CIN details in vendor master

Hi All,
When i select CIN details in MK02, nothing is coming. pls tell me is theresettings to be done?
regards
B Shar
Edited by: Scorpio n on Feb 6, 2008 5:04 AM

Hi,
Goto SPRO-Logistics(general)Tax on goods movement-India---Master Data - Assign Users to Material Master Screen Sequence for Excise Duty - User screen reference : Enter your user name by which you will get details in Vendor Master
Rgds,
Vikas

Similar Messages

  • Reg. CIN details in vendor master

    Dear All
    For one user the CIN details is not come when create vendor in vendor master XK01. what is the problem.
    I used Tc OMT3E,this code is directly access the configuration,but I think there is another one way to bring the CIN Detials in vendor master. Pls help me.
    Thanks
    Rajj

    Hii,
    Do the below specified configuration:
    Goto
    SPRO -> Logistics General -> Tax on Goods movement -> India -> Master Data -> Assign Users to Material Master Screen Sequence for Excise Duty
    1. Double-click User Screen Reference.
    2. Assign all users who need to see the excise duty information to the screen reference in the Vendor Master.
    In the creation mode or change mode you can find the CIN Details icon in the header screen
    Hope this clarifies
    Regards,
    Kumar

  • Regarding CIN details in Vendor master

    Dear Gurus
    I am viewing in some of the user ids   CIN  Detail tab
    If i wil click that tab means i wil all registration details of vendor like SSI status, ECC number and all
    But in some of the id if i will display vendor master means i am not able view this tab
    I know for those user ids the screen sequence is not refered.
    Basically for this where will assign that details
    Can any body guide me
    Rgds
    Surya

    hi,
    Go to OMT3E, or SPRO-- LG---Tax on goods movement -
    India --- Master data --- Assign users to material master Screen sequence for exise duty.
    Double click on User screen reference.
    Maintain ur user id and the in the next column Maintain * and then save,
    Then you will get the CIN detail Icon in your vendor master.
    Thanks & Regards,
    Kiran...

  • CIN details in vendor report S_ALR_87012089

    Dear Experts ,
    The report S_ALR_87012089 is used for tracking the changes made in vendor master .
    We  maintain the vendor CIN details in the CIN tab in vendor master , but the said report doesnt
    trace the changes made in vendor master CIN tab .
    Pls advice on the same
    Regards
    Anis

    Dear Mahesh ,
    Yes . I have ticked all the check boxes . But the system doesnt trace the changes made in the data filled/changed in the CIN tab .
    That is :
    Excise registration number ;CST No;LST No; Service tax reg no. ; PAN etc etc
    Psl suggest where can i get the change log for the same .
    Regards
    Anis

  • Bank details in Vendor master

    Dear Experts ,
    I want to maintain the bank details of a vendor in its masters . Kindly tell me if it is correct to maintain "Vendor Bank account details " in Vendor master: payment Transaction tab ?
    Regards ,
    anis

    Hello Jurgen ,
    We donot have the data migration at our place . 
    My client wants to maintain the bank details of the vendor along with the MICR code.
    This is purely for reporting purpose .
    Kindly let me know if Payment transaction is the correct place to still do it ?
    Also where do i maintain the MICR code of the bank ?
    Regards
    Anis

  • Vendor bank details in vendor master

    Dear All,
    where do we maintain the bank details of the vendor so that they would appear in payment advise to bank( Developed form). Is it in vendor master details. Then
                How do we come to know which bank if the vendor has more than one bank account. How to display the same in the form.
    In short the relevance of bank details in vendor master and how to display them in payment advice(when multiple bank accounts are there)
    Please help to resolve the issue
    Sapfrido

    Hello All,
    If there are multiple bank accounts specified in the vendor master data, and if it is required to select desired one while making the payment, then the field Bank Type can be used in the vendor master data.
    Against each bank of vendor specify a bank type say 0001, 0002 , 0003 etc...
    In the invoice, under the payment tab there is field name Partner Bank wherein you can specify the bank type mentioned in the vendor master. This will make sure the payment to this invoice happens through a specified bank.
    Regards,
    Sameer

