Accounting entries for intercompany billing process

hi,
can any body explain what it intercompany billing process and intra company billing process and STO processess.
and their individual accounting entries of these three business with excise impact.
regards,
balajia

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  • CIN Pricing Procedure for Intercompany Billing Process

    Hello All,
    Please suggest me what Pricing procedure I can use for Intercompany Billing for CIN.
    I have created a ZPricing Procedure coping the JINFAC but its for normal sales what CIN configuration I have to do for Intercompany billing.
    Please suggest..
    Regards
    Venkat

    Not Answered

  • Billing posting for intercompany delivery process

    Hi all
    we configured a new process for intercompany billing to use a standard PO for delivery between a warehouse and a store both in different co codes. Process is based on vendor and customer defined in retail sites both WH and store. Eg. WH site code D002 with assigned vendor D002 and customer D002. Similar for receiving store RA01, vendor and customer RA01.
    Financial entries for delivery and billing posting are done between thses AP/AR accounts. As we have several warehouses and lots of stores will become difficult for finance to reconcile it.
    Request is to have one generic customer assigned to all warehouses and one generic vendor assigned to all stores, this reducing (in FI view only).
    my questions:
    1. is any way to configure in FI or Billing for a several customers with different codes FI entry to be posted to one AR account only in issuing company and similar for several vendor accounts during MIRO FI entry to be posted in one AP acount only?
    2.  On standard intecompany delivery, since we use only one document in both companies (PO) what is the way to do a reconciliation betwen PO issued and booked at receiving site. Like transaction codes eyc.
    Thank you in advance for help
    Silviu J

    Hi,
    My suggestion would be to go with the DIP Profile with the material determination.
    In your case it would be the travel expenses.
    Create a WBS elemenent where these services are being used and make it as billing element.
    Assign a sales order with this this material and assign this DIP Profile in Sales Tab-B.
    DP81, ODP1 are the Tcodes you can look for..
    Reward points if found useful.
    Thanks..

  • Credit Memo Request for intercompany sales process

    Hi Experts
    I try to find SAP notes regardsing the credit memo request for intercompany related issue but I can
    not find any nates. The customer return the goods with 2 different
    scenario :-
    -Return with credit
    -Return with replacement.
    Can anybody explain how this 2 scenario perform in the SAP
    intercompany sales process. Appreciate for your help. Thanks in advance.
    Regards,
    Jennie Tan

    Already answered
    Enter IG (internal credit memo) as the billing type for intercompany
    billing for order type RE.
    Cust-Sales/distrib-Transactions-Billing-Intercompany billing-Order types
    Intercompany billing always refers to a delivery
    Processing flow will be:
    1. Create returns request invoice receipt (with or w/out reference)
    2. Create returns delivery and goods receipt
    3. Create credit memo invoice receipt for customer for 1.
    4. Create internal credit memo for 2.
    Therefore you must make the following entries in the document flow
    for billing documents:
      Target BillType        DlvType              ItemCat
    a)    IG                  LR
    b)    IG                  LR                    REN
    Parameters for entries:
    For a) Copying requirement:  14  Dlv.-rel.header IV
          Copy item no.: x  (Check and decide yourself)
    For b)Copying requirement: 15 Dlv.rel. item IV
          Data VBRK/VBRP      : 1  Inv.split (sample)
          Billing quantity    : B
          Qty/itm val.pos/neg : +
          Pricing type        : G
    Also, refer following SAP Notes
    13160 - Returns with intercompany billing
    24756 - Credit memo requests with inter-company billing
    652007 - Reporting internal credit memos on arrival side
    11980 - Intercompany billing with order-related billing document
    164074 - Problems for internal invoices on returns
    Thanks & Regards
    JP

