales & distribution document type Item category
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You define the text types in this menu option. Different texts can exist for every text object. These are distinguished by there Text types. Sales note for the customer Shipping instructions Selection for shipping Marketing notes Customer text For every text type, you have to make the following definitions:
ID (key of the text type) Description (description of the text type) Include ID (not yet used) Display text name
In this IMG activity, you define the Access sequences, which the SAP System uses to determine the texts for a text object. Afterwards, you specify an Access sequence for the text search in the determination procedure for every text type. You only define access sequences for sales and distribution documents, not for customer master records. With an access sequence, you define the sequence and the requirements of the search used by the SAP System to find a text. NOTE: It is recommended to select the same text type for the text to be copied. For example, the text for the form header in the customer master record (text type 0001) should be copied into the text for form header of a sales document (text type 0001).
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The Text types of a text object are grouped together in Text determination procedures. You assign a text determination procedure using certain keys, for example, account group customer or sales document type. Afterwards you assign the defined text determination procedures as follows:
Text object Key
Customer master record Sales document header Sales document item Delivery header Delivery item Billing header Billing item CAS
Note
Account group Sales document type Item category Delivery type Item category Billing type Billing type CAS sales activity type
Currently you cannot set up your own error groups for the incompletion log for texts in customizing.
In the standard SAP R/3 System, error group "50" is defined for texts. The incompletion log takes it into account if the texts are additionally characterized as required in the procedure. 5.5 LOG OFF INCOMPLETION ITEMS
Purpose
To have complete Document, it doesnt effect to subsequent document. We define when a sales document or sales activity should be regarded as incomplete and how the system should respond when you create a document. The system can make an entry in the incompletion log for the following data:
GROUP DESCRIPTION
A B C D E F G
Sales-Header Sales-Item Sales-Schedule line Partner Sales Activity Delivery header Delivery Item
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10 11 12 14 15 16 17
Inquiry or Quotation Sales Order Outline Agreement Credit Memo Debit Memo Item Proposal Contract
SALES ITEM
Incomplete Procedure DESCRIPTION
20 21 22 23 24 33 35
Standard Item Credit/Debit memo Item Sched.Agreement Item Qty Contract Item Free Charge of Item Consignment/Ret.Pa ck. Contract Item
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07
DELIVERY HEADER INCOMPLETE PROCEDURE
Customer
DESCRIPTION
K0 K2
DELIVERY ITEM INCOMPLETE PROCEDURE
DESCRIPTION
L0 L2
ASSIGN INCOMPLETION PROCEDURE
We use status groups to define the status of incomplete sales and distribution documents. Then assign the status group to the fields in an incompletion procedure 5.6 AVAILABILITY CHECK & TRANSFER OF REQUIREMENT
Purpose:
Depending on the system configuration, the SAP System can check availability for every item in a sales document or delivery. Furthermore, it creates MRP records and passes them on to materials planning. The availability check is carried out at plant level.
TRANSFER OF REQUIREMENTS
The Transfer of requirements is basically dependent upon the following factors: Requirements Class Requirement Types Check group Schedule line category
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Purpose:
The requirement class controls the MRP and the requirements consumption strategy as well as the relevancy for planning.
Define Requirements Types Purpose:
Together with the item category and the MRP type of the material, an allocation to the individual transactions in sales and distribution is carried out by means of the requirements type. Requirements type. Every requirements type is allocated to a requirements class with its corresponding control features.
In the standard system, requirements types are determined according to a specific search strategy beginning with the material strategy group. Define procedure for each schedule line category In this IMG step, you specify for the respective schedule line categories of the sales documents whether an availability check and/or transfer of requirements should be carried out. These configurations are only relevant for the sales documents. Maintain Requirements for Transfer of Requirements: In this step you can maintain your own requirements for the transfer of Maintain requirements for purchase and assembly orders
Purpose: In this step you can maintain your own requirements for creating purchase requisitions.
requirements.
AVAILABILITY CHECK The availability check is controlled by means of the same elements as the transfer of requirements: Requirements class Requirements type Checking group Checking rule Schedule line category Strategy group Planning strategy
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In this step, make settings for planning and the availability check in ATP logic. Purpose: In this IMG activity, you define the checking group that the system proposes when you create a new material master record. You can overwrite the default value for the checking group in the material master record.
Carry out control for availability check
When specifying the inspection scope for a certain checking rule, you can currently select the following receipts and issues: Purchase orders Production orders Purchase requisitions Planned orders Dependent requirements Reservations Dependent reservations Sales requirements Delivery requirements SD requirements (= sales requirements and delivery requirements) reduce an available stock or inward stock movement on the material availability date so that other issues cannot access the reserved quantity. When specifying the inspection scope for a certain check rule, you can currently select the following stock elements:
Safety stock (to be maintained in material master record, MRP data) Stock in transfer in the receiving plant Stock in quality inspection Blocked stock
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The replenishment lead time specifies the time which is needed to order or produce a certain material. The system determines the replenishment lead-time as follows:
For internally procured materials the replenishment lead-time is determined from the in-house production time and the goods receipt processing time or alternatively from the total replenishment lead time, if it is specified. For externally procured materials the replenishment lead time is determined from the goods receipt processing time and the processing time for purchasing.
Define procedure by requirements class Purpose: In this IMG activity you define for each requirements class whether an availability check and/or transfer or requirements should be carried out. Define procedure for each schedule line category Purpose: In this IMG step, you specify for the respective schedule line categories of the sales documents whether an availability check and/or transfer of requirements should be carried out. These configurations are only relevant for the sales documents. Requirements The schedule line categories must already have been defined (see section Defining and allocating schedule line categories). The defined schedule line categories are automatically displayed for maintaining. Determine procedure for delivery item category Purpose:In this step, you can switch off the availability check for particular item categories in deliveries. The availability check should be switched off for transactions such as returns delivery. Checking rule for updating backorders Purpose: In this IMG step, you assign a checking rule to a plant. The checking rule specifies for the individual applications the checking rule according to which the availability check is carried out. The checking rule is described in the section "Carry out control of the availability check".
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Note:- The checking rule entered here is used in production planning. During backorder processing (CO06) and the availability overview (CO09), you should make sure that you are not using any checking rules that deviate from the SD configurations (checking rule A for orders and checking rule B for deliveries).
6.SALES CYCLE
6.1 SALES: Sales Document Types The sales document types represent the different business transactions in sales, such as inquiry processing, quotation processing, and consignment stock processing. Following sales document types have been defined for Charminar Steel Castings Limited
IN QT OR BV SO RE CR DR RK FD PV
Inquiry Quotation Standard Order Cash sale Rush Order Sales Returns Credit Memo Request Debit Memo Request Invoice Correction Request Delivery Free of Charge Item Proposal
A B C C C H K L K I D
Number Ranges When creating a sales document, a unique number is assigned which identifies the sales document. The number comes from the number range which is provided for the document type. There are two possible types of number assignment: Internal number assignment (The SAP System automatically assigns a consecutive number from the defined number range.) External number assignment (You specify a number from the external number range.)
Charminar steel castings Limited is following the internal number ranges only.
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Number ranges for sales document types (Comp code -) Sales Doc Type IN QT OR BV SO RE CR DR RK SD FD PV No Range 01 02 03 04 05 06 07 08 09 10 11 12 From Number 1 10001 20000 30001 40001 50001 60001 70001 80001 85001 90001 95001 To Number 10000 20000 30000 40000 50000 60000 70000 80000 85000 90000 95000 100000
Item Category
AFN AGN TAN TATX BVN REN G2N L2N TAS
Inquiry Item Quotation Item Standard Item Text Item Cash Sale Item Sales Return Item Credit Memo Request Debit Memo Request
Third Party Sales Individual Purchase TAB Order TAX Non - Stock Item PVN Item Proposal TAK Make to order
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Item Category Group The purpose for using the item category group is you group together different material types for item category determination. For every material type, you can define a default item category group which is proposed by the SAP System when you create a material master record. For Oil and Foods Limited following Item category groups are being maintained
Item Category Group NORM ERLA LUMF BANS BANC 0001 Description Standard Item Header Level BOM Item Level BOM Third Party Sales Individual Purchase Order Make to order
Item Category Usage The purpose to specify item category usages is to control the usage of an item. Item category usage controls, for example, the system response if during document processing an item does not refer to a material but to a text item. Item category usage can also be maintained via the item categories. For Charminar Steel Castings Limited following usages is maintained:
Item Category Usage TEXT Description Text Item
ASSIGNING ITEM CATEGORIES
The purpose of assigning item categories is to specify which item categories the system proposes during document processing for each sales document type and item category group. At the same time, you can specify additional item categories with which the system default can be overwritten. The system default and the allowed alternatives are always determined from the sales document type and one or two further criteria. The system default depends on the following criteria:
Sales Document Type Item Category Group Item Category Usage Item Category Of The Higher-Level Item
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The SAP System automatically copies the item category determined for a sales document item to the delivery. Item category assignment for Company Code - BFLC
Sales Doc Type IN QT OR OR OR OR BV SO RE PV OR Item Cat Grp NORM NORM NORM NORM BANS BANC NORM NORM NORM NORM 0001 TEXT Usage High Level Item Cat Grp ---TAN Item Cat AFN AGN TAN TATX TAS TAB BVN TAN REN PVN TAK Description Inquiry Item Quotation Item Standard Item Text Item Third party Individual Purchase Order Cash sales Rush order Sales Returns Item Proposal Make To order
SCHEDULE LINES
Charminar Steel Castings Limited is following Standard SAP Schedule line categories and assignments.
Item Cat AGN TAN REN TAS TAK LAN LNN TAL MRP Type ND PD Schedule Line BN CP DN CS CP F3 C3 E3
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The Purpose of defining copy controls is to control data for the GL Document Flow of Sales Documents. Here we can specify for a particular sales document type, which document type is to be assigned to copied reference documents, and which item categories or schedule line categories are to be copied. Sales Doc types to Sales Doc types for Company Code - CSLC
Target S Doc QT OR RE G2 L2 G2 L2 OR Description Standard Quotation Standard Order Returns Credit Memo Request Debit Memo Request Credit Memo Request Debit Memo Request Standard Order Source S Doc IN QT OR OR OR G2 L2 OR Description Standard Inquiry Standard Quotation Standard Order Standard Order Standard Order Credit Memo Request Debit Memo Request Standard Order
Billing Document types to Sales Doc types for Company Code CSLC G2 G2 L2 RK L2 Delivery
Outbound delivery supports all shipping activities including picking, packing, transportation and goods issue. During the outbound delivery process, shipping-planning information is recorded, status of shipping activities is monitored and data accumulated during shipping processing is documented. When the outbound delivery is created, the shipping activities, such as picking or delivery scheduling, are initiated, and data that is generated during shipping processing is included in the delivery.
Credit Memo Request Credit Memo Request Debit Memo Request Invoice correction request Debit Memo Request
F1 F1 F2 F2 F2
Delivery Processing
Charminar Steel Castings Limited has the need to do on-line release of goods to eliminate confusion whether it be product specific, customer specific, delivery hold, etc. The delivery serves as a basis for: Planning material requirements (MRP)
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Picking The process of grouping goods (materials) from the warehouse on the basis of sales orders, deliveries, or for staging materials for production. A reduction in warehouse stock due to a withdrawal of stock or the delivery of goods to a customer. The delivery forms the basis of goods issue posting. The data required for goods issue posting is copied from the delivery into the goods issue document. When the goods have left your plant, the business transaction is regarded as completed from the point of view of shipping. The material stock is reduced by the goods issue quantity and the corresponding value changes take place in accounting. This ensures that the quantity and value flows are parallel. Material requirements for the delivery are reduced The delivery status is updated Delivery documents used for Company Code CSCL
Doc Category J T J
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Item Category Determination for Deliveries Ddocty LF LO LR LF LO LR Itctrgr NORM NORM NORM NORM NORM NORM Usage Hgitctr Dfitctr TAN DLN REN TAN DLN REN
Sales doc types to Delivery doc types for the Company Code - CSCL: Target S Doc LF LR LF LF Source S Doc OR RE BV RO Description Standard Order Returns Cash Sale Rush Order
6.3 Billing A key functional area of SAP that provides information about customer contracts rebates, billing status, and accounts.
6.3 Billing Document Configuration
1. 2. 3. 4. 5. 6. 7.
8.
Check billing block Select type of invoice creation Create billing document from delivery / sales order Determine billing prices and taxes Determine rebate amounts and accrual rates Billing document relevant to accounting created Monitor billing document Send billing document
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Billing Documents
F2 G2 L2 LG LR LS S3 F5 F8 F1 BV SV
Number Ranges
Invoice Credit Memo Debit Memo Credit Memo List Invoice List Cancel Invoice List Cancellation Proforma Invoice for Order Proforma Invoice for Delivery Invoice Cash Sale Cancel cash sale
F2 G2 L2 LG LR LS S3 SV F5 F8 F1 BV
39 40 41 42 43 44 45 46 47 48 49 50
100000 200000 300000 400000 500000 600000 700000 800000 900000 1000000
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Source
F2 G2 L2 BV F5 F1 LR
Invoice Credit Memo Debit Memo Cash Sale Proforma Invoice for Order Invoice Returns
OR G2 L2 BV OR OR LR
Standard Order Credit Memo Request Debit Memo Request Cash Sale Standard Order Standard Order Returns
Delivery Doc to Billing Doc for the Company Code - CSCL: Target S Doc Source S Doc
Description
Description
F1 F1 F2 F2 LF F8 JX
Invoice Invoice Invoice Invoice Outbound Delivery Proforma Invoice for Invoice Excise Invoice India
LF LO LF LO RO LF LF
Delivery Delivery without Ref. Delivery Delivery without Ref. Rush Order Delivery Delivery
L2 LG G2 LR LR LS LS LS JX LR LS
Debit Memo Credit Memo List Credit Memo Invoice List Invoice List Cancel Inv List Cancel Inv List Cancel Inv List Excise Invoice India Invoice List Cancel Inv List
F2 G2 F2 F2 L2 F2 G2 L2 F2 F1 F1
Invoice Credit Memo Invoice Invoice Debit Memo Invoice Credit Memo Debit Memo Invoice Invoice Invoice
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CASH SALES
A cash sale is an order type for when the customer orders, picks up and pays for the goods immediately. The delivery is processed as soon as the order has been entered. A cash invoice can be printed immediately from the order and billing is related to the order. Receivables do not occur for the customer as they do for rush or standard orders, because the invoice amount is posted directly to a cash account. Sales document type BV is used for cash sales with immediate delivery type BV. Once the customer has received the goods and is satisfied with them, the transaction is considered to be complete. The system automatically processes the delivery in the background and prints out a cash sale invoice. The amount of the sale is processed later in an order-related billing transaction. The amount is posted to financial accounting, using the order number as reference. Because this is a cash sale, no invoice is produced during the billing run.