  • Details from Vendor Master

    Dear all
            I want to take the following details from vendor master for a bulk of vendor
    1.Vendor addresses like street 2 and street 3
    2. Email ids
    3. Country
    4. Under bank details the type of account
    Kindly let me know what table i have to use to get the above details

    Hi Chandra
    Check MKVZ
    Or U can get above details by joining table <b>LFA1</b>( except email address contains all details) and  <b>ADR6</b>( For email address)
    To join table for desired output check following
    1)Make a simple query using <b>SQVI</b>,
    2)just clik the quick viewer button,
    create a new quick viewer, name it,
    3)select <b>data souce</b> as table join basis mode.
    Then go to edit,insert table LFA1 and ADR6,Join the same(Drag the parameter and drop in another table to establish link and link all the tables)
    Press check to check whether your link is correct, then press back
    4)You will be able to see the tables and fields on left hand side
    Vishal...

  • How to Use Parameter ID to default the Bank details in Vendor master

    HI,
    Client wants to default the Bank details for his vendor master records which will be created in future.Kindly advice me how to create parameter ID for defaulting the Bank details in vendor master.
    Kindly advice me
    Thanks
    Sunitha

    Hello,
    You have misunderstood the concept of Parameter ID.
    A field can be filled with proposed values from SAP memory using a parameter ID for that particular user. Normally in Finance, you can keep Company Code, Controlling Area etc. can ke kept as default. You find the Parameter tab in User Master Record in SU01.
    I am afraid that you want to populate the bank details in vendor master record. These fields are very critical for all types of payment. You should double make sure that you are entering the correct bank details in the vendor master record. If you do not fill any of these details, your BACS and CHAPS (DME) payments would get failed.
    If your client do not have details of bank information, the same can be filled later by writing a LSMW.
    Thanks,
    Ravi

  • CIN Tab in Vendor master   USEREXIT OR BADI

    Is there any USEREXIT OR BADI for  CIN Tab in Vendor master   .
    Regards

    Available user-exits for Vendor Master:
    RFKRRANZ            User exits: Accounts Payable Information System
    SAPMF02K            User exits: Vendor master data
    Available user-exits for Vendor Master:
    Name of a BAdI Definition      Enhancement Spot               Description
    VENDOR_ADADD_DATA      VENDOR_ADD_DATA                                  Additional Vendor Data
    VENDOR_ADD_DATA_BI      VENDOR_ADD_DATA_BI                           Additional Data for Vendors                                             (Batch Input and ALE)
    VENDOR_ADD_DATA_CS             VENDOR_ADD_DATA_CS          Additional Data for Vendors (Subscreen 400
    VENDOR_FIELDACTIVE             VENDOR_FIELDACTIVE          Activation of CARRIER_CONF Field

  • Cin details in vendor and customer master

    Hi
    In my user id i am not getting the CIN details while using vendor and customer masters where as my coleague is getting these details while creating, displaying or editing the vendor and customer masters, please suggest regarding.
    Prakash

    SPRO -> Logistics General -> Tax on Goods Movement -> India -> Master Data -> Assign Users to Material Master Screen Sequence for Excise Duty.
    Select User Screen reference and add your username.

  • CIN TAB in vendor master

    hI ALL,
    IN  OMT3E, or SPRO-- LG---Tax on goods movement -
    India --- Master data --- Assign users to material master Screen sequence for exise duty.
    Double click on User screen reference.
    Maintain ur user id and the in the next column Maintain * and then save,
    i  couldnt able to get the CIN detail Icon in your vendor master.
    any settings am i missing?.
    Regards,
    velu

    Hi
    KIndly check the
    Put the  entries as below
    Sref trans     user             Mat type         Industry         Screen seq
    01     *     *     *     Z1     Std ind.(short) tab pages
    03     *     *     *     23     Std retail: tab pages
    Click on user screen reference and maintain your user id
    CIN details  will show in  your user id only.
    Regards
    Damu

