Error while releasing billing documents to accounting

i am facing the following problem while releasing billing documents to accounting i.e, taxcode in procedure TAXD is invalid...   pls solve it...

Hi,
That means the tax code which you are using is not linked to your tax procedure.
For this Goto T.Code :FTXP
Give Country for which this tax procedure is used.
Next you have to give the Tax Code which you are using, if it is not created in that then it will create that tax code for that country, in that screen you will see all the tax condition types, give your tax percentage to the condition type which you want to use (Say MWST)
Now release the billing document for accounting.
You want face the issue.
Hope this is clear.
Reward if helpful.
Thanks
Praveen

Similar Messages

  • Cost Center Error while releasing Billing document to Accounting

    Hi SAP Gurus,
    Our user raised an issue that when he had released billing document to accounting, the system threw error message
    "Cost center xxxx (CO area)/xxxx(Cost center) does not exist on date 11/16/2011". Message No. KI 222.
    But the cost center xxxx does not exist in the system at all. The user does not want to create the cost center eirther. Cost center was not entered in Sales order, Delivery and Billing. I have checked 'Default account assignement' (OKB9) settings, Default account assignment in cost element master record and assignment of cost center to sales organization (OVF3). But cost center xxxx was not configured in the above settings. I have checked validations/substitutions, user exits and BAPIs, there is nothing specific to the cost center. This is not a cross-company code scenario. I have made field status to optional for cost center. But still the problem persists. Accounting document did not get generated because of the above mentioned error message. User applied SAP notes 315350. But it did not resolve the issue.
    Would anyone let me know 'why the system showed the cost center xxxx that does not exist, while releasing the billing document to accounting'?
    Thanks in advance.
    Best Regards,
    K.S.K

    Hi Friend,
    I think this link help for you
    Cost center XXXX does not exist on 15.09.2010.
    or check the OVF3

  • Error while release Billing document into Accounting -Help me

    Hi,
    While releasing SD billing document into Accounting,i am getting the blow error.Please advice me
    Valuation with material cost estimate: error with product "000AA696"
    Message no. KE350
    Diagnosis
    In Profitability Analysis (CO-PA), the system tried to valuate a line item using the current standard cost estimate.
    In order to determine the current plan period, the system needs to read the valuation segment of the material master.
    The system has found that the current plan period is not filled forproduct "000AA696" in plant "OB01".
    Display material (View: Costing)
    The system looked for the material cost estimate using costing key "YG3", as defined in the Customizing settings for CO-PA.
    System Response
    The document cannot be processed.
    Procedure
    Contact your system administrator.
    Thanks
    Sunitha

    Hi Sunitha,
    Please check your settings in KEPC. Check which costing key you have assigned to your plant.  Also check which rule you have set for the costing key. For example if  you have assigned "current standard cost estimate acc. to entry in mat. master" then check here is no current standard cost estimate for material.
    Regards,
    Abhisek

  • Error while releasing billing document to accounting

    Hi,
    I have an issue in the Sales order cycle.
    I have created a sales order and completed all stages till the creation of a billing document. However when i try to release this document to accounting, it creates an error,
    "Incorrect doc.no.: 520000007. Select document number between 0090000044 and 0090999999".
    Kindly note that 520000007 is the billing document number.
    Please advise.
    Thanks,
    Safi

    Hi,
    I presume your billing document number range is defined between 0090000044 and 0090999999. You can check it via FBN1 transaction. You should either assign the right number or change the number range for the document type in question.
    Regards,
    Eli

  • While releasing billing document to accounting getting error message

    Hi Friends,
    I have created new condition type -YES7 and assigned to pricing procedure YDE10K ,I am releasing billing document to accounting but while releasing to accounting document I am getting error messages as "Assign condition type YES7 in CO-PA"
    if i double cilck this messages I am getting below descriptions.
    Assign condition type YES7 in CO-PA
    Message no. KE 391
    Diagnosis
    The system tried to transfer billing data to Profitability Analysis. However, an error was found in the assignment of condition types to CO-PA value fields. No entry has been made in the assignment table for condition type YES7.
    System Response
    The billing data cannot be posted to CO-PA if there is no entry as this would lead to differences between CO-PA and Financial Accounting. This is because this condition type posts to a G/L account (S400160).
    Procedure
    In CO-PA Customizing, make an assignment for condition type YES7 in operating concern EU01 under "Actual postings -> SD interface -> Assign value fields".
    so please let me know how to rectify this issue.
    Thanks in advance.
    Regards,
    Ramkrishna