Cash sale Delivery Billing
RUSH ORDER In a rush order transaction, the customer picks up the goods or delivers the goods on the same day as the order is placed. When the sales document type save, a delivery is automatically created and billing is related to the delivery. Sales document type RO is saved for rush orders with immediate delivery type LF.
RUSH ORDER(RO) DELIVERY(LF)
SALES RETURNS
Charminar Steel Castings Limited requires the ability to process returns for defective goods/rework/wrong shipments etc. Charminar Steel Castings Limited has to improve the efficiency and turn around time in processing Returns Returns processes vary between Company and Distribution Channel
Returns Documents Configuration
1. 2. 3. 4.
Delivery for Returns Goods Receipt Processing for Returns Create Inbound Delivery Post goods Receipt
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Return of Goods from Dealer to Plant - Business Process Returns are created when distributor returns the goods to the company. Returns scenario is only applicable for sales to domestic market.
Return of Goods from Institutional Customer to Plant - Business Process Returns are created when customer returns the goods to the company and returns the gods to Plant. Returns scenario is only applicable for sales to domestic market.
In third-party order processing, your company does not deliver the items requested by a customer. Instead, you pass the order along to a third-party vendor who then ships the goods directly to the customer and bills you. A sales order may consist partly or wholly of third-party items. Occasionally, you may need to let a vendor deliver items you would normally deliver yourself. If you order products from a third-party vendor, who delivers the goods directly to you so that you can then deliver them to the customer yourself, you can use individual purchase order processing.
Processing Third-Party Orders in Sales
Third-party items can be created automatically by the system, depending on how your system is set. However, you can also change a standard item to a third-party item during sales processing manually.
If a material is always delivered from one or more third-party vendors, you can specify in the material master that the material is a third-party item. During subsequent sales order processing, the system automatically determines the appropriate item category for a third-party item: TAS. To specify a material as a third-party item, enter BANS in the Item category group field in the Sales 2 screen of the material master record.
In the case of a material that you normally deliver yourself but occasionally need to order from a third-party vendor, you can overwrite the item category during sales order processing. For a material that you normally deliver yourself, you specify the item category group NORM in the material master. If, as an exception, you use a third-party material, change the entry TAN to TAS in the ItCa field when processing the sales document. The item is then processed as third-party item.
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When you save a sales order that contains one or more third-party items, the system automatically creates a purchase requisition in Purchasing. Each third-party item in a sales order automatically generates a corresponding purchase requisition item. During creation of the requisition, the system automatically determines a vendor for each requisition item. If a sales order item has more than one schedule line, the system creates a purchase requisition item for each schedule line.
Comparing Purchasing Data with Sales Data
You can create a list of all sales orders with third party items for which there are discrepancies between the quantities ordered, invoiced, canceled, or credited in Sales and the quantities ordered, invoiced or credited in Purchasing.
ITEM CATEGORY DETERMINATIONS SATY OR YOR ITCATGR BANS BANS ITEMUSAGE HGLVLITCTR DFITCTR TAS TAS
BILL OF MATERIAL (BOM) Charminar Steel Castings Limited is using the BOM for its finished products and the subcomponents it is comprised of and the pricing of different sub items of its Consumables.
In Processing we maintain pricing. We maintain Inventory and Pricing for Sub-items. Main item, which is composed by sub items, may not involve in either pricing/inventory. Based on the sub-items selected the system displays price of the main item.
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When maintaining pricing For main item, the Item Category Group of the should be ERLA. When maintaining Pricing of sub-item For sub-items the Item Category Group of the should LUMF
When it is Main Item processing Item Category Group ERLA and main item Item Category is TAQ and Sub-item Item Category is TAE. When it is Sub-Item processing Item Category Group LUMF and main item Item Category is TAP and sub-item Item Category is TAN. The TC code to create the BOM is CS01. In this we are assigning sub-component as a stock item to main item. In Material Master Record(MMR) Sales Org. 2 Screen we maintain under the General Item Category group :
Item Category Group: NORM ERLA (Main Item Processing) LUMF (Sub-Item Processing)
Item Category Determination for BOM SATY Itctrgr ItemUsage Hg.it.ctlvl Dfitmcat
OR OR YOR YOR
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7. BUSINESS SCENARIO 1
Sales from plant to International MARKET Process: For New Inquiries SCENARIO A
This scenario covers creation of quantity-based contract for Make to Order based orders received from customers from overseas market. A typical Quantity contract may have the following components: Target quantity of the products with relevant prices. The release order will be created as per customer requirement and subsequently billing to be done. Business Process: Create Inquiry Create Excise Bond
Create Quotation
Create ARE 1
Post ARE 1
Print ARE 1
Update ARE 1
Closing ARE 1
RG1 Entry
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SCENARIO B Process: For Existing Contracts A typical Quantity contract may have the following components: Target quantity of the products. Fixed price for the quantity. The release order will be created as per customer requirement and subsequently billing to be done. Business Process:
Create Excise Bond Create Production Order Create ARE 1 Create Release Order Post ARE 1
Quantity Contract
Print ARE 1
Closing ARE 1
RG1 Entry
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CREATION OF QUANTITY CONTRACT Creation of quantity contract by setting a target quantity at header level and entering the items with basic information with prices but no schedule of specific delivery dates and quantities. Release order will be created against the quantity contract and subsequently billing will be done. During creation of release orders, items selection will be done based on target quantity. Quantity contract provides the feature to check the released quantity as needed against the target quantity. A check on the target quantity will be put so that release order cannot be made once the target quantity is reached. The target quantity may be changed later after agreement with the customer. creation of released order
CREATE CONTRACT RELEASE ORDER 1
BILLING
RELEASE ORDER 2
Taking a reference of a quantity contract using transaction VA01 will create release Orders. This will help in selecting individual items from the target quantity. Billing will be done after release the release order using transaction VF01.
Billing
Billing will be done using transaction VF01 for the release order created against a quantity contract. Billing type F2 will be used for order related billing.
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8. BUSINESS SCENARIO 2
SALE FROM PLANT TO DOMESTIC MARKET
SCENARIO A: Sale from Plant to Domestic Market
Business Process
This scenario covers creation of sales orders for the Domestic for all over India from all the Hyderabad plants.
The Sales Order will be created based on purchase order received from the Domectis market.
Additional items and rates will be decided as per the price list maintained for the domestic Market. Discounts & Schemes, if any to be kept in the sales order. Payment terms to be mentioned in the sales order.
Create Sales Order
Business Process:
Updation of RG1 Register
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9. BUSINESS SCENARIO 3
STOCK TRANSFER FROM PLANT TO PLANT
Scenario a: INTRACOMPANY PLANT TO PLANT STOCK TRANSFER
Business Process This scenario covers delivery of goods from one plant to another with in the same company. Business Process:
Plant Hyderabad
Create Stock Transfer Order
Plant Hyderabad
Create Purchase Order
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Scenario B:
Business Process This scenario covers stock transfer of goods from one manufacturing plant to another manufacturing plant. In Charminar Steels Limited two manufacturing plants, bothof them in Hyderabad . Business Process:
At Plant Hyderabad
Create Stock Transfer Order
At Plant Hyderabad
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Business Process Returns are created when distributor returns the goods to the company. Returns scenario is only applicable for sales to domestic market.
RG23D Entry
Credit Memo
Business Process
Returns are created when customer returns the goods to the company and returns the gods to Plant.
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Quotation
Order
Production Order
Outbound Delivery
Stock Creation
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13.REPORTS
Reports can be generated in SD module from Sales Information System (SIS), which have a standardized interface and similar basic functionality. SIS is based on information structures. These statistics tables contain transactional data from the different applications. This data is constantly collected and updated by the System.
REPORTS REQUIRED FOR CHARMINAR STEEL CASTINGS LTD.
Customer and material wise reports. Sales documents status wise reports such as sales order, delivery, billing etc. Sales Area wise reports. (export & Imports) Sales employee wise reports List of items with qty. already released against quantity contract. Cumulative invoice status quarterly/half yearly/annually against the contract. Payment received status customer wise/Business Area wise. Payment outstanding status customer wise/Business Area wise. Sales Report (Dealer Wise with cumulative past sales history) (Customized report) List of items with qty. already released against different release orders of a contract. Cumulative invoice status quarterly/half yearly/annually against the contract. Billing status customer wise / Business Area wise. Payment receipt status customer wise/Business Area wise. Payment outstanding status customer wise/Business Area wise.
Reporting Requirement
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Material Statistical Group MATERIAL STAT. GROUP 1 2 DESCRIPTION `A Material group `B Material group
The Following rules are used for Sales Information Structure: In charminar steel casting Limited we are following the rules for updating the data of the sales documents into SIS. They are
UPDATING RULES DESCRIPTION
Sales doc. Delivery doc. Billing doc. Return order, Return delivery, Credit Memo Third party: Sales Document, Delivery, billling document, Return order, Return Delivery, Credit memo Deliveries where preceding doc. Is purchase order Returns deliveries where preceding doc. is purchase order
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15.GAPS IDENTIFIED
Customers advance payments in the form of deposits to be reflected in the Invoice.
Sales Persons Employe ID to be reflected in the Invoice raised. Company logo and Terms and Conditions to be reflected in the Invoice. Billing doc no. and accounting no should be same. Customers One time deposit to be reflected in the Customer Master.
First ,Second and Third gaps will be address in the following way.
Customers advance payments to be reflected in the Invoice in Make to order scenario. Sales Persons Employee ID to be reflected in the Invoice. Company logo and Terms and Conditions to be reflected in the Invoice
INVOICE FORMAT
INVOICE
Address:--------------------------------------------------------------------
-------
Customer No Xxxxxx SALES PERSONNEL IDNO Xxxxxx CUSTOMER ADVANCE PAYMENT RS xxxxxx
Terms Of Payment Upto date. xxxxxxx without deduction currency INR Terms of Delivery xxxxxxxxxxx Weight \Volume selection Gross weight xxxxxx units xxxxxx Net weight xxxxxx units xxxxxx
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ITEM
MATERIAL DESCRIPTION
XXXXX
INTEGRATION WITH OTHER MODULES FINANCE&CONTROLLING (FI/CO): 1.SALES ORGANISATION ASSIGNING TO COMPANY CODE:
Sales Org
Description
CSCL company code
2.ACCOUNT GROUPS
0001 Sold to Party 0002 Ship to Party 0003 Payer 0004 Bill to Party 0005 Export Agent
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ACCOUNT GROUP
PARTENER FUNCTIONS
SP SH PY BP EA
CREDIT CONTROL AREA
Direct Sales Direct Sales Direct Sales Direct sales Institutional Sales Export Sales
CREDIT GROUP
CREDIT CONTROL
01 02 03
CR.GR. FOR SALES ORDER CR.GR.FOR DELIVERIES CR.GR. FOR GOODS ISSUE
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V V V V V V V V V V V V
KOFI KOFI KOFI KOFI KOFI KOFI KOFI KOFI KOFI KOFI KOFI KOFI
SORG SORG SORG SORG SORG SORG SORG SORG SORG SORG SORG SORG
01 01 01 01 02 02 02 02 01 01 01 01
01 01 01 01 01 01 01 01 02 02 02 02
ERL ERS ERF MWS ERL ERS ERF MWS ERL ERS ERF MWS
General data Payment transactions Company code Account management Payment transactions Correspondence Insurance Sales area data Terms of payment Tax codes
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PRODUCTION PLANNING (PP); 1. AILABILITY CHECK AND TRANSFER OF REQUIREMENTS Item Cat MRP Type AGN TAN REN TAS TAK LAN LNN TAL ND PD Schedule Line BN CP DN CS CP F3 C3 E3
Sales/General plant Gross Weight Net Weight Material Management(MM): 1. MATERIAL MASTER RECORD Sales Org 1 Fields Sales Unit Delivery Plant Material Group Division Tax Data Minimum Order Qty Minimum Deliver Qty Delivery Unit Rounding Profile
Sales /General Plant
Availability Check Transport Group Loading Group Material Group Packing Materials Sales text Customer text Material text CUSTOMER MASTER: Billing documents incoterms
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Chapter
4
Production Planning
Production Planning the Heart of the operations module and is the essence of implementing SAP. Cost Cutting and Efficient Use of Resource
roduction Planning is where the logistics of the Shop Floor is taken Care. This is where important elements like functioning of Shop Floor, Planning of the Material, Designing of Production Scheduled Etc. In Production Planning Sales Data from the Sales and Distribution is used for Planning and After a Cross check with cross modules will be Production Planning will plan the production of Shop Floor.
I C O N K E Y
Overview In Production Planning Material Requirement Is Planned. Operations are Bill Of Materials Planned in response to the Orders from Sales and Distribution, Shop Floor Activities Like Production Orders, Creation, Release, Confirmation are Production Orders taken Care of. Demand Management is Done and Material Requirement Shop Floor Control Planning Elements are Taken care Off.. Production Planning Module Sales and Operations Plan integrates with various other modules like Finance and Controlling, Material Management, Sales And Distribution in various Regards pf the Functioning of the Organization.
Configuration In Production Planning Bill Of Materials Are Designed and Configured, Work Centers are Mapped and Configured and Routing of the materials is charted out and configured. Functioning of the module involved in various key elements of the organization, which influences the performance and costing of the company.