  • How to activate CIN tab in Vendor Master

    How to activate CIN tab in Vendor Master

    Hello
    Goto T.code OMT3E
    Select 'User screen Reference'
    Click New Entries
    Enter the *SAP user name and give ' * ' in SRef: user and save the entry*.
    Maintain all the user names for whom you want the CIN Details Tab in Vendor master.
    Regards
    Gregory Mathews

  • Vendor Bank details in vendor master data

    Hi
    There are two tabs in vendor master data:
    1. Payment Transaction tab
    2. Payment Transaction accounting tab.
    Now i have 100 different vendors with all vendors having account in 20-25 banks. Even if the bank is same, these vendors have account in different branches.
    Now in SAP will i have to create so many bank keys for 100 different vendors?
    In payment transaction tab, there is only one field for our house bank for making payment through APP. What if i need to pay to different banks? Where i will maintain multiple house bank in such cases.
    Please reply for above two queries.

    Hi  Deepak,
    Please understand that there is a total disconnect between the House banks(internal Banks) that you create in FBZP and between the vendor bank Accounts. For Vendor banks you don't need to create House Banks..but YES, you will have to create bank Keys as many as required to maintain Vendor bank details in XK02..Payment transactions tab.
    If you have more than one Bank from which you want to pay.. then maintain all those Banks in FBZP and link it to Payment Methods and when you run APP, you can choose which Bank you want to pay from..
    Secondly, while posting Invoice also if you are sure about the Bank that you want to use.. enter house Bank while posting..
    Thirdly, if you are sure about the Vendor that he gets paid through a particular bank only.. maintain that particular bank in the vendor master data.. and if you are not sure about the Bank.. keep it blank..and decide in APP variant which bank you want to pay from..
    Vendor master bank details of the vendors are used to send to Bank,.. so that the money can be directly credited in the vendor Bank account..
    Hope this helps..
    Regards,
    SAPFICO

  • Duplicate Bank Details on Vendor master

    Hi Gurus,
    Is it possible to add multiple banking details on a vendor master with different "Reference" field.
    I get the below error:
    +Bank details have been duplicated+
    Message no. F2049

    Hello,
    If there are multiple bank accounts specified in the vendor master data, and if it is required to select desired one while making the payment, then the field Bank Type can be used in the vendor master data.
    Against each bank of vendor specify a bank type say 0001, 0002 , 0003 etc...
    In the invoice, under the payment tab there is field name Partner Bank wherein you can specify the bank type mentioned in the vendor master. This will make sure the payment to this invoice happens through a specified bank.
    Cheers
    Raghu

  • Getting Account Hold or Ref Detail from Vendor master in IDOC

    Hi,
    In the vendor master, payment transaction,, I would like to get the account hold or reference details field in the IDOC field when the payment in done by F110.
    Does anyone how to bring that field.
    Thanks,
    JR

    Hello
    The IDOC has three parts, the header (Content, structure,sender,receiver and status) Data segment (Segment number and field of 1000 character), status records.
    Modifications to IDOC can be done by the ABAPer by changing the logic in the program. Please discuss with the tech team / change / test .
    Reg
    *Assign points if useful

Maybe you are looking for

  • Is Adobe Bridge usable in Elements 10

    Is Adobe Bridge usable in Elements 10

  • How do I delete photos from iPhone but not from connected iPad and mac

    Too many photos on iPhone, but if I try to delete it says will delete from all devices, Mac and iPad.  I want to keep on Mac and iPad.  Is there a way to do this.

  • I'm trying to update my iPhone 4 operating system

    I have a PC with Windows 8. I'm trying to update my iPhone 4 to iOS 7 but I can't iTunes to connect with the phone. I'm using a USB port. I just updated itunes to 11.1. Any advice?

  • Dynamic ACTION creation

    Hi Everybody , I am working on dynamic creating ui ELEMENTS . iI want to create buttons dynamically in tab strip . And i dont know how many buttons i have to create also in design time .so i want to create actions also dynamically and assigneg action

  • Oracle table export ot Excel

    Dear folks, I am looking to export some oracle tables into excel format. I tried using sql developer but since the table has huge rows (>12L), it is taking too much time. I tried to export it in csv format also but not getting enough benefit. We do n