Rebate Process
Rebate Process
Rebate Process
S1
S2
S3
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HERE FOLLOW THE ABOVE PROCESS TO DO NECESSARY SETTINGS FOR REBATE AGREEMENT TYPES AS
SHOWN IN S1-S3
S4
HERE FOLLOW THE ABOVE PROCESS TO CREATE CONDITION TYPE GROUPS AS SHOWN IN S4 WHICH IS
USED TO GROUP THE REBATE CONDITIONS
S5
HERE IN ABOVE SCREEN S5 WE CAN GROUP DIFFERENT REBATE CONDITION TYPE WITH TABLE WITH
CONDITION TYPE GROUP
S6
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HERE IN ABOVE SCREEN ASSIGNS THE CONDITION TYPE GROUP (DEFINED IN STEP 2) TO THE REBATE
AGREEMENT TYPE (DEFINED IN STEP 1) AS SHOWN IN S6
S7
5.1 MAINTAIN CONDITION TABLE FOR REBATES (SAME PROCESS LIKE PRICING)
5.2 MAINTAIN ACCESS SEQUENCE (SAME PROCESS LIKE PRICING)
5.3 DEFINE CONDITION TYPES (SAME PROCESS LIKE PRICING)
5.4 ASSIGN ACCESS SEQUENCE TO CONDITION TYPE (SAME PROCESS LIKE PRICING)
5.5 MAINTAIN PRICING PROCEDURE (CHOOSE THE SAME PRICING PROCEDURE)
S8
IN ABOVE PRICING PROCEDURE SCREEN MAINTAIN ACCOUNT KEY AS ”ERB” & ACCRUAL KEY AS “ERU”
& ROUTINE NUMBER AS “24” FOR REBATE CONDITION TYPES (BO01-BO05)
S9
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STEP 6.1: DEFINE A/C KEYS: -
S10
HERE IN ABOVE SCREEN MAINTAIN THE ACCOUNT KEY “ERB & ERU” AS SHOWN IN S10
S11
HERE IN ABOVE SCREEN ASSIGN THE ACCOUNT KEY “ERB AND ERU” TO THE REBATE CONDITION TYPES
IN CONCERN PRICING PROCEDURE AS SHOWN IN S11
S12
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S13
S14
HERE FOLLOW THE ABOVE PROCESS TO CREATE THE ACCESS SEQUENCE AND ASSIGN THE TABLE IN TO
IT AS SHOWN IN S12-S14
STEP 6.4: DEFINE ACCOUNT DETERMINATION TYPES AND ASSIGN ACCESS SEQUENCE KEY: -
S15
HERE IN ABOVE SCREEN ASSIGN THE ACCESS SEQUENCE TO CONDITION TYPE AS SHOWN IN S15
S16
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S17
HERE FOLLOW THE ABOVE PROCESS TO ASSIGN THE G/L ACCOUNT AS SHOWN IN S16-S17
S18
S19
S20
S21
HERE IN ABOVE PROCESS ACTIVATE THE REBATE OPTION FOR THE BILLING TYPE AND SALES ORG. AS
SHOWN IN S18-S21
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8. ACTIVATE REBATE IN CUSTOMER MASTER (PAYER): - (XD01,XD02)
S22
HERE IN ABOVE SCREEN S22 ACTIVATE THE REBATE CHECK BOX IN BILLING DOCUMENTS TAB OF SALES
AREA DATA OF CUSTOMER MASTER
S23
S24
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S25
S26
HERE FOLLOW THE ABOVE PROCESS TO CREATE THE REBATE AGREEMENT AS SHOWN IN S23-S26
S27
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S28
S29
HERE FOLLOW THE ABOVE PROCESS TO CREATE A SALES ORDER AS SHOWN IN S27-S29
S30
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S31
S32
HERE FOLLOW THE ABOVE PROCESS TO CREATE THE DELIVERY AGAINST THE SALES ORDER AS SHOWN
IN S30-S32
S33
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S34
S35
HERE FOLLOW THE ABOVE PROCESS TO CREATE THE BILLING AS SHOWN IN S33-S35
S36
S37
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S38
HERE FOLLOW THE ABOVE PROCESS TO CREATE MANUAL ACCRUAL AS SHOWN IN S36-S38 & ACCRUAL
AMOUNT MUST BE IN NEGATIVE
S39
S40
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S41
HERE FOLLOW THE ABOVE PROCESS TO CREATE BILLING FOR MANUAL ACCRUAL REQUEST AS SHOWN
IN S39-S41
S42
S43
S44
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S45
S46
S47
HERE FOLLOW THE ABOVE PROCESS TO DISPLAY THE SALES VOLUME & REBATE DOCUMENTS DETAILS
AS SHOWN IN S42-S47
S48
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S49
S50
S51
HERE FOLLOW THE ABOVE PROCESS TO CREATE PARTIAL REBATE PAYMENT REQUEST AS SHOWN IN
S48-S51
S52
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S53
S54
HERE FOLLOW THE ABOVE PROCESS TO CREATE BILLING FOR PARTIAL REBATE PAYMENT REQUEST AS
SHOWN IN S52-S54
S55
S56
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S57
HERE IN ABOVE SCREEN U CAN FIND THE AMOUNT IS REDUCED AFTER PARTIAL REBATE PAYMENT AS
SHOWN IN S57
S58
S59
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S60
S61
S62
HERE FOLLOW THE ABOVE PROCESS TO CREATE FINAL SETTLEMENT REQUEST AS SHOWN IN S58-S62
S63
S64
S65
HERE FOLLOW THE ABOVE PROCESS TO CREATE BILLING FOR FINAL SETTLEMENT REQUEST AS SHOWN
IN S63-S65
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22. DISPLAY REBATE AGREEMENT AFTER FINAL SETTLEMENT: - (VBO2)
S66
S67
S68
HERE IN ABOVE SCREEN U CAN FIND THAT AFTER FINAL SETTLEMENT THE AMOUNT BECOME ZERO AS
SHOWN IN S68
PREPARED BY
RAJESH DASH
SAP MM/SD CONSULTANT
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