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Index
1. Introduction 2. Purpose 3. Scope 4. Business Benefits 5. Organization 6. Master Data 6.1. Material Master 6.2. Bill Of Material 6.3. Work Center 6.4. Routing 7. Production Planning 7.1. Sales & Operations Planning 7.2. Demand Management 8. Material Requirement Planning 8.1 MRP Control Parameters 8.2 MRP Out Put 8.3 Consumption Based Planning 8.4 Planned Orders Processing 9. Shop Floor Control 9.1. Production Order 9.2. Production Order Creation 9.3. Release Of Production Order 9.4. Order Confirmation 9.5. Print Out Of Production Order 10. Batch Management 10.1 Purpose 10.2 Features 10.3 Classification 11. Reports 12. Gaps 12.1 Identification Of Gaps 12.2 Addressing Of Gaps 149 149
150
166 171
175
182
183 187
Annexure - 1 Annexure - 2
191 192
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1. MASTER DATA
MATERIALS Types
:
Sr. No. Material Type
Description
1 2 3 4 5 6 7 08 09 10 11 12 13 14
ROH HALB FERT ERSA VERP PIPE FHMI UNBW NLAG ABF DEN PROD VKHM WERB
Raw Materials Semi Finished Products Finished Products Spare parts Packing Material Pipeline Material Production resources / Tools NonValuated Materials NonStock Materials Waste Service Product groups Additional Product catalogs
1.1. MATERIAL MASTER For Plant 1 Domestic The materials are categorized into three types namely i. ii. iii. Finished Product Semi-Finished Products Raw Materials
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FI NI SHED
PRODUCTS
Category
Product code DDE-REA143/07 DDE-ROA144/07 Defense DDE-PIB144/07 DDE-PIC145/07 EKE-PIC12/07 DMM-PIA12/07 DMM-PIB12/07 Engineering/ Automobile DMM-PIC12/07 DTA-PIA25/07 DMM-COA12/07 DYR-LIV1/07 DYR-LIU1/07 Surgical DYR-LIU2/07 DYR-LIU3/07 DYR-LIK03/07 DOG-PIS1/07 ESH-VLV02/07 Oil and Gas ESH-VLV03/07 ESH-VLU03/07 ESH-VLU04/07
Description Pistol Body Revolver Body Fire Arm Rifle bracket 2.84Gun body Switch Gear Housing gear Machine tool Loom part wippe Knee Cap A M Tail A M Head Lever Arm Mobilty 135 Pressure valve Beel typre body Lantern ring flange Gas valve
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RAW
MATERI ALS
This is the List of aw Materials Used In Charminar Steel Castings and are sorted Section wise Raw Material Filled Wax Waxing Paraffin Wax Re-Used Wax Zircon Floor Colloidal Silica 1 Trichlorine Ethelyne 2 Pre Coat Laboline Pctonil Zircon Sand Gorg 200 Shell Building 16/30 Malachite 30/30 Malachite Carbon Silicon Manganese Chromium Molybdenum Melting Vanadium Copper Titanium MS(Scrap) SS(Scrap) Cobalt Section Used
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SEMI
FI NI SHED
PRODUCTS
Work Center Semi Finished for reference Waxing Wax Pattern Runner Bars Risers Assembly Assembly Tree Pre Coat Slurry(Precoat) Pre Coated 1 Sheel Precoated 2 Shell Shell Building Shell Building 16/30 Shell Building 30/30 Slurry(Shell Building) De-Waxing De-Waxed Shell Pre Heat Pre Heated Shell De-Waxed & Pre heated Shell Charge(MS + Alloys) Charge(SS + Alloys) Melting Charge(Re-cycled MS + SS) Fettling Chemical Composition Casted Castings
Casted Shell
Castings
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Bills of material (BOMs) and routings contain essential master data for integrated materials management and production control. In the design department, a new product is designed such that it is suitable for production and for its intended purpose. The result of this product phase is drawings and a list of all the parts required to produce the product. This list is the bill of material. The data stored in bills of material serves as a basis for production planning activities such as: A design department (working with CAD) can base its work on bills of material. You can also create a BOM in the R/3 System from your CAD program, via the SAP-CAD interface. A material requirements planning (MRP) department explodes bills of material on a certain date to calculate cost-effective order quantities for materials. A work-scheduling department uses bills of material as a basis for operation planning and production control.
A production order management department uses bills of material to plan the provision of materials.
Finish and Semi Finished Products Pistol A M Body Tail Loom part Flange 1Tree= 10nos 0.80%
Selling Cost In Rs Material Sr. No GR Raw Material 1 Filled wax 2 Paraffin Wax 3 Re-used wax 4 Zircon Flour 5 Colloidal silica 1
800 U/M Kg Kg Kg Kg Lit Purchase Cost In Rs. 120 74 53.82 17.5 Qty. 2 1 1 0.1 0.1
1600 1000 Qty. 2.25 1.25 1.25 0.2 0.15 Qty. 2.35 1.5 1.5 0.25 0.2
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6 Zircon Sand 7 Grog 200 8 16/30 Molachite 9 30/80 Molachite 10 Carbon 11 Silicon 12 Manganese 13 Chromium 14 Nickel 15 Molybdenum 16 MS (scrap) 17 SS (scrap)
18 Re-Used
Kg Kg Kg Kg Kg Kg Kg Kg Kg Kg Kg Kg. Kg Kg KW hr Kg 1 no.
0.6 0.25 2.25 2.25 0.006 0.1 0.2 1.8 1.25 0.25 17.79
0.8 0.35 2.5 2.5 0.04 0.023 0.065 0.103 0.03 14.74
9.6
23.47
138
40 13.7 0.08
40 13.1 0.1
42 13.5 0.12
45 13.6 0.15
Chromium Nickel Molyb Total SS denum Vane MS Tree dium Scrap Scrap Cobolt Weight
Defense
Revolver Body Rocker Arm Pistol Body Pistol Trigger LMG Bracket
40 41 50 60 20
45 40 55 65 40
75 65 75 100 70
17 40
DMM-PIM55/07
Forward Gear
40 55 40 40 35 35 8 15 6
Engineering/ DMM-PIB12/07 Gear Insert Automobiles DMM-PIC12/07 Piston Ring DTA-PIA25/07 Loom Part DMM-COA12/07 Piston DYR-LIV1/07 DYR-LIU1/07 DYR-LIU2/07 DYR-LIU3/07 Knee Cap Knee Joint Mobility Joint Am Tail
100 103
30 28
Surgical
100 17742 16365 20000 18535 20000 17644 20000 17792 20000
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Storage Locations:
Sr. No Plants Description Nomenclature in sap
01 02 03 04 05 06 07 08 09 10 11 12
INTEGRATION
Raw Material storage Spare parts storage DOMESTIC Finished Products storage Plant Recycled wax Recycled Metal Scrap storage Raw Material storage Spare parts storage Finished Products storage EXPORT Plant Recycled wax Recycled Metal Scrap storage
SD10 SD20 SD30 SD40 SD50 SD60 SE10 SE20 SE30 SE40 SE50 SE60
The data stored in bills of material is also used in other activities in a company such as: Material Management (MM) Reservation and goods issue Finance and Controlling (FI / CO) Product costing To calculate the costs of materials required for a specific product 6.3. WORK CENTER The work centers represent the different processing centers or production line responsible for the production of the finished product. Processing of the work centers involves the maintenance of the following data: Basic Data Capacity data Scheduling data Costing data Operations are carried out at a work center. It is categorized as follows o o o Machines, machine groups Production lines Assembly work centers
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The different screens are controlled by the work center category, whereas the capacity data is differentiated according to the capacity category. The basic data view includes the description of the work center, the task list usage and the standard value key. The usage describes the usability of the work center in routings or other task lists. The standard value key supports the parameters, which represent the individual operational segments like machining and labor etc. The capacity view contains all the data for the availability of the capacity and the different formulas for the capacity requirement calculation. The scheduling view contains the scheduling data. The cost center view contains the costing data. Work Centers and Machinery Plant wise
Name Of The Work Center Design And Development
Plant 1 And 2 CDDDW Plant 1& 2 Category Plant 1& 2 Activity type
CNC Lathe Machine 1 CNC Lathe Machine2 Milling Machine1 Machines Milling Machine2 Drilling Machine Die Making Machine Vernier Height Guage Slip Guage Vernier Calipurse Instruments Digital Micro Meter Measurement Guage 1 Measurement Guage 2 Measurement Guage 3 Surface Base Plate
CDDDM101 CDDDM102 CDDDM103 CDDDM104 CDDDM105 CDDDM106 CDDDI101 CDDDI102 CDDDI103 CDDDI104 CDDDI105 CDDDI106 CDDDI107 CDDDI108 Instrument Testing Time, Lab time Machine Set, Mach, Labour, Power
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Waxing Plant 2 Plant 1 & 2 BCT in Work Activity Hrs/batc center type h) category 4 4 4 2 2 4 4 4 4 1 1 4 4 4 2 2 4 4 4 4 1 Instrument 1 Testing time, Lab time Machine Setup, Machine, Labour, Power
Waxing 35 Ton Wax Injection Machine 12 Ton Wax injection Machine 10 Ton Wax injection Machine Wax Melting Tank (Used Wax) Fresh Wax melting Tank Pneumatic Wax Machine Water Cooler for Wax m/c cooling Drying machine 1 HP Single Air Compressor Vernier Caliper, Micro Meter,
CDWPW1 CEWPW1
CDWPM201 CEWPM201 CDWPM202 CEWPM202 CDWPM203 CEWPM203 CDWPM204 CEWPM204 CDWPM205 CEWPM205 CDWPM206 CEWPM206 CDWPM207 CEWPM207 CDWPM208 CEWPM208 CDWPM209 CEWPM209 CDWPI201 CDWPI202 CEWPI201 CEWPI201
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PreCoat 1
Plant 1 Plant 2 Plant 1 Plant 2 BCT in Hrs/batch
Plant 1 & 2
Category
CDPCW1 CEPCW1
Activity type
4 4 2 setup, 1 Mach labour, ine machine, power 1 1 2 1 1 Instru ment Testing, labour
4
CDPCM402 CEPCM402
2
CDPCM403 CEPCM403
1 Sand Raining Machine CDPCM404 CEPCM404 Wall Mounted Air Circulating Machine CDPCM405 CEPCM405 Slurry Mixing Machines CDPCM406 CEPCM406 2 Wax De Waxing Tank CDPCM407 CEPCM407 1 1 1
B4 Cup, Dry and wet Instruments temperature Indicator, Digital Hydro Meter
CDPCI401 CEPCI401
1
CDPCI402 CEPCI402
1
CDPCI403 CEPCI403
plant1& 2 Work center Activity category Types Assembly Line CDALW CEALMW BCT in Hrs/batch 4 Setup, 4 Soldering Guns CDALM301 CEALM301 machine, Machine 2 2 labour, Assembly Making power Machine CDALM302 CEALM302
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Pre Coat 2 Plant 1 CDPCW2 Plant 2 CEPCW2 plant 1& 2 Plant 1 Plant 2 BCT in Work Hrs/batch center Activity category Type
CDPCM50 1 CEPCM501 CDPCM50 Slurry tank 2 CEPCM502 Pre Coat CDPCM50 CEPCM503 Slurry Tank 3 Sand Raining CDPCM50 CEPCM504 Machine 4 Machine Wall Mounted Air CDPCM50 Circulating 5 CEPCM505 Machine Slurry Mixing CDPCM50 Machines 6 CEPCM506 Wax De CDPCM50 CEPCM507 Waxing Tank 7 Slurry tank B4 Cup, CDPCI501 CEPCI501 Dry and wet Instru temperature ments CDPCI502 CEPCI502 Indicator, Digital Hydro Meter CDPCI503 CEPCI503
Name Of The Work Center Plant 1 Shell Building 1 Slurry Making Machine, Plant 2
4 4 2 1 1
1 2 1 1 1
Hrs/batch
2
Type 2 Machine
Setup,labour, machine, power
4 2
4 2
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Shell Building 2 Plant 1 Plant 2 Plant 1 & 2 Plant 1 Plant 2 BCT in Categor Shell Building CDSB Activity Hrs/batch y 2 W2 CESBW2 type 2 2 Slurry Making CDSBM CESBM70 Machine, 701 1 setup, 4 4 Machine Ceramic Sand labour, Machine CDSB CESBM6 Raining machine, s M602 02 Machine power
De Waxing
Plant Plant Plant 1 & 2 1 2 CDDWW CEDWW BCT in Activity Hrs/batch category type 1 1 CDDWM8 CEDWM 2 2 01 801 setup, CDDWM CEDW labour, 2 2 Machine machine, 802 M802 power CDDWM CEDW Plant 1 Plant 2
803
M803
Pre Heat 1
Plant 1 Pre Heat Diesel Fired Machine Furnace s Diesel Fired Furnace CDPHW1
Plant 2 CEPHW1
CDPHM850 CEPHM850
CDPHM851 CEPHM851
Pla Plant 2 Plant 1 & 2 nt 1 Activity BCT in Category type Hrs/batch 2 2 Setup, Machine labor, 2 2 machine
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Melting
Plant 1 Plant 2
CEMSW1 1 CDMSM881 CEMSM881 1
Plant 1 Plant 2
BCT in Hrs/batch Category Activity type
CDMSW1
Induction Melting F/C 35Kg CDMSM882 CEMSM882 Induction Melting F/C 75 Kg CDMSM883 CEMSM883
Machine
2 3 1 1 1 1 1
2 3 1
Machine Setup, Machine, Labour, Power
Diesel Fired Furnace1 CDMSM884 CEMSM884 Diesel Fired Furnace2 CDMSM885 CEMSM885 Diesel Fired Furnace3 CDMSM886 CEMSM886 1HP Single Head Air Compressor CDMSM887 CEMSM887 WaterSoftening Plant CDMSM888 CEMSM888
1 1 1 1
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Fettling
Plant Plant 1 2 Plant 1 & 2
CDFE W1 Shot Blasting CDFEM Machine1 901 Shot Blasting CDFEM Machine 2 902 Shot Blasting CDFEM Machine3 903 Belt Polishing CDFEM Machine1 904 Belt Polishing CDFEM Machine2 905 Belt Polishing CDFEM Machine3 906 CDFEM Pneumatic Gun1 907 CDFEM Pneumatic Gun2 908 CDFEM Pneumatic Gun3 909 Machin CDFEM es Pneumatic Gun4 910 CDFEM Pneumatic Guns5 911 Electric Heat CDFEM Treatment 912 Furnace2 CDFEM Muffle Furnace 913 CDFEM Virgo (Electric) 914 Cuttinv CDFEM MachineX2) 915 Hydraullic Press CDFEM Machine 916 Shelll Knocking CDFEM Machine 917 CDFEM Chain Pulley Block 918
BCT in Catego Activit Hrs/b ry y CEFE atch type W1 CEFEM 1 1 901 CEFEM 1 1 902 CEFEM 1 1 903 CEFEM 1 1 904 CEFEM 1 1 905 CEFEM 1 1 906 CEFEM 1 1 907 CEFEM 1 1 908 setup, CEFEM 1 1 labour, 909 Mac CEFEM 1 1 hine machi ne 910 ,power CEFEM 1 1 911 4 4 CEFEM 912 CEFEM 1 1 913 CEFEM 1 1 914 CEFEM 1 1 915 CEFEM 1 1 916 CEFEM 1 1 917 CEFEM 918
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Tensile Testing Machine Brinell Hardness Testing Machine Rockwell Hardness Testing Machine Impact Testing Machin Machine e Spectro Meter Crack Detection Machine (Magnetic Machine) Crack Detection Machine (Dye Penetrant) Digita Verneir Calipurse Digital Micrometer Instru Guage 1 ments Guage 2 Guage 3 Gauge 4
Quality Assurence Plant 1 & 2 Plant Plant 1 2 Plant 1 Plant 2 BCT in Category Hrs/batc Activity CDQMW1 CEQMW1 h types CDQMM95 CEQMM95 1 1 1 1 CDQMM95 CEQMM95 1 1 2 2 CDQMM95 CEQMM95 3 3 CDQMM95 CEQMM95 4 4 CDQMM95 CEQMM95 5 5 CDQMM95 CEQMM95 6 6 CDQMM95 CEQMM95 7 7 CDQMI950 CEQMI950 CDQMI951 CEQMI951 CDQMI952 CEQMI952 CDQMI953 CEQMI953 CDQMI954 CEQMI954 CDQMI955 CEQMI955 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 Testing Testing time, Instruments Labour time Testing Machines Testing time, Labor time, power
SHIFT AND SHIFT SEQUENCE The available capacity of a shift is defined by the following data: Shift start, shift end, break times Capacity utilization rate Number of individual capacities
Shift start, shift end and break times can be manually maintained in capacity. You can however also use shift
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Shift definition In a shift definition you define the start, finish, break times, and validity period of a shift.