  • Automatic account postings (for Intercompany Purchase order and Sales order

    Hi all,
    I need some help related to the automatic account postings (for Intercompany Purchase order and Sales order)which i can set for the follwoing scenarios. I have looked on the forms and searched alot but not able to a single solution to solve both the pupose. if one scenario works the other doesnt. Please advise.
    I have created the master data
    Customer receiving--G001
    Sales Org.--GXIN
    Distr. Channel- 01
    Division - 00 
    Company code receiving - G1
    customer supplying- V001
    company code for supplying- V1
    2 different scenarios
    1- Intercompany Purchase order in which a Customer receiving- G001, gets stock replenishment NB purchase order from supplying company V1- GI  and GR of stock is done. Biling document for customer receiving G001 is created. But now I need a way to do the opposite side posting at the supplying customer -V001-- this I do using an Idoc which creates a Invoice receipt for creditor(supplying customer) V001.
    2. Sales order-- A customer X001 of company code G1 buys stock from the company code V1. the customer G001 of company code G1 bills the customer X001, but the intercompany billing doc/ invoice is created for the customer G001 by company code V1.  then now i want an automatic account posting to be created at the supplying customer V001 via idoc.
    Can this be achivable via Idoc with automatic account postings.   
    Please let me know if it doesnt make sense. thanks to all in advance
    cheers
    Jasmeet

    Hi all,
    For the Sales order and automatic posting we have created an output type ZR4N- this is creating a batch input session which can be triggered to be processed autmatically.
    For the intercompany Purchase order -from Invoice we are creating a different output RD04 (sap standard) which creates invoice receipt at the vendor side.
    Rest of the settings are defined using SAP standard functionality within transaction OBCA, OBCB, OBCC, OBCD,OBCE
    thanks for viwing the post
    Cheers
    Jasmeet

  • Recognize COGS in intercompany billing process

    Dear expert,
    I read the intercompany billing process and have some confuse.
    The process like that: CC1(company code 1) sells to end customer, CC2 (conpany code 2) (internal relationship) issues good.
    1, CC1 sells to end customer. CC1 create the SO
    2, CC2 creates the DO and PGI, that recognize the COGS at CC2 for the internal sales.
    3. CC1 creates the billing to end customer --> record the revenue of CC1
    4. CC2 creates the internal billing to CC1 --> record the internal revenue of CC2
    My question is, follow this process, I don't see the COGS of CC1, there is only a outbound delivery create by CC2 and COGS of CC2.
    I read the document about cross transaction, but it guide me only for steps above.
    Are there any mistake here?
    Please give me a help.
    Thank you in advance!
    HongDM

    Dear expert,
    I have some question about the document flow of the intercompany billing process.
    Company code 1 (CC1) sell to customer
    CC2 issue goods to customer of CC1, then internal billing to CC1.
    the step as below:
    1. CC1 create SO (sell to customer)
    2. CC2 create outbound delivery to Customer of CC1, recognize COGS of CC2
    3. CC1 bill to customer, recognize revenue of CC1
    4. CC2 create internal invoice to CC1, recognize revenue of CC2
    in internal invoice of CC2, update the output RD04. Does it recognize COGS and goods receipt to CC1? Because as above document flow, I see that, the CC1 don't have COGS, not receipt goods to plant of CC1 and Account Payable for CC2. There my thinking as logic of flow, but I'm not sure what the EDI and RD04 can do. Can you tell me about that.
    Thank you very much, this is very helpful for me.
    Best regard,
    HongDM

  • Accounting Entries for Materials Return from Production Order

    Dear Gurus,
    I have a scenario here that a raw material, valuated at moving average = 151 and qty = 100, was issued to a production order last month. Due to some issue the order was not completed for a while and 93 qty was  consumed for the order and because the remaining 7 were excess they were returned to the storage location. By that time the MOV had changed from 151 to 185 and the 7 qty was returned not at 151 (which would be correct) but at 185. This is a wrong accounting entry as it is showing an under consumption for the order.
    Anyone have an idea why the system is doing this because the material should be returned on the price it was issued at so that the accounting entries are knocked off (The accounting entries for return deliveries to vendors are of the same price that they are recieved no matter how ever long a period they are returned). How do we stop the system from doing so and if it cannot be done what is the solution to the scenario.
    Regards,

    The normal entires are as follows (depending on your configuration);
    1) Goods issue;
    Credit inventory and debit COGS;
    2) Billing document;
    Debit customer account credit sales accounts;
    3) Payment;
    Credit customer account and debit cash/ checking account
    pls assign points if helpful as a way to say thanks.