    Before posting any question, please search the forum so that you would get solution straightaway.  Check these threads
    [Re: Assign condition type ZSMN in CO-PA|Assign condition type ZSMN in CO-PA]
    [Re: Billing not releasing to accounting|Billing not releasing to accounting]
    thanks
    G. Lakshmipathi

  • VF02 error in Release Billing document to Accounting document

    Hello SAP Folks,
    A sales order (VA01) and corresponding billing document has been posted (in VF01). When I try to release the billing document to Accounting, an error "Incorrect document no. XXXXXXXX.  Select the document number between yyyyyyyyy and zzzzzzzzzzzzzz " shows up. When I tried to find error through VFX3, it says, Release incomplete due to "FI/CO interface" Can anyone suggest the missing configuration.
    PS:  I checked the doc. type RV (Billing doc. transfer) and Billing type F2. They are in different number ranges. and RV is marked external. The number range settings are similar as that of another Company code (where we are able to release billing document to accounting document).
    Thanks in advance,
    Narayanan

    Hi,
    Thanks for your suggestions. The issue is resolved by changing the number range for RV document type (though it is still external). I guess this is made external since the Billing document number is passed to FI document number when it is released to Accounting documet.
    After the release, both Invoice and Accounting document have the same no.

  • Error while posting billing document to Accounting

    Hi,
    We are getting an error when posting Billing document to Accounting .Eror "The document type is relevant for VAT.Please inset a VAT code in postings.
    Thanks in advance.

    Dear Ravinder
    Go to VF02, input the billing document and execute.  Now from the top menubar, click on Goto <> Header <> Header.   There check what pricing procedure is flowing.
    Now go to V/08, select that pricing procedure and check whether you have maintained the condition type for VAT.  I believe you have not maintained and hence, the error. Include the VAT condition type and create a fresh sale order.
    Meanwhile, you have to reverse the billing document via VF11, reverse PGI via VL09 and delete the delivery document. 
    thanks
    G. Lakshmipathi

  • Error in VF02 while releasing Billing Document to Accounting

    Hi,
    I am  getting the below error while releasing the billing document to Accounting.Kindly help me in solving the below error.it would be a great help to me.
    Error Message is-
    System error in routine FI_TAX_GET_TAXJCD_LEVELS error code 2 function builder TAX2
    Please do the need ful
    Thanks
    Supriya

    Hi Supriya,
    This is tax jurisdiction error. We assign tax juridiction at three levels
    We give the tax jurisdiction at the time plant definition-Plant level
    We maintain at VK11 t.code SD
    Spro-FA-FA GL-Tax on sales or purchases-define tax jurisdiction-FI Level
    May be you given the tax jurisdiction code at VK11 and you have to give that at FI level also
    Regards
    Surya

  • Error while releasing Billing doc to Accounting

    Hi all
    I am gettin the following error while releasing a Billing doc to FI-
    Reconciliation account 240001 or short key 00 is not permitted
    The Billing doc pertains to Export sales and the billing Doc type is Export Invoice. However the Customer Recon A/c is defined as 240000 which is for Domestic Sales. A/c 240001 stands for Export Sales. I am wondering why it is asking for the Export Sales Recon a/c. Does this has something to do with Alternative Recon A/c? Should I set an Alternative Recon A/c and check this? If yes, then should it be defined in SD or FI?
    If any1 has come across this prob, plzz help me.
    Regards

    It is all Fi related, and should be defined by the Fi Consultant.
    But by changing the sort key I think your error can be solved. But I don't exactly know your config settings to recommend any solution.
    Regards
    AK
    Please reward if helpful

  • Error while releasing Billing Document in VF02

    Hi,
    I am getting the below error while releasing the billing document in VF02. What could be the reason for this?
    Characteristic value  US does not exist for characteristic WWCST (Country Ship-to)
    Message no. KE0C133
    Diagnosis
    The characteristic "WWCST" ("Country Ship-to") should be posted to Profitability Analysis (CO-PA). When the system checked the entries, it was established that the transferred characteristic value (" US") is not valid in CO-PA.
    System Response
    The data is not consistent and therefore cannot be transferred to CO-PA.
    Procedure
    With the function Maintain Characteristic Values, you can add characteristic values to those that are valid.
    Thanks
    Babu San