Shift sequence
In a shift sequence, you define how shifts follow another on a daily basis for the duration of a Cycle. You use shift definitions to do this.
The following graphic illustrates the principle of shift definitions and shift sequences:
INTEGRATION Human Resource (HR) A Logistics work center can be assigned to either an organizational unit or a work center in the Human Resource Management System (HRMS). Assignments to other HR-objects, for example employees or qualifications, can be maintained via the HR work center. Finance and Controlling (FI / CO)
Costing
Formulas are entered in the work center, so that the costs of an operation can be calculated. A work center is also assigned to a production cost center and the production cost center has been assigned to appropriate activity types. The prices for these activity quantities are calculated using the activity prices.
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6.4. ROUTING Routings enable you to plan the production of materials (products). Therefore, routings are used as a template for production orders and run schedules as well as a basis for product costing. As the production scenario in plant1, plant3 and plant1 (auto-components) is of discrete manufacturing, so normal routing is considered for the above plants.
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Routing
Plant 1
Plant 2
CDDDW CEWPW1 CEALW1 CEPCW1 CEPCW2 CESBW1 CESBW2 CEDWW1 CEPHW1 CEMLW1 CEFEW1 CEHTW1 CEFIW1 CEQAW1 CEPKW1
Design & Development Waxing Assembly Pre Coat 1 Pre Coat 2 Shell building 16/30 Shell Building 30/80 De Waxing Pre Heat Melting Fettling Heat Treatment Finishing Testing Packing
CDWPW1 CDALW1 CDPCW1 CDPCW2 CDSBW1 CDSBW2 CDDWW1 CDPHW1 CDMLW1 CDFEW1 CDHTW1 CDFIW1 CDQAW1 CDPKW1
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Rate Routing A routing for whose operations the production quantity and a fixed duration has been defined. Thus the production rate is also defined. Rate routing is considered for plant 1 (Domestic) as it purely involves repetitive manufacturing scenario.
Plant wise list Of Production Resource Tools for Plant 1.
Sr.No 1. 2. 3. 4. 5. 6. 7. 8. 9. 10 11 12 13
PRTs Pistol Body Die A M Tail Die Loom Part Die Flange Die Weighing Balance Trolleys Lift Samplers Temp Indicator B4 cup Vernier caliper Micro Meter Pressure Indicator
U/M Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos
Pistol Body 1
AM Tail
Loom part
Flange
1 1 1 1 1 1 10 10 1 1 1 1 1 1 1 10 10 1 1 1 1 1 1 1 15 10 1 1 1 1 1 1 1 10 10 1 1 1 1
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Sr. No
PRTs
U/M
Pistol Ring
Knee Joint
Pressure Valve
1 2 3 4 5 6 7 8 9 10
11
Pistol Ring Die Knee Joint Die Pressure Valve Die Bell type Body Die Weighing Balance Trolleys Lift Samplers Temp Indicator B4 cup Vernier caliper Micro Meter Pressure Indicator
Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos Nos
1 1 1 1 1 1 1 10 10 1 1 1 1 1 1 1 10 10 1 1 1 1 1 1 1 15 10 1 1 1 1 1 1 1 10 10 1 1 1 1
11
12
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INTEGRATION Material Management (MM) Plan the usage of materials Plan the external processing of operations Finance and Controlling (FI / CO) Prepare cost calculation according to routings
7. PRODUCTION PLANNING
7.1SALES & OPERATIONS PLANNING (SOP)
Sales & Operations Planning (SOP) is a flexible forecasting and planning tool with which sales, production, and other supply chain targets can be set on the basis of historical, existing, and estimated future data. Rough-cut planning can also be carried out to determine the amounts of the capacities and other resources required to meet these targets. SOP is particularly suitable for long- and medium-term planning.
For planning purpose, the required sales plan can be gathered from various sources like Forecasting, Sales Information Systems and Co-PA (Cost-Profitability analysis) or can be created manually.
Based on sales plan, the production plan is created and the requirements are then transferred to demand management.
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PLANT 1: This is a domestic plant. Here we use strategy 40 i.e planning with final assembly. In this PIRs are created based on the forecast of sales plan and sets the targets for the future. Transaction code: MC87
Planned Order
Conversion of Planned Order to Prod. Order/ Purchase Order Check Availability
Components
Capacity
Purchase Req.
Purchase order
Y
Production Order
Order Release
Confirmation CO15/CO11N
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Order Settleme
PLANT2: This is an export plan. Here we use strategy 20 i.e make to order. In this plant SOP is not maintained as production depends on sales orders only. Make-to-Order - 20
INTEGRATION Sales and Distribution (SD) SOP constitutes the planning functionality of the LIS information systems. SOP plans are passed on to Demand Management in the form of independent requirements. In turn, this data is fed to Master Production Scheduling and Material Requirements Planning. Finance and Controlling (FI/CO) An interface with Profitability Analysis (CO-PA) allows using CO-PA data as the basis for sales planning in SOP. SOP results are passed on to Profitability Analysis (CO-PA), Cost Center Accounting and Activity-Based Costing.
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The demand program is created in the form of planned independent requirements. Demand management uses planned independent requirements and customer requirements. Customer requirements are created in sales order management To create the demand program, define the planning strategy for a product. Planning strategies represent the methods of production for planning and manufacturing or procuring a product. Using these strategies, it can be decided if production is triggered by sales orders (make-to-order production), or if it is not triggered by sales orders (make-to-stock production). Or, you may want both sales orders and stock orders in the demand program. If the production time is relatively long in relation to the standard market delivery time, you may want to produce the product or, at least, certain assemblies before any sales orders exist. In this case, the sales quantities are preplanned (for example, with the aid of the sales forecast).
PLANT 1:
Here planning with final assembly strategy was fallowed. Demand program is created in the form of PIRs and also sales orders. According to this strategy, Sales forecast quantity can be transferred to demand management that planned independent requirements quantity needs to be produced and creates Planned Orders at that time of MRP run. Transaction code: MD61
PLANT 2:
Here Make to Order Planning strategy was fallowed. Demand program is created from sales orders. According to this strategy Customers requirement (Sales Orders) quantity to be produced and create Planned Orders at that time of MRP Run. Transaction code: VA01
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ELEMENTS
PLANNED ORDER
PURCHASE REQUISITION
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Create the master data to be able to work with the MRP component. To do this, we require the following components: Material master Bills of material When you use MRP for in-house production dates we require Work center Routings Demand Management component to define requirement quantities and requirements dates for finished products and important assemblies. Demand Management also determines the strategy you are to use for planning, procuring, or producing a certain finished product. MRP control parameters Transaction code: MD02
Various control parameters are available for the total planning procedure and for single-item planning and multi-level planning, which you can set in the initial screen of the planning run. You use these parameters to determine how the planning run is to be executed and which results are to be produced. The control parameters include:
Planning run type Regenerative planning --NEUPL Net changing planning NTECH Net change planning in the planning horizon ---NETPL
o o
Creation indicator for procurement proposals for materials that are procured externally
For materials procured externally, purchase requisitions will be generated and for the material produced in-house, planned orders will be generated.
Planning mode
Determine how the system is to deal with procurement proposals (planned orders, purchase requisitions, scheduling agreement lines) from the last planning run, which are not yet firmed, in the next planning run.
Scheduling
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During the planning run, the system analyzes the requirements that exist for the planned materials and creates procurement elements that cover these requirements. The evaluations in the component display all receipt and issue elements for a material in the form of a table and enable you to gain a quick overview of the stock/requirements situation for the material as well as to branch into the editing function for the MRP elements for this material. MRP Out put The following evaluations are available for analyzing the planning result: MRP list (MD02) Stock/requirements list (md04) Planning result (corresponds to the MRP list with individual evaluation layout) Planning situation (corresponds to the stock/requirements list with individual evaluation layout) CAPACITY PLANNING
Capacity planning comprises the following partial components: The Objective of Capacity Plannings to ensure optimum utilization of resources
Capacity evaluation In the capacity evaluation, available capacity and capacity requirements are determined and compared with each other in lists or graphics.
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Capacity leveling
The objectives of capacity leveling are: Optimal capacity commitment Selection of appropriate resources In most applications, you can use two types of planning table (graphical and tabular versions) to display the capacity situation and to carry out capacity leveling. CONSUMPTION BASED PLANNING Consumption based planning is based on consumption values and uses forecasts or statistical procedures to determine future requirements. Consumption based planning is characterized by its simplicity and is mainly used for low value items. Manual reorder point planning is a typical process in consumption based planning. PLANNED ORDER PROCESSING
Manually Transaction code: MD11 The MRP controller enters a planned order manually. He determines which material is to be procured, the required quantity, the date required, and whether the material is to be procured externally or internally. Automatically Transaction code: MD02 During the planning run, the system automatically determines the materials to be procured as well as the required quantity and the required date. After the planned order is created either manually or automatically a planned order profile is allocated and data is processed. The data would include: material, plant, order quantity and
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basic order dates. This will trigger the processing of material components, schedule the planned order, edit account assignment and process the source of supply. The system will check component and capacity availability and if needed, capacity leveling can be carried out. Saving the planned order creates a purchase requisition, planned load, creates dependent requirements and allows the processing of the planned order.
Demand Plan
MRP
Customer Orders
Planned Orders
9.1. PRODUCTION ORDER A production order defines which material is to be processed, at which location, at what time and how much work is required. It also defines which resources are to be used and how the order costs are to be settled.
The work processes within a company are executed using orders. As soon as a planned order or a company-internal requirement is generated from previous planning levels (material requirements planning) shop floor control takes over the information available and adds the order-relevant data to it to guarantee complete order processing.
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Production orders are used to control production within a company and also to control cost accounting. The production scheduler confirms and releases the order to shop floor for actual production. After production, operation wise confirmation of the order is carried out and relevant goods are sent (GR) into the storage location.
9.2. PRODUCTION ORDER CREATION This function supports the production of goods in-house using the production order or work order concept. The different functions involved are: Order creation Order release Inspection lot processing Goods issues Order confirmation Goods receipt Order settlement For creation of a production order, the data that is to be entered includes the material number of the finished good to be produced, the plant, the WO/production order number and the order type. The order type selected The properties and the control parameters are to be customized for the order type for that product's manufacturing. Here, among the other things it will be decided whether the WO will have external no. or internal number. Then subsequently the order quantity and the planned start or the finish dates depending on whether it is forward or backward scheduling is to be entered. At the time of order creation, the system copies the BOM and the Routing of the finished good to be produced and schedules the order. At this point of time, the system performs the availability check for the raw materials and PRTs, checks the capacity creates the inspection lot and does the preliminary costing and creates the order.
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PROCESS FLOW
During the course of the production order processing, we can track down the different data related to the scheduling, capacity utilisation, material availability, inspection lot processing, preliminary costing, goods issues, order progress confirmations, tools receipt and order settlement. 9.3 RELEASE OF PRODUCTION ORDER Release of the production order is an important business function, which controls things like the goods issue for the order, confirmation of the order progress etc. Here either individual production operations or the order itself can be released. The production order release function is to be exercised in each production order, in the transaction menu of the order header, after the creation of the production order. This function sets the "released" status in the order header After the creation of the production order, the individual operations or the order header itself can be released as per the release date specified in the material master scheduling margin key. 9.4. ORDER CONFIRMATION A confirmation documents the processing status of orders, operations, sub-operations and individual capacities. It is an instrument for controlling orders.
