Revaluation 

Purpose

You use this function within Logistics Invoice Verification to determine the difference values on the basis of price changes that are retroactively valid and to create settlement documents for them. You can send the revaluation settlement documents to the vendors as Messages.

The optimum business situation includes the following factors:

In which deliveries are made at regular intervals for the same purchase order items or scheduling agreement items.

For example, if difference amounts are only a result of price changes.

· At the moment you cannot enter a contract item directly.

· You cannot revaluate purchase order items for external services management (item category D).

· You cannot settle documents containing changing currencies.

Prerequisites

Application

Customizing

Function

Settings in Customizing for Invoice Verification

You must have assigned a document type to Revaluation.

Incoming Invoice ® Maintain Document Types and Number Ranges and then Document types: invoice verification

You must have maintained message condition records for creating messages and settlement documents.

Message Determination ® Maintain Conditions

You must have maintained message schema MR0005.

Message Determination ® Maintain Message Schema

You must have maintained message types RAP for print output and fax, and RAP 6 for EDI.

Message Determination ® Maintain Message Types

You must have maintained transaction key RAP, Expense/revenue from revaluation, which determines which account is posted.

Invoice Verification ® Configure Automatic Postings

You must set the field status for the account groups affected to optional entry so that you can maintain the Revaluation field in the vendor master record.

Settings in Customizing for Logistics - General Logistics Basic Data: Business Partners ® Vendors ® Control ® Define Account Groups and Field Selection for Vendors

Process Flow

After the conclusion of purchasing negotiations, prices and conditions may have been retroactively changed. The goods receipt is valuated using the conditions of purchase and forms the basis for settlement.

For goods and services that have already been settled, the system thus determines prices different to those possible on the settlement date. Therefore the system must:

  1. Determine the difference values
  2. Post settlement documents in the form of an invoice or a credit memo to the vendor’s account
  3. Send the settlement documents to the vendor

See also:

Difference Value Determination

Posting a Revaluation

Carrying Out Revaluation