6. Taxes, Pricing Agreem, Rebates Flashcards
0
Q
- What are the module contents (3 items):
A
- Taxes;
- Pricing agreements;
- Rebate processing.
1
Q
- What are the module objectives (7 items):
A
- Describe criteria for tax determination;
- How taxes are determined for each order item;
- Use of agreements in marketing projects;
- Rebate procedure;
- Rebate agreements;
- Rebate settlements;
- Rebate in customizing.
2
Q
- Explain the criteria for tax determination (4 items):
A
- You can assign a rule (blank, A, B) at the sales org level to determine the sales tax id# in the order and billing doc;
- For status blank the standard priority rules are as follows:
- if PY has a sales tax id and diff SP then tax number/classification are taken from PY;
- if rule 1 does not apply then tax number/classification are taken from SH;
- if rule 2 does not apply (i.e. no tax id) then tax number/classification are taken from sold-to; - With status A, tax number/classification are taken from sold-to party and tax number determined based on tax destination country;
- With status B, data is transferred from the PY in the same way as in rule A.
3
Q
- Explain criteria for tax rate determination (3 items):
A
- Business transaction is domestic or import/export;
- Tax liability of the ship-to party;
- Tax liability of the material.
4
Q
- Explain pricing procedures for tax (3 items):
A
- Taxes may be calc using normal cond techniques;
- The cond type for tax is entered into the pricing procedure;
- The access sequence is used to find the relevant condition record.
5
Q
- Explain tax interfaces (3 items):
A
- You need to decide when taxes are calc;
- The tax procedure is assigned in the basic settings of FI;
- For the US for example you have these options:
- TAXUS (taxes are calc in SD);
- TAXUSJ (taxes are calc in the central tax procedure using tax jurisdiction value from ship-to);
- TAXUSX (taxes are calc through an RFC and central tax procedure).
6
Q
- Explain promotion and validity period (2 items):
A
- You can define a promotion or general marketing plan for a product line for a certain period of time;
- You can then link this promotion with specific sales deals, which are then linked to special cond records.
7
Q
- Explain sales deals and promotions in the billing doc (2 items):
A
- The sales deal and promotion numbers are displayed in the detail screen of the billing item;
- The Sales Info Sys can be used to capture and report the stats for the sales deals and promotions.
8
Q
- Explain the release status for sales deals (5 items):
A
- Release status controls where you can find the cond records for a sales agreement;
- Status blank = released;
- Status A = blocked;
- Status B = released for price sim;
- Status C = released for price sim and planning.
9
Q
- List the rebate agreement types (5 items):
A
- Material rebate
- Customer rebate
- Customer hierarchy rebate
- Material group rebate
- Independent of sales volume
10
Q
- Creating rebate agreements (4 items):
A
- The rebate agreement is created with a specific rebate agreement type;
- The features of each rebate agreement type are set in customizing;
- Cond records are linked to the rebate agreement specifying the rebate rate and accrual rate;
- With the rebate agreement you can specify the cond types used with this rebate agreement type and the validity period proposal.
11
Q
- Rebate processing (5 items):
A
- Rebates are diff from other discounts in that they are based on sales vol within a period and paid retrospectively;
- Rebate details are denied in a rebate agreement;
- Settlement run creates the credit memo automatically;
- Accruals can be determined and posted automatically when rebate billing docs are created;
- Rebate credit memo can be used to reverse these accruals if needed.
12
Q
- Prerequisites for rebate processing (3 items):
A
Activate rebate processing for:
- Sales org;
- Payer master;
- Billing doc type.
13
Q
- Rebate processing steps (7 steps):
A
- Begins by creating a rebate-relevant billing doc;
- Valid rebates are determined by the pricing procedure using the rebate basis total;
- Each rebate cond type has an access sequence;
- Access sequence is used to find rebate cond record with the accrual rate;
- The rebate accrual amount is calc using the rebate basis;
- Accrual is posted in FI as soon as rebate-relevant billing doc is released to accounting;
- At the same time, rebate basis and accrual amount are updated in the rebate agreement sales vol screen.
14
Q
- Creating rebate settlements (4 items):
A
- The acum amount in the rebate agreement is used to create a rebate settlement (status A refers to an open rebate agreement);
- A rebate credit memo request is generated for the rebate payment amount specified;
- You can perform a final settlement for the rebate agreement manually, automatically or in the background via batch program;
- Accruals are reversed as soon as rebate agreement is settled by credit memo.