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With a confirmation you specify o The quantity in an operation that was produced as yield, scrap and the quantity to be reworked o How much work was actually done o Which work center was used for the operation o Who carried out the operation o Exact confirmation shortly after completion of an operation is essential for realistic production planning and control. The following business transactions can be executed via confirmations: o Updating order data (for example, quantities, activities, dates, status) o Back flushing of components o Automatic goods receipt (for one operation per order max.) o Capacity reduction in the work center o Updating costs based on confirmed data o Updating MRP-relevant excess or missing quantities in the order o You can enter confirmations for o An order- to be entered daily o An operation- to be done before period closing for inventory valuation of WIP. o A sub-operation o An individual capacity in an operation o An individual capacity in a sub-operation o For scrap, rejection, reworks, operation confirmation will be done. 9.5. PRINTOUT OF PRODUCTION ORDER This function controls the printing of the shop papers, such as the operation confirmation slips, time tickets etc. The printing of the different shop papers is controlled by the settings made in the control key attached to the individual production operations. INTEGRATION Production orders is fully integrated in the Logistics (LO) component and has, among others, interfaces to o o o Sales and Distribution (SD) Materials Management (MM) Controlling (CO)
Plant 2 (Discrete Manufacturing) Purpose This component can be used for production planning and control in a repetitive manufacturing environment. You can use repetitive manufacturing as either make-to-stock REM or make-to-order REM such as in the automotive industry, for example.
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Creation and revision of production quantities on a period and quantity basis (reduction in individual lot and order-specific processing). Reduction in the production control effort and simpler back flushing tools (with the option of using the full scope of the PP functionality).
Implementation considerations You can implement Repetitive Manufacturing if the following is true of your production process:
You produce the same or similar products over a lengthy period of time.
You do not manufacture in individually defined lots. Instead, a total quantity is produced over a certain period at a certain rate per part-period. Your products always follow the same sequence through the machines and work centers in production. Routings tend to be simple and do not vary much.
SD Sales Operations (Receipt of sales orders) PP Demand Management (Creation of PIR) PP MRP
PP Work Centers PP Routings PP Bills of Materials If required, Line Design for mapping complex production lines
Features
Master data
There is specific master data required for Repetitive Manufacturing. This includes the repetitive manufacturing profile and the product cost collector.
Planning table
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Within the framework of repetitive manufacturing, planning and control is carried out on the basis of time buckets. Starting from the existing requirements situation, you can plan production quantities based on periods. The scheduling data for products and product groups is thus broken down into a series of time buckets, the user being presented with period views for the purposes of checking and revision.
Sequencing
You can use Sequencing to carry out takt-based scheduling which determines the sequence in which planned orders are produced on the production line. Sequencing simplifies the dispatching process, especially for high order volumes, and enables you to display them in a graphic.
Pull list
You can use the pull list to control in-house material flow, supplying production with materials. The pull list checks the stock situation at the production line, calculates the missing parts for the components and triggers replenishment for these missing parts.
Back flushing
Production completion confirmations are simplified and are made with reference to the material being produced. The completion confirmation usually includes the backflushing of components and the posting of production costs.
In repetitive manufacturing, you ususally detemine costs per material or per production version via a product cost collector (product cost per period). Master Data for Repetitive Manufacturing The following master data is available:
The repetitive manufacturing profile is set in Customizing for repetitive manufacturing and is entered in the material master record. You must also authorize the material for repetitive manufacturing in the material master record. You create the production version in the material master record.
If you want to plan using a planning ID , you must define one and enter it in the material master record.
If you want to use a production line for planning purposes, you must create one and enter it in the material master record.
If you use repetitive manufacturing in conjunction with the component PP line Design, you can represent the production line as a line hierarchy. This makes sense if you have complex production lines, which you want to schedule using takts.
If you want to plan capacity, you must create a routing and enter it in the production version.
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INTEGRATION Production orders is fully integrated in the Logistics (LO) component and has, among others, interfaces to o o o Sales and Distribution (SD) Materials Management (MM) Controlling (CO)
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10 BATCH MANAGEMENT
The quantity or partial quantity of a certain material or product that has been produced according to the same batch, and represents one homogenous, non- reproducible unit with unique specifications.
10.1 Purpose of batch management Legal requirements (for example, the guidelines set out by GMP-Good Manufacturing Practice) or regulations on hazardous material. Defect tracing, callback activities, and regression requirement. The need for differentiated quantity-and value-based Inventory Management (for example, due to heterogeneous yield/result qualities or varying constituents in Production. Differences in usage and the monitoring thereof in materials planning in SD and Production. Production or procedural requirements (for example, settlement of material quantities on the basis of different batch specifications
10.3 CLASSIFICATION The classification system allows you to use characteristics to describe all types of objects and to group similar objects in classes to classify objects
Characteristics describe the properties of objects. The values of a characteristic specify these properties.
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When you create or change a characteristic, you can define the following settings: Format For example, numeric format is for figures, and character format is for alphanumeric characters. Units of measure for numeric values Templates for entering values Required entries for a characteristic (required characteristics) whether intervals are allowed as values Language-dependent descriptions and texts for characteristics and characteristic values Display options for characteristics on the value assignment screen Allowed values Default values that are set automatically on the value assignment screen Class: Classes allow to group objects together according to criteria that is. Create classes for certain object types for example, material, workplace, equipment. Use the class type to determine which object types can be classified in a class. Assign characteristics to class. These describe the objects classify in class. When assign a characteristic to a class, it can adapt (overwrite) the characteristic.
CLASS TYPE
The class type is a central concept in the classification system. The class type determines how classes are processed, and how objects can be classified and retrieved in these classes. Class types for a specific object type, such as materials. Then use classes of this class type to classify objects of this object type. First create a class, and then enter a class type for the class. Each class type is a closed system. There is no link between the different class types.
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11. REPORTS
1. 2. 3. 4. 5. 6. 7. 8. 9. Following reports will be provided Shift Wise / Daily Production Reports Monthly Production Reports Daily Rejection Report Monthly Rejection Reports Rework Report Scrap Generation Report Shift Wise / Machine Report Stock Status Report Of Raw Material Order Status
The following standard reports are to be used in the Production Planning module 10.2 Features of batch management Batch Number Assignment This function used to assign a batch with a number that uniquely identifies it. Batch Specification This function used to describe each batch uniquely using characteristics and characteristic values. It specifies the permitted value range in the allocated material master record. Batch Status Management This function used to indicate whether a batch is usable or unusable. We can set this status Manually in the batch master record or at goods receipt Automatically in the usage decision in quality management Batch Determination With this function, we can use various criteria to search for batches that are in stock, for example:When posting goods issues When combining suitable material components for production orders and process orders When creating a delivery according to particular customer requirements Batch Where-Used List The batch record contains all quality-relevant planned and actual data for the production of a batch and complies with the GMP guidelines (Good Manufacturing Practices) for the pharmaceutical industry and food industry. The batch where-used list shows the path of the batch from its procurement to its delivery to your customer.
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PURPOSE This report allows a user to easily create, or view, storage location views for a material. This report produces a list of all work centers. This report produces a list of all cost center assignments. This report produces a list of all work center capacity. This report enables you to list changes to individual routing fields in the sequence which they occurred. In the "Total Requirements Display", you can check and, if necessary, change the planning figures. With this evaluation function you can list all the planned independent requirements that exist for a particular material or a product group. From this total requirements display, you can access more detailed information or you can branch into the change mode. In the stock/requirements list, the most up-to-date development of stocks and requirements is displayed. The layout of the list on the screen is the same as that of the MRP list. Once you have carried out the planning run for the material via single-item or total planning and where you have also specified that an MRP list is to be created, you can then display one of the lists with the function individual display. Proceed as follows: Starting from the menu screen of material requirements planning, select Evaluations -> MRP list ->Individual display. The initial screen for the Individual Display of MRP List appears. Enter the material number and the plant and press ENTER. The MRP List screen now appears with an overview of the Individual Lines. With the collective display, all planned orders which correspond to the specified selection criteria are displayed; for example, all planned orders of a certain MRP controller. The results of long-term planning are simulative planned orders at finished product level for the long-term planning version of the demand program. Simulative dependent requirements and receipts are created for the components. Simulative capacity requirements are also created for
MD04
MD05
MD06
MS07
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MD09
CO20
CO24
CO26
MM60
materials that are produced in-house. Separate MRP lists are also created for long-term planning. In the long-term planning menu, the stock/requirements list is also available as well as the planning situation as an individual layout. With the evaluation, "Pegged requirements", you can retrace which requirements are the source of which order proposals and which independent requirements (especially sales orders) will be affected if an order proposal is cancelled or if its date or quantity is changed. With the function, "Pegged requirements", you can determine which requirements and order proposals caused the current stock/requirements situation. This information is particularly useful when you have to find out which independent requirements (especially sales orders) are endangered if planned orders are cancelled or if they cannot be delivered on time. This report shows a list of production orders according to the selection criteria entered. The material produced, the order schedule dates, the status of the order, and more are shown for each production order. From this list, the user can view the components and operational information for each order. This report is one that is standard delivered with the information systems, and in standard it does not include any totals listing. Using this report requires that certain info structures are active to reflect current data. This report shows a list of missing parts according to the selection criteria. You can use the missing parts information system to display the missing parts list for a selection of materials, or for all materials. It is possible to restrict your selection to a specific plant, MRP group or requirements data. The Production Order Information System offers various list types in reporting. Their layout can be adapted to suit your requirements. The information displayed in the production order information system as well as the layout of the information is controlled via an overall profile, which you can enter on the initial screen. The overall profile contains several subordinated single profiles. They contain information regarding selection criteria and layout of lists. Overall Profiles Your company may have so many materials that you will not always know whether a specific material already exists in the material master. You can find this out with the help of the materials list.
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Cap. Planning Evaluation by Work Centers Load Cap. Planning Evaluation by Work Centers Orders This report list displays all work centers and capacities with overload in the next 60 calendar days. This is a report of capacity leveling evaluation-work center view Report for Production order analysis Report for work center analysis Material usage analysis report Product cost analysis report
12. GAPS
12.1 IDENTIFICATION OF GAPS
Bills of Material in As Is Process Contains A List Of Material with compostion in Percentage wise but the client required that BOM should contain the composition in respect to weight. To attain this we have to capture weights of materials involved and to be displayed in the bom list. Solution Suggested In Table STKO Fields IDNRK, MENGE, MEINS are to be captured and Weight to be captured from Material Master and to be adopted as new values in BOM in the said fields.
Name Of The Work Center Date Description Material Material 1 Used S.No. Description Part Runner Bars Riser Bars Total of produced Name 1 Date 1 Material 2 Description 1 Material 3 Batch Number Batch no. Heat No Heat No Material 4 Material 5 Material 6 Total Total 2
Total Weight
TOTAL#
2.
A Daily Production report that shows cumulative quantities of production per cost center and also the total planned quantity for that cost center. is to be developed in sap
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The report have to be generated anytime the user wants and also at the end of the shift where the report to be emailed to the manager concerned. When BUDAT(Posting Date), WERK (Plant) is entered the Report have to extract records from MATNR,AUFNR,PSMNG(Prod order quantity), VORNR(Operation Number), POSID(Cost Center Number), and To Check the Status (Fully Confirmed, Delivery Complete, Locked, Technically Complete, Closed , Deletion Flag Etc.) and to populate the list with 4 columns viz. (MATNR,GSMNG,PSPEL,PRPS_MATNR) Output Data Should be in the below mentioned format
HEADING "PLAN VS ACTUAL 1 Material 2 For Batch 3 For Cost Center 4 Qty 5 Operation 6 Production 7 Accumulation 8 S.No From 9 S.No To DESCRIPTON (Production accumulation) report" Material Number Batch Number WBS element Number WBS Lot Qty Operation Number Production Qty Production Cumulative Qty Serial Number From Serial Numbr To TABLE/FIELD
3. Machine wise production report We have to Capture the Production of individual machine Work Center wise and the individual who is responsible for the production, shift wise and a report to be generated with the details of machine start and stop time the name of the operator and the total produced and total planned
Date Work center Person production planned actual
Solution Suggested
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SELECTION SCREEN
MACHINE WISE PRODUCTION REPORT Plant Work center Date (Mandatory) (Optional) (Mandatory)
REPORT
S.N0 Plant Person Work from center responsible date to date planned production Produced quantity quantity
actual Cumulative Actual cumulative (date (Today) entered)
column column description formula AFRU-WERKS 1 plant 2 work center 3 person responsible 4 FROM date 5 to date
planed production
6 qty
work center= selact all work centers from SO24-ARBPL where plant =column1 select person responsible from CRHD-VERAN where work center=column2 date=first date of the month date=date entered by the user PLANNED QTY=qty released (AFKO-GAMNG) where plant=column1and date =released date(CAUFVD-FTRMS)
cumulative
7 production
total of all released work center qtys Produced qty=Qty confirmed (AFRUD-LMNGA) on date =post date actual produced qty (AFRUD-BUDAT) 8 Cumulative total of all confirmed qtys 9 production
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In Table CCRHD Fields ARBPL and Machine id and employee id and start time and stop time of the work center to be captured from the fields BEGZT and ENDZT . A user exit is requested so that we can able to capture the machine id and individual operating the machine so that we can do away with creating a work center for each individual machine Name Of The Work Centre Machine ID Machine Shift Start Stop A B C Total
Gap 4
Report
Date
Tot al#
Total#
Total Production Status Report Here the Client requires overall status of the whole production of the plant giving the detailed tabulated data of the production status as a whole. Data from each process has to be captured batch and client wise and to be displayed in preformatted screen with interactivity and drilldown features to analyse bottlenecks and production overloads of the system. Data to be collected In Process data from each process to be captured like data to be collected from each workcentre at three different levels viz. ready for, in process, for/in qc and finished Requested format of the report is
Date Time
Design And Development Waxing Pre Pre Shell Shell De Assembly Coat Coat Buildi Buildi Wa Fettli Quality 1 2 ng 1 ng 2 xing Preheat Melting ng Assurance Line
Client 1
Batch 1
Client 2
Batch Batch Batch 2 1 2
Client 1
Client 2
Machine 2
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12.2
ADDRESSING OF GAPS
ANEXURE I
SHIFT SEQUENCE Shift Start Shift I Shift II Shift III 7:00 AM 3:00 PM 11:00 PM Shift End Break Break Type Days/Week 6 6 6
BREAK DETAILS
Break Break Text CCIS Lunch Tea CC2S Dinner Tea CC3S Snacks Tea
Breaks Timings 11:30 am to 12:00 pm 01:00 pm to 01:15 pm 07:00 pm to 07:30 pm 09:00 pm to 09:15 pm 02:00 pm to 02:30 pm 05:00 pm to 05:15 pm
CALENDAR Requirements/Expectations Factory calendar needs to be maintained in the system. In this the working days are to be defined and the holidays. This information is used in various modules. Country wise calendars are already maintained in the system. The Factory Calendar needs to be updated each year based on the decided holidays. The Factory Calendar acts as the basis for Capacity Planning as it defines the working days in a year. In SAP there are two types of holidays. Holidays are to be created and then assigned to the factory calendar.
