Document Extract: Transferring Posted Data

Use

Usually the receipt data relevant for LIFO valuation, that is, the quantities and values from goods receipts and value differences from invoices, is updated by the applications. The system creates a data record for each valuation level, material and posting period. This process allows you to subsequently include documents posted in the system in the receipt data relevant for LIFO valuation. You can create single receipts or receipts in aggregated form for each posting period.

Note Note

You do not have to create LIFO relevant receipt data if new layers are always valuated at the price in the material master.

End of the note.

You need to transfer data that has already been posted in the following circumstances:

  • If you want to implement LIFO valuation in the middle of a settlement period

    In this case, no LIFO receipt data exists yet.

  • If you want to run LIFO valuation based on single receipts

    LIFO data records that are automatically created when LIFO valuation is active are aggregated on a posting period basis. If you run valuation based on single receipts, you must create new LIFO data records. The differences between receipts on a posting period basis and single receipts are illustrated in an example .

Procedure

After you have created a base layer or imported old layers into the system, you must then copy over the receipts relevant for LIFO valuation that have been posted since the start of the current settlement period. This is the only way that you can ensure that all relevant receipts are included in the next valuation run.

Note Note

When large volumes of data are involved, you should only update LIFO data using background processing.

End of the note.

To transfer posted data, proceed as follows:

  1. Choose Start of the navigation path Valuation Next navigation step Balance Sheet Valuation Next navigation step LIFO Valuation Next navigation step Prepare Next navigation step Create Document Extract. End of the navigation path

    The system displays the selection screen.

  2. Specify for which materials the LIFO-relevant goods movement should be transferred.

  3. In the screen box Update , select Receipt Data if you want the data to be updated.

  4. Choose Execute .

Result

The system displays a list of the documents.

See also:

Preparation of LIFO Valuation

LIFO Valuation

Balance Sheet Valuation (MM-IM-VP)