    Hey,
    Nicolas' reply is correct.
    And in case you could not maintain the relevant table and want to undo the
    check against the check table for some chars you have to remove the check
    table from table TKEF and afterwards regenerate the check routine RK2FGPKE.
    I will explain this more in detail on the basis of an example: imagine you want
    to get rid of the check table for char WW123. You must then proceed as follows:
    1.) Remove the entries for fields CHTAB and CHFIE from the TKEF record
        for WW123 (that means FIENM = WW123) so that these fields are after-
        wards initial in table TKEF for the WW123 record. 
    2.) Execute function module RKD_SHORT_TEXT_GENERATE for APPLCLASS = KE
        so that program RK2FGPKE is regenerated.
    But please be careful about this workaround and test it throughly in your DEV or QAS
    system before apply in PRD system.
    Best Regards
    Young

  • Error while releasing Billing document in Subcontract process

    Hi All,
    We are working on Subcontract process as explained below:
    Company code X purchases the component A and sends it to Company code Y on Subcontract. Company codes X and Y belongs to one company using single operative chart of Accounts, Controlling area & operating concern. FI configuration has been maintained in OBYA by treating above company codes Inter company GLs. The component A is sent to company code Y as non value added item. Through 501 movement type, as the component is sent by Company code X.
    Company code Y will add some components (like B,C and charges some expenses as service component D for preparing Finished good) and send this FG to Company code X. For this company code Y will raise a Sales order and followed by MRP run and Production order is created.
    In VA02 of above Sales Order, while entering Item details, where the Settlement rule is asking for PA Transfer structure (in Account assignment tab of Item details) and giving the following error analysis:
    Enter a PA transfer structure
    Message no. KD 044
    Diagnosis
    A PA transfer structure is required for settlement to profitability analysis.
    System Response
    You cannot save this settlement rule.
    Procedure
    Enter a PA transfer structure. To do this, choose the "Parameters" function in the settlement rule. As part of customizing, you can also store a default value for the PA analysis structure, in the settlement profile. The system then uses this default value when you enter a settlement rule.
    In addition to above, another issue has raised while releasing the Billing document after doing PGI. Accounting document is not getting generated and while releasing the Billing document (VF02) it is throwing an error as
    “Enter profitability segment as cost object for Revenue and COGS posting”
    Message no. ZC 001.
    MM,PP,SD & FICO configuration settings maintained:
    1. All required OBYC settings
    2. All cost element and Cost element categories have been maintained
    3. From MM side the system is generating FI & CO documents
    4. Settlement profile in Production Order type is maintained (in KOT2). Allocation structure and PA transfer structure were maintained in (OK06, OK07 & KEI1).  In PA transfer structure we have assigned the required Sources and Value fields and settlement cost elements.
    5. In VKOA condition types KOFI and KOFK were maintained for relevant Customer & Material Account Assignment groups.
    6. Required settings have maintained in OKB9.
    Movement types 501 (sub contract), Received back to Company code X through Movement  type 101. In spite of these settings still we are getting the above mentioned errors.
    Could any one help to provide some inputs on the above issue as early as possible.
    Thanks in advance.

    Hi,
    check  in the sales order line item procurement tab . u can get the requirement type. in SPRo check the requiremnt class for the requirement type. in that requirement clas u will get settrlemnt profile for the sales order. Check that settlemnt profile there u have to maintain the PA transfer structure.
    I think both problem will get solved by maintaing the PA structure..
    You are doing sales order costing right....and i hope it is non vsaluated sales order costing .....
    If help ful please assign points.
    cheers
    Prabhat

  • Costing Error while releasing the document to accounts in VF02

    Hi Experts,
    We have an issue with Costing while creating accounting document in VF02
    We have implimented new plant for the existing company code.  We had few sales orders open in existing plant.  There are few sales orders which were open in existing plant (plant 01). During go live of new plant (02) we have changed the plant in the existing sales order from plant 01 to  02 (new plant) and complete the billing. But while releasing to accounts it throws an error "Valuation withj material cost estimate error with product xxxxxx"
    This material has DO NOT COST checked in material master and the price maintained in the accounting views. As per our knowledge if the material has do not cost indicator checked it should  not be relevant for costing. And also we don't have BOM for this material.
    Before the new plant there are many sales orders were created for this material  in the existing plant and successfully released to accounts with the valuation Class 3000
    Our analysis.
    THe same material in the old plant has the valuation class 3000, but the valuation class defined in the material master of the new plant is 7010. Since we have changed the plant in the exsting sales order which was earlier created in plant 01 and in the plant 01 it has valuation class 3000, it this is the reason it is getting conflicted and throwing an error?
    Can you please advise?
    Thanks & Regards
    Veda