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ANNEXURE II
Work Center Formulae The execution time of an operation is defined as the sum of the set-up time and the processing time. The is expressed in the following formula. F=SET+RUN*LOT/B The meaning of the formula parameters and the origins of their values are given in the table below.
Meaning Origin General Operation Value
Base Quantity
Lot Size General Operation Value Processing time for base Quantity Standard Value Set-up time Standard Value
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Volume
5
Human Resources
The Nerve System of Any Organization, Human Resources are well taken care of with HR Module in SAP
E
Pay Roll Planning
fficient Human Resources Management constantly requires complete, up-to-the-minute information on employees at the enterprise. The R/3 Systems Human Resources (HR) component contains all relevant employee data. With its multitude of reporting and analysis options, HR helps you process data quickly. This provides you with the information you require, and supports your decision-making processes. Human Resources (HR) component is an efficient analytical reporting tool used for information and decision-making purposes, it provides solutions for your most frequent reporting requirements, Hierarchies are displayed as graphics and is user-friendly method of displaying hierarchical structures.
I C O N K E Y
Orgonizational Management This is the basis for additional Human Resources components and functions as well as for SAP Business Workflow. In order to carry out numerous business and human resources processes, you need an organizational plan, that is, a functional structure representing your enterprise based on tasks. .
Personnel Time Management: This component offers you support in performing all human resources processes involving the planning, recording, and valuation of internal and external employees work performed and absence times. It provides other SAP applications with planning data and delivers information to business processes. Payroll: The component uses data from other areas of SAP HR for calculating all statutory and non-statutory additions and deductions for your employees. SAP HR Payroll India offers a number of standard reports used in payroll, superannuation, leave, advance payments and taxation.
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ORGANZATIONAL MANAGEMENT Organizational Management is the basis for additional Human Resources components and functions as well as for SAP Business Workflow. The fact that these components can be integrated should be taken into account when you are installing them. Personnel Development Recruitment Compensation Management Personnel Cost Planning Training and Event Management Shift Planning Capacity Requirements Planning Personnel Administration Human Resources Information System
ORGANISATION STRUCTURE
CSCL
MD01
SD01
DE01
PD01
FI01
QA01
PP01
Sales And Distribution Human Resources Finance Department Production And Planning
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CSCL
COMMERCIAL DIRECTOR
Human Resources
Purchase
Finance
HR
HR MANAGER
PURCHASE MANAGER
FINANCE MANAGER
ASSISTANT MANAGER_HR
EXECUTIVES
EXECUTIVES
EXECUTIVES
EXECUTIVES
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EXECUTIVE DIRECTOR
MATERIALS
QUALITY ASSURANCE
PRODUCTION
MATERIALS MANAGER
QA MANAGER
PROD MANAGER
ASST MANAGER
ASST MANAGER
ASST MANAGER
ASST MANAGER
HELPERS
HELPERS
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ORGANISATION UNIT
Representation of the reporting structure and the distribution of tasks using organizational units for example, departments in an enterprise.
Definition and Meaning
Represents a functional unit in the company, for example marketing and sales department. According to how tasks are divided up within an enterprise, that could be a department, group or project team. Organizational units differ from other units in an enterprise such as personnel areas, company codes, business areas, etc., These are used to depict structures for example administration or accounting in the corresponding components. We depict the functional units of our enterprise with organizational units. We create an organizational structure by assigning these organizational units to each other. The highest organizational unit in an organizational structure is the root organizational unit.
JOB
Jobs are classifications of functions in an enterprise (for example administrator), which are defined by the assignment of characteristics. Jobs serve as job descriptions that apply to several positions with similar tasks or characteristics. Sl no Job type 1 2 3 4 5 6 7 8 9 Chairman Director Manager Job code CH DIR MR
Assistant Manager AMR Engineer Supervisor Executive Operator Helper EGR SUP EXE OPR HLP
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POSITION
Represents a post, which can be occupied by a person (employee) in the staff assignments of an organizational unit.
For example, job = manager and position = manager-hr. S.No Job 1 Position No of employees
Chairman Chairman 1
Hr Manager Sales Manager Purchase Manager Manager Finance Manager Materials Manager Design and Development Manager Quality Assurance Manager Production Manager
1 1 1 1 1 1 1 1
1 1 1 1 1 1 1 1 1
Assistant Manager_Hr Assistant Manager Sales Assistant Manager Purchase Assistant Manager Finance Assistant Manager_Materials Assistant Manager_Des&Dev Assistant Manager_QA Assistant Manager Assistant Manager_Prod
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5 5 5 5
RELATIONSHIPS
Definition By defining relationships between objects, you create a hierarchy of objects that mirrors your organizational structure.The standard syntax used to identify a relationship is A/B 000. A/B refers to the two different sides of a relationship, which you create when you link two objects. The system calls these sides passive (A) and active (B). They form the reciprocal relationship, and are vital in holding the relationship together. The three-digit numerical code identifies the relationship.You assign a position to an organizational unit, to identify where the position is allocated. The system creates a relationship infotype record between the organizational unit and the position. You can check the relationship in the Relationship infotype screen in Detail Maintenance. This relationship is called 003. This means the position belongs to the organizational unit, which in turn incorporates the position. The organizational units relationship record is B 003 and the positions is A 003. Relationship between root organization unit and other organization units
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HR
AND
CSCL
B003
CHAIRMAN
COMMERCIAL DIRECTOR
CSCL
A003
EXECUTIVE DIRECTOR
203
CHAIRMAN
B002
COMMERCIAL DIRECTOR
A002
EXECUTIVE DIRECTOR
Relationship between position and organization units HR B003 SALES AND DISTRIBUTION PURCHASE A003 FINANCE
COMMERCIAL DIRECTOR
MATERIALS B003 EXECUTIVE DIRECTOR DES AND DEV A003 QUALITY PRODUCTION Relationship between one position and another position HR MANAGER B002 SALES MANAGER
204
COMMERCIAL DIRECTOR
MATERIALS MANAGER
QUALITY MANAGER
PRODCTION MANAGER
ASST MANAGER_HR
EXECUTIVE_HR
205
SALES MANAGER
EXECUTIVE_SALES
PURCHASE DEPT
PURCHASE MANAGER
EXECUTIVE_PURC HASE
FINANCE DEPT
FINANCE MANAGER
ASST FINANCE HR
EXECUTIVE_FINA NCE
206
MATERIALS MANAGER
B002 A002
MATERIALS DEPT
B002 A002
SUPERVISOR_MATER IALS
SUPERVISOR_ MATERIALS
B002 A002
OPERATOR_MATERIA LS
OPERATOR_M ATERIALS
B002 A002
HELPER_MATERIALS
B002 A002
B002 A002
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B002 A002
B002 A002
B002 A002
ASST MANAGER_QUALITY
208
DEPT
SUPERVISOR_QUALITY
OPERATOR-QUALITY
PRODUCTION MANAGER
B002 A002
B002 A002
SUPERVISOR_PROD UCTION
SUPERVISOR_ PRODUCTION
B002 A002
OPERATOR_PRODUC TION
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OPERATOR_P RODUCTION
B002 A002
HELPER_PRODUCTIO N
MANAGER_HR MANAGER_SALES MANAGER_PURCHASE MANAGER_FINANCE MANAGER A007 B007 MANAGER_MATERIALS MANAGER_DES AND DEV MANAGER_QUALITY MANAGER_PRODUCTION
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ASST MANAGER_HR ASST MANAGER_SALES ASST MANAGER_PURCASE ASST MANAGER_FINANCE ASST MANAGER_MATERIALS ASST MANAGER A007 B007 ASST MANAGER_DES AND DEV ASST MANAGER_QUALITY ASST MANAGER_PRODUCTION
EXECUTIVE_HR EXECUTIVE _SALES EXECUTIVE A007 B007 EXECUTIVE _PURCASE EXECUTIVE _FINANCE
211
SUPERVISOR _MATERIALS SUPERVISOR A007 B007 SUPERVISOR _DES AND DEV SUPERVISOR _QUALITY SUPERVISOR _PRODUCTION
OPERATOR _MATERIALS OPERATOR _DES AND DEV OPERATOR _QUALITY OPERATOR _PRODUCTION
OPERATOR
A007 B007
HELPER _MATERIALS HELPER _DES AND DEV HELPER A007 B007 HELPER _QUALITY HELPER _PRODUCTION
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ENGINEER
A007 B007
COST CENTERS
Definition
Organizational unit within a controlling area that represents a clearly delimited location where costs occur. There is one cost center and it is assigned to the organization units. Relationship between org units and cost center Human Resource Sales Purchase Finance Materials Des and Dev Quality Production
STEEL
A011
MNGT(Cost Center)
PERSONNEL MANAGEMENT
ENTERPRISE STRUCTURE
The elements which define the ensterprise structure are the Client Personal area Personal sub area
The client is an independent legal and organizational unit of the company. Personnel area
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A personnel area is a specific entity for personnel administration, it represents a sub division of company code .The personnel area, which is used in personnel administration, personnel time management, and payroll accounting in SAP, is unique in each client, which should be assigned to the company code. Personnel area performs the following functions It allows to generate default values for data entry, for example, for the payroll accounting area (eg determination of payroll accounting areas) Acts as a selection criterion for reporting; and Acts as a unit in authorization checks.
S.NO.
1
Personnel sub-areas are sub divisions of personnel areas. Personnel sub-area is the smallest element in the company. The principal organizational aspects of human resources are controlled at this level, namely the pay scale and wage type structures and the planning of work schedules. The personnel sub-area is assigned a four-character alphanumeric identifier.
S.LNO PERSONNEL SUB AREA TEXT PERSONNEL CODE SUB AREA
1 2 3 4 5 6 7 8
SALES DEPT PURCHASE DEPT FINANCE DEPT HUMAN RESOURCE DEPT MATERIAL DEPT DESIGN DEPT QA DEPT PRODUCTION DEPT
PERSONNEL STRUCTURE
Personnel structure displays the position of the individual employees in the enterprise as a whole.
Employee group
Employee group is used to classify employees in general terms. It defines the position of the employee with in the companys work force. Employee groups are used to generate default values for data entry, selection criterion for reporting, as an entity for authorization checks. Employee group consists of a number of employee sub groups
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Employee Subgroup
Employee groups are divided into employee sub groups, which controls the following key functions: You can standardize or differentiate how an employee is dealt with for a personnel calculation rule using the grouping of employee subgroups. For example, you can control whether an employees remuneration is calculated on a monthly or hourly basis using this grouping. You determine which wage types are permissible for which employee subgroups using the employee subgroup grouping for the primary wage types. You determine which work schedules are permissible for which employee subgroups using the employee subgroup grouping for the work schedule. The employee subgroup is a selection criterion for reports. Employee subgroups are an authorization check unit. S.No Employee Group Code S Employee Group Text SENIOR MANAGMENT MID MANAGMENT JR. MANAGMENT TRAINEE Employee Subgroup Code S1 S2 M1 M2 M3 J1 J2 T1 T2 Employee Subgroup Text CHAIRMAN DIRECTORS MANAGERS ASSISTANT MANAGERS ENGINEERS EXECUTIVES SUPERVISORS OPERATORS HELPERS
1.
2.
3. 4
L T
In the standard system, different types of employee data are stored in individual infotypes. Rather than accessing each infotype individually and entering data into them, the system can group together the most important infotypes into personnel actions and lead you through processing the employee data An infogroup exists in the standard system for every personnel action type in the Personnel Actions section. In Customizing for Personnel Administration, you can modify the relationship between individual infogroups and define the info groups as user-dependent. In the standard SAP System, the following basic personnel procedures are represented as personnel actions in the HR master data system:
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1. Hiring: When a new employee is hired in the organization, a large amount of data about the employee has to be entered. We enter the employee data in different Infotypes in the SAP R/3 System. We hire the employee by performing a Personnel Action. When we perform the Hiring personnel action type, all of the infotypes that need to maintain to hire an employee are displayed automatically, one after the other. OPE INFO INFOTYPE TEXT TYPES 10 INS 0000 Actions 20 INS 0001 Organization Assignment 30 INS 0002 Personal Data 40 INS 0006 Address 50 INS 0007 Planned working time HI Hiring 60 INS 0008 Basic Pay 70 INS 0009 Bank Details 80 INS 0021 Family Member/Dependents 90 INS 0022 Education 91 INS 0023 Other/Previous Employers 92 INS 0041 Date Specifications Organizational reassignment: When we hire an employee, assign him or her to the Enterprise Structure and the Personnel Structure. If during the course of his or her employment, the employee changes positions, cost centers, or is moved to another subsidiary, his or her organizational assignment also change. To record one of these developments in the system, you run a Personnel Action. In the personnel action type Organizational reassignment, the system automatically displays all the Infotypes, one after another, that must be maintained in order to record such a reassignment in the system. CODE INFO GROUP N0
CODE
INFOGROUP
NO
OPE
OR
Organization Reassignment
10 20
INS COP
Promotion: When we hire an employee, assign him or her to the Enterprise Structure and the Personnel Structure. If during the course of his or her employment, the employee is promoted or demoted, we record one of these developments in the system and run Personnel Action. In the personnel action type Promotion/Demotion, the system automatically displays all the Infotypes, one after another, and that must be maintained in order to record in the system.
