Prerequisites
You have signed an agreement with a new rack jobber, and wish to create master data for rack jobber processing in the R/3 System.
Procedure

You must enter the sales data for the articles before the next step. Otherwise you may have problems determining the rack jobber in the operative processes.
Enter the vendor number that you created for the rack jobber in the Rack jobber field.
You select InvMangmnt to activate Inventory Management.
You choose RevAccAssgmt to assign an existing Financial Accounting revenue account to which the rack jobber revenue is posted. From table list, select an entry that contains the vendor number. In the next list, assign the appropriate G/L account to the vendor. Make the following entries:
Field name |
Description |
Entries |
App |
Application |
V |
CndTy. |
Condition type |
KOFR |
ChAc |
Chart of accounts |
the chart of accounts used in the store concerned |
ActKy |
Account key |
ERL |
You can also define account determination for the account that is to contain the rack jobber fees. To do this, you use the account key that is entered in the calculation schema for the item in which the fee is charged. If fees are assigned to an account directly when every individual transaction is posted, performance is affected. It is better that you assign the fees to an account at the end of a settlement period.
Save and return to assortment module maintenance.

For rack jobber articles, you cannot calculate the sales prices on the basis of the purchase prices.