  • Give me the Configuration steps  for intercompany billing and third party s

    Hi Gurus,
    Give me  the Configuration steps  for intercompany billing and third party sales and give me a brief description with examples.
    Regards,
    YSR

    Dear YSR
    Check the links
    [Cross Company Configuration|http://help.sap.com/bp_bblibrary/500/Documentation/J62_BB_ConfigGuide_EN_DE.doc]
    [Third Party Without Shipping Notification|http://help.sap.com/bestpractices/BBLibrary/html/J55_ThirdPartyWOSN_EN_US.htm]
    Third party order processing is as follows:
    Assume three companies X, Y and Z
    X - The company,
    y - The customer
    Z - Vendor
    When ever X gets a PO from Y to supply some goods, X has an option of either manufacturing those goods or procuring those goods.
    If he is procuring the goods, there are two methods that are generally followed:
    Method 1)
    After receiving the PO from Y, X creates a sales order against Y.
    Now at the same time he also creates a PO to a vendor Z to produce the goods
    Z produces the goods and supplies to X
    X receives the goods from Z
    Then X delivers the same goods to Y.
    After that X invoices Y and Z invoices X.
    Note : Here there is no direct/ Indirect relation between Z and Y.
    This process is known as Trading Process. and the Material here is created  with Material type HAWA.
    The other method is a Third party order processing method:
    Here the glaring difference is that instead of Z supplying the material to X and X in turn supplying the same material to Y.
    X authorizes Z to supply the material to Y on his behalf and notify him once the delivery is complete.
    Now Z supplies the material to Y and acknowledges the same to X.
    Z  will send a copy of delivery acknowledgement and invoice to X.
    After receiving the delivery confirmation and invoice from Z, X has to verify the invoice and this process is known as invoice verification and is done in SAP through Tcode MIRO.
    The next step for X  is to create an invoice and submit to Y
    Only after the invoice verification document is posted  then only X can create an invoice for Y.
    This is the business flow that is followed for third party order configuration.
    There are few steps that have to be configured to enable the system to function as mentioned above.
    Step1)
    If you are always followwing a third party process for a material then you have to create the material using item category group BANS.
    The procument type should be marked as External procurement (F) in MRP 2 view of the material master record.
    if you are not always allowing third party order processing then u can create a material master record with item category group as NORM and the procurement type should be marked as ( X) meaning both types of procurment ( in house manufacturing and external procurement).
    Step 2)
    the item category in the order should be manually changed as TAS.
    For that you need to confugure the item category determination
    ord type + item cat grp + usge + Hiv level = Item cat + Manual item cat
    OR + NORM +      +       = TAN . + TAS
    OR + BANS +       +       = TAS
    Step 3)
    make sure that during the item category configuration for TAS  you need to mark relevnat for billing indicator as F
    Step 4)
    The schedule line cateogry for this type should be CS.
    make sure that you mark  subsequent type as NB - purchase requisition  in this schedule line category as this will trigger the purchase requision order immediately after the creation of the sales order and the PO to vendor is created against this purchase requiesion.
    thanks
    G. Lakshmipathi

  • Partner determination for Intercompany Billing

    Dear Guru's,
    I have configured intercompany sales process and am facing difficulty in the billing part.
    When the Intercompany invoice is generated, the payer in this invoice should be the internal customer(the customer asigned to the ordering sales organisation)
    But actually the Intercompany invoice is picking up the external customer as the payer.
    Can anyone tell me why it is doing so and what corrective configuration is to be done to ensure , it picks up the internal customer as the payer.
    Regards,
    Avinash Gyale

    hello,
    for correct customizing please check the following notes:
    308989
    338922
    don't forget:
    Assign customer number for intercompany billing to sales organization  (TA ovx5)
    Define Internal Customer Number By Sales Organization  (TA ovva)
    Create customer master record of internal customer in the sales organization of the delivering company code (Sales and Distribution segment (TA XD01)
    Balazs

  • Accounting Entries for Order to Cash

    Hi,
    Please give me the accounting entries for flow of Oder to cash. What are the entries from starting of SD Order to Fianl Customer Payment.
    Thanks,
    SRK

    The normal entires are as follows (depending on your configuration);
    1) Goods issue;
    Credit inventory and debit COGS;
    2) Billing document;
    Debit customer account credit sales accounts;
    3) Payment;
    Credit customer account and debit cash/ checking account
    pls assign points if helpful as a way to say thanks.