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CODE
INFOGROUP
NO 10 20
INFOTYPE TEXT Actions Organization Assignment Planned Working Time Basic Pay
PD
Promotion
30 40
NO 10 20
INFOTYPE TEXT Actions Organization Assignment Address Bank Details Recurring payments /deductions Additional payment
SP
Separation
30 40 50 60
4. Transfer:
When an employee is transferred them one business unit/location to another and retain its identity after the transfer .So New recruits for a new location will not be considered as a transfer. Moving from a city to other, which by virtue are same cities will not be considered as a transfer.
CODE INFOGROUP NO OPE INFO TYPES INFOTYPE TEXT
TR
Transfer
10 20 30 40
Working
5.
Separation:
A large amount of employee data is stored in the system during the period of employment in the company. This data is stored in individual Infotypes. If the employee leaves the company, certain infotypes must not be changed as they contain data that is used to create histories. Other infotype records must be delimited in the system.
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Furthermore, you must ensure that the final payroll has run successfully, and that retroactive accounting runs have also been performed, if necessary. When an employee leaves your company, the administer it using a Personnel Action. The personnel action type leaving only offers the data records for maintenance if they must be edited when an employee leaves the company. Note, an employees personnel number must never be deleted when they leave your company. A distinction must be made between employees, who have left the company, and: Employees who have retired Employees who are absent for a long period of time, for example, for maternity protection or military or non-military service.
6. Increments:
Awarding an employee with certain benefits for which the reasons can be varied according to companys policies.
CODE INFOGROUP NO OPE INFOTYPES INFOTYPE TEXT
50 IN Increment 60 70
7. Rehire:
INS
0000
An employee is considered to be re-hired following a termination of employment lasting a minimum of 6 consecutive weeks.
CODE INFOGROUP NO OPE INFOTYPES INFOTYPE TEXT
10 20 RE Hire 30 40 50
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ACTION REASONS:
The following are the delivered reasons associated with each action.
INFOTYPE MENUS:
SLNO 1
CODE A1 A2 A3 A4 B1 B2 C1 C2 D1 D2 D3 E1 E2 E3 F1 G1
REASONS New position Expansion Special project Attrition Position change Reorganization Pay scale increase Promotion Re-organization Career opportunity Employee request Resignation Contract expired Dismissal Change in pay No reason
2 3 4
5 6 7
MENUS MENU TEXT
INFOTYPE TEXT
7A
Personnel Administration
O1 02 03 04 05 06 07 08 09 01 02 03 04
0000 0001 0002 0006 0007 0008 0009 0040 0105 0014 0015 580 581
Action Organizational assignment Personal data Addresses Planned working time Basic pay Bank details Object on loan Communication Recurring payments/deductions Additional payment Previous employment tax detail Housing (hra / cla / coa)
7B
Payroll Information
219
05 06 07 08 10 11 12 13 14 01 02 03 04 05
582 583 584 585 587 588 590 591 267 0007 2001 2006 0416 2010
Exemptions Car & conveyance Income from other sources Section 80 deductions Provident fund contribution Other statutory deductions Long term reimbursements Nominations Off cycle payments Planned working time Absences Absence quotas Time Quota Compensation Employee Remuneration Info
7C
Time Management
MAINTAIN NUMBER RANGE INTERVALS FOR PERSONNEL NUMBERS: No 01 From number 00000001 To number 00008000 Current no 0 Internal
Personal data: The following areas are maintained in personal data. Forms of address: The common forms of address used in SAP. The gender has also been attached to the form of address to allow for the default on infotype 0002.
NO
1 2 3 4
DESCRIPTION
MR MRS MISS MS
GENDER
1 2 2 2
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Marital status: The most commonly used marital statuses have been configured into SAP.
TYPE 0 1 2 3 5
The family /related persons infotype 0021 the following categories are available. Remember to update this list with all potential benefit plan dependants beneficiaries categories. As defined within your benefit policies.
TYPE DESCRIPTION TIME CONSTRAINT
1 8 11 12 2 5 7 Addresses:
2 2 2 2 2 2 2
An additional address type has been created in SAP. Every employee must have an address type 1 permanent residence which is include
TYPE DESCRIPTION TIME CONSTRAINT
1 2 3 4
1 3 2 2
The following communication types have also been configured for use on the address info type 0006.
TYPE DESCRIPTION CATEGORY CATEGORY TEXT
1 2 1
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Bank details:
The following identifies those bank connection, type available for use.
TYPE BANK CONNECTION TYPE TEXT TIME CONSTRAINT
0 1
1 3
Reports in Personnel Administration: Employee List Employee Entered & Left Family members Birthday List List of employees having company provided vehicles Family members details Service Anniversaries (List of employees who have completed specific number of days) Employees Remuneration Statements. Employees wage type statements. Employees Absences and Attendance statements. Total no of employees in each department and their Salary related reports. Total no of vacancies in each department. Time Recording reports for each employee for every month.
Gaps and possible Approaches to bridge the gaps Triggering of Mails in the resignation action
Maintaining checklist for previous employee details.
TIME MANAGEMENT
Employees in CSCL are entitled to leave, additional training, and so on. These types of entitlements can be stored in quotas and deducted from attendances and absences. We can determine which entries the system checks when an absence is recorded. Enables flexible representation of all personnel procedures involved in recording and evaluating employee time data
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Infrastructure for time data recording Work schedules Record of planned attendance and absences Recording of attendance and absence Annual and Sick Leave accrual Time evaluation Ability to transfer absence and attendance data to other SAP applications
INTEGRATING TIME MANAGEMENT IN CSCL ORGANIZATIONAL STRUCTURE:
The Time Management component is closely integrated in the organizational structure of your enterprise. When working with Time Management, it is therefore essential that you maintain certain master data infotypes for your employees. One of the most important infotypes is Organizational Assignment (0001), which contains data on the organizational units to which the employee is assigned within the enterprise (personnel area, employee subgroup, and so on).
Public Holiday Calendar:
In SAP Time Management, public holidays are grouped together in the public holiday calendar. To set up a work schedule, you need a valid public holiday calendar including company-wide public holidays relevant for CCL. At CCL the factory calendar is same as the Holiday calendar.The employees of the Charminar Castings will be granted with 12 days of holidays per year out of which 2 are Optional Holidays for the choice of employees dependence on the region wise
S.No Holiday Date Day
1 2 3 4 5 6 7 8 9 10 11 12 13 14
Pongal Republic Day Holi Ugadi Good Friday Labour Day Independence Day Krishna Jamastami Gandhi Jayanthi Ramzan Dasara/Vijayadasami Deepavali Id-Ul-Fitr/ Bakrid Christmas
January 15th January 26th March 3rd March 20th April 6th May 1st August 15th September 5th October 2nd October 15th October 22nd November 8th December 21st December 25th
Monday Friday Saturday Tuesday Friday Tuesday Wednesday Wednesday Tuesday Monday Monday Thursday Friday Tuesday
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Daily Work Schedule: The daily work schedule determines the structure of working times in your enterprise at the daily level. Break Schedules: You define the break rules in the work schedule for any particular working day and assign them to a personnel subarea grouping for work schedules. Personal Work Schedules: Work schedules for individual employees include data from Absences (2001), Attendances (2002) and Substitutions (2003). Work Schedule Rules: You specify in the work schedule rule which period work schedule is to be used when and on which day of the period for the work schedule to be generated.
Planned S.NO Time 1 CSGN General Shift 9:00 - 17:00 Lunch Break (Paid) 12:00 - 12:30 Tea Break (Un-Paid) 15:45 - 16:00 2 CSS1 Shift 1 06:00 - 14:00 Tea Break (Paid) 07:45 - 08:00 Lunch Break (Un-Paid) 10:30 - 11:00 3 CSS2 Shift - 2 14:00 - 22:00 Tea Break (Un-Paid) 15:45 - 16:00 Lunch Break (Un-Paid) 18:30 - 19:00 4 CSS3 Shift - 3 22:00 - 06:00 Tea Break (Un-Paid) 23:45 - 24:00 Refreshment Break (Un-Paid) 02:30 - 03:00 Tea Break (Un-Paid) 04:45 -05:00 5 3CSR 3 Shifts Rotation Rotating Shift CSOF Weekly Off OFF
Code
224
SL No 1 2 3 4 5
Code Work Schedule Rule Text CSGN WSR - General Shift CSS1 WSR - Shift 1 CSS2 WSR - Shift 2 CSS3 WSR - Shift 3 Rotating_ CSCL WSR - Rotating Shift
Time Data Recording and Administration: Time Recording and Administration component, you can record and manage time data effectively and efficiently. Time recording allows you to enter employee time data for working time, leave, business trips, and substitutions using different methods. This data can be entered as clock times or in hours and can contain account assignment specifications for other SAP applications. Absences: Absences are times when employees are not at work. Employees are absent if their planned working time, as stipulated in their work schedules, is not fully worked. If any employee joines in a middle of the year, leaves can be allotted on prorata basis. Sl No Absence Code 1 2 3 4 5 6 CSCL CSEL CSPL CSML CSSL CLOP Entitlement 12 Casual Leave Earned Leave 20 Paternity Leave 03 Maternity Leave 12 Weeks 10 Sick Leave Loss Of Pay Absence Text
Casual leave: The casual leaves will be given 12 days in a calendar year Here the term calendar means that year starting from 1st January to 31st Dec. The casual leaves are allowed in pro rata basis. An employee will not be allowed to use to go on leave more than 3 at a time. If an employee does not take the 12 CLs in a calendar year his CL will not be carried forward however he will be reimbursed with Basic wages for the remaining leaves. Earned leave: All the employees working in the CSCL are entitled for 20 ELs in a calendar year The calculation for the ELs will be as for 20 Physical working days 1 EL will be accumulated. The employee has to put his service at least 240 days per a calendar year. Els can be carried forward
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Sick leave: Sick leave eligibility is for the employees who are not covered under ESI act 10 Sick leaves per year are given. The employee who is applying for this should submit the physical fitness certificate from the asst civil surgeon rank Doctor while resuming towards duties. We feel that the employees who are working with us should not fall sick. Maternity leave: Maternity leave is applicable only for married woman who will not fall under ESI act. The maternity leave will be for a period for 12 weeks. It is expected from the employee that who ever is availing this leave should intimate before pr15 days before proceeding on leave, This either she could take from 30 days before delivery date are as advised by the doctor. Eligibility is the candidate should complete at least one year of service with company. This leave would be given two times in her whole lifetime. Leave policy on miss carriage: The married female employees will be entitled for this two times in her whole service. For each miss carriage 15 days will be given as paid leave. Paternity leave: All the married male employees are entitled for 3 days paternity leave. However the employee who is availing this would give the birth certificate for his son/daughter obtained form the nursing home. Loss Of Pay: Unauthorized absence from the planned working time is considered as Loss of Pay. Counting Rules: A counting rule is assigned to the absence type to determine the payroll hours and days for the duration of this absence. The sequence for deducting quotas of different quota types is specified in the deduction rules. Deduction Rules: The rules according to which absences are to be deducted from the absence quotas. Quota deduction does not depend on individual absence types, but is determined by the Counting rule for absences that is assigned to an absence type Absence Quotas: Employees in the enterprise are entitled to leave, additional training, and so on. These types of entitlements can be stored in quotas; from which absences are deducted we set up employees. An absence quota is an employees time-limited entitlement to an absence.
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Sl No 1 2 3 4 5 6 7
Absence Text Casual Leave Earned Leave Paternity Leave Maternity Leave Sick Leave Loss Of Pay ESI Leave
Deduction Rule CS CD CD CD CD CS CS
Sl No 1 2 3 4 5
Info type Text Planned working time Absences Absence quotas Time Quota Compensation Employee Remuneration Info
PAYROLL
Payroll is used to calculate remuneration for work performed by individual employees. Payroll is an umbrella term for a variety of work processes, such as the creation of payroll results and remuneration statements, bank transfers and payments by check. It also covers a number of subsequent activities such as the posting of results to Accounting and other evaluations.
Payroll area Payroll area for CSCL Payroll Run Date 1st of every month
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Purpose
The payroll program is run at a specific point in time, not only to calculate an employees basic remuneration but also any special payments, overtime payments or bonuses that must be effected for the period in question.
Wage Types:
Wage elements, statutory deductions, and voluntary deductions are all based on the individual payments and deductions that are calculated for an employee during a payroll period. The payments and deductions are Stored as wage types and then included in the payroll calculation. An employee's wage elements are determined on the basis of the individual Wage types used in a payroll period. Payments that may be included in the calculation of remuneration are, for example, basic pay, bonuses, Vacation allowances gratuities. Company-owned apartments, Company-sponsored day care services and the like can all cause deductions from an employee's pay. Such payments and deductions can increase or reduce the amount of an employee's income that is subject to tax, and this is determined by a variety of factors such as the laws of a specific country or a particular company's policies. The compulsory info types for calculation of payroll is: S.N. 1 2 3 4 Infotype 0000 0007 0008 0009 Text Actions Planned working time Basic pay Bank details
Additional info types for calculation of payroll is : S.NO INFO INFO TYPE TEXT TYPE 1 580 Previous Employment Tax Details 2 581 Housing (Hra / Cla / Coa) 3 582 Exemptions 4 583 Car & Conveyance 5 584 Income From Other Sources 6 585 Section 80 Deductions 8 587 Provident Fund Contribution 9 10 11 12 588 590 591 267 Other Statutory Deductions Long Term Reimbursements Nominations Off Cycle Payments
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The basic pay differs from one group to the other group. HRA, DA CA will be calculated based on the percentage of Basic Pay. Basic pay wage types
Basic Pay:
It is the minimum earning of the employee out of his gross salary, which is a must. it would be minimum of 60% out of agreed cost to company. This is to protect employees interest.
