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Instructions for each parameter:
Costing Run Date: normally set as last day of closing month
Costing Date From: normally set as first day of next new month
Costing Date To: always 31.12.9999
Qty Structure Date: normally set as first day of next new month
Valuation Date: normally set as first day of next new month
The cycle starts with the selection of the materials that are costed. Click on
in the column « Parameter » / line « Selection »

A new screen appears
beside Material Type
- Instructions for each parameter:Maintenance status (include materials with both accounting view and costing view created):
*G*B*
*B*G*
DF at client level
DF at plant level
X-plant matl status (to exclude some status, see list here)
Plant-sp.matl status (to exclude same status as above list) and execute
Material Type: click here to get the full list.
Tick on ‘Always Recost Material’
Tick on ‘Background Processing’
Tick on ‘Print Log’
WP2

PF2
WP2 + PF2
In the same screen update the plants:
beside Plant
WP2 (ONLY)
To remove Trading Plants (Négoce/NDIR) from WP2 Costing Run the following selections must be performed:
Conclusion : The Plants should be included/added to the already existing exclude list in CK40N (do not delete the Plants already in the List).
1

2

3

WP2
Check Background Processing
and save 
The message “Values of variant xxxx” appears
Go back by clicking
PF2
Instructions for each parameter:
Material Type: click here to get the full list.
Tick on ‘Always Recost Material’
Tick on ‘Background Processing’
Tick on ‘Print Log’
WP2

PF2