  • Cancellation for Intercompany Billing

    Dear Expert,
    Why system allow to cancel VF11 for Intercompany Billing that has been cleared.
    Any setting to disallow cancel Intercompany Billing that has been cleared.
    Cheers.

    Hi
    chan chan
    In case of VF11 the sysetm is reversing the accounting doc in background and there is no setting to hold VF11 as per standard SAP. Same when accounting doc is generated in background. during VF01 for comeercial inv.
    But even if u want to do
    U can do it by removing cancellation billing type from yr inter co billing type.
    Thx.

  • Accounting Entry for Depot Excise Invoice

    Hi Gurus
    We make a STO from factory to depot. I have posted the depot excise invoice via J1IJ but Im unable to see the accounting entry for the excise invoice..
    Im able to see the acounting entry for excise invoice for factory sales thru J1IIN..
    Pls advise
    Rgds..Vinz

    Hi Vinz,
    I would like to explore more for ur info.
    When u create Excise invoice at Factory Using J1iin, accounting entries flow to the system. When u transfer it to Depot, u credit the Excise amount using MIRO and post it to RG23D ( Depot Register)
    The value of the excise for which u have taken credit from ur factory would be passed on to customer now.
    If you notice carefully, when u take credit of Excise entry in RG23d No accounting entry flows in the system, only value & qty gets updated to Register.
    Generally, while deciding the selling price from depot  u consider Basic price + Excise duty. since u are passing on the excise benefit to customer, using proforma excise invoice (transaction J1IJ)
    So there is no wuestion of accounting entries.
    Hey CIN Gurus.. correct me if i am haveing any misconcepts regarding this.
    Hope this is clear to you now..
    Reward if helpful..

  • Accounting Entry for Outgoing Payment

    Dear experts,
    I am currently doing PLD for outgoing payment.  Just want to know how I can include in the disbursement voucher I am doing the accounting entries for this.,  Example:
    Accounts Payable (Control Account)         20,000.00
         Cash in Bank MBTC  (GL account of the chosen Bank account)    20,000.00
    Thanks
    Sandra

    You may check this thread to have a reference:
    Re: Branch Code in a bank transfer summary report
    Thanks,
    Gordon

  • Customer for Intercompany Billing

    Hi
    Where is the customer for Intercompany Billing copied from?
    I have a Purchase Order - Ordering Plant A in Company Code 1. Material is ordered from Plant B in Company Code 2.
    In delivering plant B we create Delivery against a Purchase Order.
    Than we Create Invoice via VF01 against a delivery?
    I am wondering how customer and partner functions are copied into the billing document.
    Thanks
    Mairusz

    Hello Ivano
    Thanks. I have following case:
    Devliery should be done to Customer 1050. This is the one assigned to plant in customing "Define Shipping Data for Plants".
    But I want billing to be done against customer 1000.
    I have set Partner Functions for customer 1050 as follows:
    SP     Sold-to party     1000
    BP     Bill-to party     1000
    PY     Payer     1000
    But every time in the billing document Sold-to Party = 1050.
    Can you advice why? How should I set it correctly.
    Thanks
    Mariusz

  • What to do if item category is not relevant for Intercompany billing?

    Hi,
    What to do if item category is not relevant for Intercompany billing?
    It should not appear in the billing due list (VF04).
    Best regards,
    Eric.
    Edited by: Eric Van Zundert on May 2, 2009 10:42 PM

    Hi
    Create a new item category which will be relevant for Intercompany. And assign to your sales document as per your requirement.
    try.

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