HRA:
50% of Basic pay is paid as House Rent Allowance to all the employees.
Conveyance Allowance:
Paid to all employees of the company i.e. managerial and above entitles of Rs.2000 and others Rs.1500 DA: 30% of basic is paid as dearness allowance to all the employees.
OVERTIME:
Calculation rule Basic+DA*No.of overtime hours/total no. of hours in month..
Leave Encashment
LTA paid to all the employees of the company and they pays Rs.25000to manager and above and the rest Rs.15000.
2.Medical
Medical paid to all the employees who are not covered under ESI of the company and they pays Rs.15000to manager and above and the rest Rs.6000.
3.Variale pay
Paid to all the employees on performance basis twice in a year and the amount decided by the management.
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4. Buddy referral
If any new employee joined in company on referral and the person who refers him gets Rs.10000 as incentive.
5. Festival Bonus
Every employee entitles to get 2-month salary as advance and repaying the amount only he can eligible for next.
7. Attendance Incentive
Statutory Deductions: Provident Fund: Paid to the institution of Provident Fund on behalf of the
Employees by Employers. It is 12% of the Basic pay + Dearness Allowance as per the Employees Provident Funds and Miscellaneous Provisions Act 1952.
Gratuity:
Payment of
According the
to
the Act
I F A N Y E M P L O Y E E O F T H E T O A N Y
Gratuity
1972,employer pays the employee at the rate of 15 days pay based on the pay last drawn by the employee concerned after the completion of every year of his/her service.
C O M P A N Y O F F I C E A B S E N C E T H E N H E
A T T E N D S O U T
W I T H I N
A N Y
M O N T H
G E T S A S
O N E - D A Y
S A L A R Y
I N C E N T I V E .
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Deductions:
The loans availed by the employee, and the PF, Professional Tax, IT, third Party deductions like LIC, Bank Loans will be deducted from pay that is paid to the employee by the employer.
Income Tax:
The will be deducted by the employer and paid to the Income tax Office as per the rule of the Government at the end of every financial year i.e. March.
CSR:
The pay scale type defines the area of economic activity for which a collective agreement is valid. The area in which it is valid may be determined at company and often applies to a whole industry. SN 1
PAY SCALE AREA:
Pay scale area defines the geographical area in which a collective agreement is valid. The geographical validity area is determined by the size of the pay scale area. With in a pay scale
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area, you define the pay scale groups and levels for each pay scale type and employee subgroup grouping for collective agreement provisions. SN Pay scale Area code Pay scale Area text 1 CH HYDERABAD
PAY SCALE GROUP & LEVEL
Pay scale groups and pay scale levels are the criteria used to classify data for job evaluations and indirect valuations. Pay scale levels are subdivisions of pay scale groups SN 1 2 3 4 5 6 7 8 9 Payment Method: All the employees paid through bank except workers and helpers, they paid by cash.
Rounding Off:
Director Manager
Asst. Mang Engineer Executive Supervisor Worker Helper
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Remuneration Statement:
R O U N D I N G O F F T O A M O U N T S I S N E A R E S T T O U P P E R R U P E E .
The SAP System enables you to create remuneration statements for your employees. A remuneration statement contains a clear list of payments and deductions effected during a payroll run for an employee. Pay Slip Form Name: CSCL Integration Various components of the R/3 system interact when posting to Accounting: Payroll (PY) The Payroll component creates payroll results for each payroll period. To do so, wage types with different business purposes are created. They are created according to tax, social insurance law, industrial law, pay scale and operative points of view. Financial Accounting (FI) Financial Accounting illustrates all business transactions in the enterprise using postings to the relevant accounts. Posting to Accounting provides the necessary data for the following components in Financial Accounting: General Ledger Accounting (FI-GL) Accounts Payable (FI-AP) Accounts Receivable (FI-AR) Special Ledger (FI-SL) Funds Management (FI-FM)
The graphic shows how the components link together when posting to Accounting
Implementation Considerations The components involved in posting to Accounting do not have to be in the same client in the R/3 system. If the components involved are in different R/3 systems, R/2 systems or thirdparty systems, you can find more information in the following sections: In Customizing of Cross-Application Components, under Predefined ALE Business Processes Human Resources HR <--> AC Posting of Payroll Results to Accounting The wagetype components to be transferred to Symbolic Accounts/G/L accounts are as below. The Navigation path as follows:
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Payroll Customizing, under Reporting for Posting Payroll Results to Accounting Special Scenarios Posting in Previous Releases Set Up Export to s R/3 System The following various components of the R/3 system interact when posting to Accounting: SN 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 Pay Component Basic pay HRA Dearness Allowance Leave Travel allowance Leave Encashment Overtime allowance Festival Bonus Medical Reimbursement ESI (ER) PF (ER) Labor welfare fund Pension Gratuity PF (EE) ESI (EE) LWF (EE) Professional Tax Income tax Loss of Pay Conveyance allowance Attendance Incentive Variable Pay Buddy referral Salary advance CSR G/L Account
Cost Accounting (CO) Cost Accounting provides information on the relationship between costs and activities within the enterprise. To do so, costs are either assigned to a cost center or to another account assignment object. The posting to Accounting component usually posts to the following account assignment objects: Cost center Order It is also possible to post to the following account assignment objects: Cost object Work breakdown structure element Network number
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Activity number Project Name CSCL HR Document Name Functional Specification For Appointment Letter Document ID CSCL_PA01_FS_Appointmentletter Version ID 1.0 Prepared By Date Reviewed By Date Approved By Date Released By Date Sales order Item in sales order a master cost center via relationship A 011 (cost center assignment) or with several via relationship A 014 (cost center distribution) Organizational unit within a controlling area that represents a clearly delimited location where costs occur. There is one cost center and it is assigned to the organization units. Personnel Cost Planning (PA-CM-CP) The system can provide Personnel Cost Planning with data based on simulated or actual payroll results from posting to Accounting Relationship between org units and cost center(STEELMNGT) which is provided by FICO module consultants will be integrate while posting the Symbolic Accounts. Human Resource STEELMNGT Sales A011 (Cost Center) Purchase Finance Materials Des and Dev Quality Production
1. Functional Specification on Appoint Letter Revision History: S.no Version ID 1. 1.0 Date Of Section Revision No dd.mm.yy Description Reason For Change Of Change Change Made By Initials Revised By
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SAP_ABAP_FUNCTIONAL SPECIFICATION Identification Module Process FS ID Personnel Administration Functional Specification For Appointment Letter CSCL_PA01_FS_Appointmentletter
GENERAL REQUIREMENTS
S.No 1.1 Topics Functional Description Description: A Customized Appointment Letter. Expected data volume Development Plan Required start date of Development: Required end date of Development: Testing/Validation Plan Required start date of Testing: Required end date of Testing: Availability of Test Date:
1.2
1.3
(Mandatory)
236
2.2
Processing Requirements Date 1: Get date from selection screen Address: Get value from P0006-01 STRAS and ORT01 Employee name: Get value from infotype P0001 ENAME Position: Get value from IT P0001 PLSTX, where IT0001-BEGDA= IT0000= BEGDA, where MASSN=01. Date 2: IT0000= BEGDA, where MASSN=01 Value1: Get value from IT P0008 - BETRG, wage type is 9001, where IT0008-BEGDA= IT0000= BEGDA, where MASSN=01. Value2: Get value from IT P0008 BETRG, wage type is 9002, where IT0008-BEGDA= IT0000= BEGDA, where MASSN=01. Value3: Get value from IT P0008 BETRG, wage type is 9003, where IT0008-BEGDA= IT0000= BEGDA, where MASSN=01. Value4: Get value from IT P0008 BETRG, wage type is 9004, where IT0008-BEGDA= IT0000= BEGDA, where MASSN=01.
2.3
Name: Get Name from selection screen Output Requirements Report should be updated with Date, Address, Employee name, Position, Pay values and Name. Report
Application Letter
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CSCL HR Functional Specification For User Exit For Medical & LTA CSCL_TM1085_FS_Medical_LTA Version ID 1.0 Date Date Date Date
Project Manager
Consultant
Project Manager
Section No
Change Made By
Revised By
SAP_ABAP_FUNCTIONAL SPECIFICATION IDENTIFICATION Module Process FS ID Time Management User Exit For Medical & LTA CSCL_TM1085_FS_Medical_LTA
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GENERAL REQUIREMENTS
S.No 1.1
1.2
1.3
Topics Functional Description o Description: A Customized User Exit For Medical & LTA o Expected data volume Development Plan o Required start date of Development: o Required end date of Development: Testing/Validation Plan o Required start date of Testing: o Required end date of Testing: o Availability of Test Date:
DETAILED FUNCTIONAL DESCRIPTION S.No 2.1 Topics Input Requirements Infotype 0015 2.2 Processing Requirements System should check IT0015-lgart = 1050 or 1060, If Yes, Then check Begda-P0015, if BEGDA is > IT0000 Begda, where MASSN = 05, Then allow the system to save the record. Else If 1050, then System should give Error Message Not Eligible for Medical. If 1060, then System should give Error Message Not Eligible for LTA. 2.3 Output Requirements
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Project Name CSCL HR Document Name Functional Specification For User Exit For Sick Leave Document ID CSCL_TM2001_FS_Sickleave Version ID Prepared By Date Reviewed By Date Approved By Date Released By Date As per requirement 2.4 Authorizations
Module Process FS ID
Project Manager
Consultant
Project Manager
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REVISION HISTORY
S.no 1. Version ID 1.0 Date Of Section Revision No dd.mm.yy Description Of Reason Change For Change Initials Change Made By Revised By
SAP_ABAP_FUNCTIONAL SPECIFICATION
IDENTIFICATION
Module Process FS ID Time Management User Exit For Sick leave CSCL_TM2001_FS_Sickleave
GENERAL REQUIREMENTS
S.No 1.1 Topics Functional Description o Description: A Customized User Exit For Sick Leave o Expected data volume Development Plan o Required start date of Development: o Required end date of Development: Testing/Validation Plan o Required start date of Testing: o Required end date of Testing: o Availability of Test Date:
1.2
1.3
241
2.3 2.4
242
Project Manager
Consultant
Core Member
243
Project Name Document Name Document ID Prepared By Reviewed By Approved By Released By Revision History S.no 1. Version ID 1.0
CSCL HR Functional Specification of customized infotype For Cost To Company CSCL_PA9001_FS_CTC Version ID 1.0 Date dd.mm.yy Date dd.mm.yy Date dd.mm.yy Date
Revised By
SAP_ABAP_FUNCTIONAL SPECIFICATION Identification Module Process FS ID Payroll Infotype for Cost to company CSCL_PA9001_FS_ CTC
General Requirements S.No 1.1 Topics Functional Description Description: A Customized Infotype for Employees Expected data volume Development Plan Required start date of Development: Required end date of Development: Testing/Validation Plan Required start date of Testing: Required end date of Testing: Availability of Test Date:
1.2
1.3
244
Detailed Functional Description S.No 2.1 Topics Input Requirements Annual Salary <Free Text> (0) Monthly: Basic <Free Text> (1) HRA <Value (2)> Metro Non-Metro (By default) DA <Rs.1000> (3)
Conveyance Allowance <Rs.2000> (4) Special Day < Value (5)> Total <Total (A)> LTA < Free Text >(6) Medical < Free Text >(7) Bonus < Free Text >(8) Total <Total (B)> PF < Value (9)> Gratuity < Value (10)> Superannuation < Value (11)> Total: <Total (C)> GRAND TOTAL: <Total A+B+C> Processing Requirements Annual Salary (0): Free Text, Currency.
2.2
245
Basic (1): Free Text, Currency Value (2): If Metro, 50% of (1), Currency If Non Metro, 40% of (1), Currency DA (3): Rs.1000/- Fixed, Currency Conveyance (4): Rs.2000/- Fixed, Currency Value (5): Annual Salary (0)-Grant Total, Currency Condition: If the value is greater than or equal to zero, then add to special pay, Else, Error message Total A = (1)+(2)+(3)+(4)+(5), Currency LTA (6): Free Text, Currency MEDICAL (7): Free Text, Currency BONUS (8): Free Text, Currency Total B = (6)+(7)+(8), Currency Value (9): 12 % on (1) + (3), Currency Value (10): 4.25% on Basic <1>, Currency Value (11): 15 % on Basic <1>, Currency Total C = (9)+(10)+(11), Currency Grant Total =Total A+ Total B+ Total C Time Constraint = 1 for this Infotype Output Requirements Infotype should be as per requirement Infotype
2.3
246
CSCL HR Functional Specification For Report on Leave Details Of Employees CSCL_TM2006_FS_Leavedetails Version ID 1.0 Date dd.mmyy Date dd.mm.yy Date dd.mm.yy Date
2.4
Authorizations
Functional Specification Signoff Module Process FS ID Payroll Infotype for Cost To Company CSCL_PA9001_FS_CTC
Project Manager
Consultant
Project Manager
247
SAP_ABAP_FUNCTIONAL SPECIFICATION
IDENTIFICATION
Module Process FS ID Time Management Report on Leave Details Of Employees CSCL_TM2006_FS_Leavedetails
General Requirements S.No 1.1 Topics Functional Description Description: A Customized Report on Leave Details Of Employees Expected data volume Development Plan Required start date of Development: Required end date of Development: Testing/Validation Plan Required start date of Testing: Required end date of Testing: Availability of Test Date:
1.2
1.3
248
DD.MM.YYYY
(Mandatory)
(Mandatory)
2.2
249
Output Table
The output is to be given in Text format. 2.4 Authorizations Functional Specification Signoff Module Process FS ID Time Management Report on Leave Details Of Employees CSCL_TM2006_FS_Leavedetails
Project Manager
Consultant
Core Member
* * * End of Report * * *
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