    Hi Ajay,
    In KEPC with the combination of sales organisation &, billing type  costing key is assigned for the valuation class 7010 (Finished goods) But costing key is not assigned to valuation class 3000 (raw material). and I saw the same setting in quality. Still we are able to create the acounting document. But in case of production it is asking for cost estimate with the costing keys for the valuation class 7010.. Is any other setting which is missing in Quality as we are able to create accounting documents though the costing key is defined for the valuation class 7010. 
    Can you please advise?
    Thanks & Regards
    Veda

  • Pricing Error in Release Billing Documents for Accounting

    Hi All,
    While executing the VFX3  (clear off the billing list) system displaying the error message and when I click the error log the following error message displayed.
    "0090345866 000000 Document  0090345866 has been saved  (Pricing Error)"
    Can anybody through  some light what could be the reason ?
    Awaiting your valuable reasons.
    Srinivasa Chary

    Hi
    As others mentioned you need to look at conditions tab in Billing doc and see if there is any pricing related error. You can also use analysis part to see which condition has problem.
    Another reason could be  > the taxes on sales order and Billing doc may not have been calculated. The reason is there is no tax jurisdiction code maintained for the ship-to party in the sales order.
    If the above is the case, the tax jurisdiction code should be maintained for ship-to from within sales order ( Goto > header> partner > double click on ship-to and the address screen opens up. You can add tax jurisdiction and save the order. This will solve the problem for this sales order alone.
    If you run the new pricing with option copy pricing elements as it is and redermine taxes, your taxes will be calculated.
    This does not automatically correct your billing document error. You need to cancel billing doc (VF11) > reverse goods movement on delivery ( VL09) and unpick delivery and then delete delivery.
    After this, you need to again create delivery with ref to sales order > pick > PGI and then go for billing. This will now rectify the release to accounting issue.
    For permanent problem solving, you need to ask master data team to maintain tax jurisdiction code in ship-to customer using tcode XD03 or VD03...so that the subsequent transactions for this ship-to will be smooth.
    Regards
    Sreedhar Reddy

  • Error in releasing billing document to accounting

    Hi All,
    While releasing a billing document , i am getting error as : No Valuation segment exists in the material master record for product xxxxx.
    However on further analysis it is found that in order to valuate line item for COPA system is reading valuation segment in different plant where material is not created or extended.
    Also it gives message as " The system tried to read the product cost estimate according to costing key XXx as defined in the CO-PA Customizing settings."
    I have checked settings also.
    Even costing key has been defined for plant specific and assignment to any characteristics also defined correctly. (KEPC)
    Thanks in advance
    Avinash

    Hi,
    Check whether the material master is created in the plant where you are trying to record. Also check in obyc, whether that material valuation class is correct or not
    Radha

  • COPA Value Field +/- Error while releasing Billing Document for Return orde

    Hi,
    We have done Sale Order - PGI - Delivery and Billing for Quantity 10 and the customer returned 10 Qty due to some problem.
    When i am doing the return process billing, I am getting the below error...
    9000000892 000000 Check value field assignment for condition SGL1*
    When condition "OR01" (application "V") was transferred to the value field "ERLOS" in operating concern "OR01" in
    Profitability Analysis, the following became apparent:
    o   The condition can take both positive and negative
        values
    o   The flag "Transfer values with +/- signs" has not be
        set in Customizing for value field assignment.
    Inconsistencies in the data could occur as a consequence.
    Can any body help me on this issue
    Is there any consequences if i activate +/- sign in KE4I for the above value field Please suggest me
    Thanks
    KC

    Hi Kischow
    You shud tick the +/- indicator only if
    1. any One condition type repeats in the pricing procedure and can have +ve and -ve values
    2. Two cond types in pricing procedures are assigned to same Value Field and the cond types can have +ve and -ve values
    In COPA, all values are transferred as absolute values without + or - sign, with some exceptions ofcourse....
    So, if you dont check + / -  indicator in the cases mentioned above, say, +100 and -80 will be transferred as 100and 80 and the result will be 180 instead of 20
    Regards
    Ajay M

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