Excise value are not pick

hi experts
hi i have a problem  while doing billing document against sales order and outbound delievery excise values are not pick by the system.but in the sales order it is showing . please help to resolve this issue ..

Dear Farhan,
    Just take a help of an SD consultant it is a matter of 2 min for him to solve this issue.
still Go to tcode VTFL
and search for your delivery type and your billing type and double click on the same,
2.Then you will have an item folder on the left side click on that and you will get the list of all item category.
3. Double click your item category YP05 and on the right side lower end you will get the Price type - in that enter "D" instead of "G"
and Save it. then transport it to your quality and do the sales order process again.
REgards,
Sudhir

Similar Messages

  • Excise values are not flowing  in MIGO

    Dear All,
    I am facing a problem during MIGO.
    THERE IS STOCK TRANSFER BETWEEN 2 PLANTS AND 2 PLANTS ARE UNDER DIFFERENT COMPANY CODES.
    1 I have created a PO.
    2.Delivery through VL10D
    3.Picking-vl02n
    4.Created Bill-VF01
    5.Created Invoice and saved it
    When I am doing MIGO the excise values are not following.in migo SCREEN.I I want to know do i need to post EXCISE INVOICE and how to do the same.
    Pl let me know anything is missed out so that excise invoice is not flowing in MIGO screen.
    Regards
    Manash

    Hi,
    Have you miantained Tax code in STO ? if yes, then have you mainatained Settoff as 100% for that Tax Code in FV11 for which combination you are using
    SETOFF Must Be Maintained:-
    JMX1 --     IN: A/P BED setoff
    JEX1 ---      Ecess Setoff Sta
    HX1     IN: A/P SECess SOTot       
    If it is there please follow the Following steps for STO
    1.     Create Purchase Order(STO)  using ME21N
    2.     Create Outbound Delivery using VL10B
    3.     Create Billing Document using VF01
    4.     Create Excise Invoice using J1IIN
    5.                   GR with respect to Inbound delivery and in Excise Invoice give number of VF01.
    Hope Help U !
    Regards,
    Pardeep Malik

  • Excise Values are not flowing from J1IJ to VF01

    Hi All,
    I am facing the problem in Invoice to Customer(from Depot). Excise Values are not flowing from J1IJ. I maintained Alt Cal type as 356 in Pricing procedure for Excise condition types. Even though its not flowing. I am using Tax Procedure TAXINN.
    I have gone through SDN, everybody is suggesting about 356 routine.
    My scenario is STO from Plant to Depot and Sale from Depot to Customer.
    ME21N->VL10B->VF01(Proforma)->J1IIN->MIGO->VA01(from Depot)->VL01N->J1IJ(Depot Excise)->VF01(Invoice to Customer)
    In J1IJ, excise values are coming but in VF01 it is not coming.
    Kindly help me.
    With Regards
    Azeez.Mohd

    Hi,
    in j1ig initial screen which excise group/series group i need to enter
    is it of supplying plant or depot --- Enter Your Excise group
    If i enter material document no say 5000000265 (corresponds to migo-101 at depot )& year
    it'm getting error message excise invoice already exists for5000000265 --> Check the Year of material document
    You can also use the Excise Invoice Details tab
    Enter Vendor's Ex.Inv.No. , enter your STO's Excise Invoice No. and Click on Own factory and enter factory's Series Group in n case of STO from factory,
    use Depot Excise Invoice in case of transfer from another depot
    and Excise Inv. Date
    On next screen,
    In case of non availability of Internal Excise No., select the line item and click on button. On next screen, enter Excise Inv. No., Date, Challan Qty, Excise Base value, ensure that Excise Duty rates are maintained in respective duty rates column, you can also manually enter the excise duty amount and press Enter . System will give warning messages, press Enter for each message and press Back button. System will display the excise duty amount, check the same and click on Save button.
    Hope this will resolve your issue.
    Regards,
    Krishna O

  • Excise values are not copied to Commercial invoice in trading process

    Hi All,
    I have an issue while creating VF01 the Excise condtion values (BED, AED) not copied to commercial Invoice.
    Other inputs about the scenaio:
    The process is 1Customer schduleing agreement->outbound delivery->J1IJ->commerical invoice(VF01)
    We had vendor agreement in which 3 line items were crated with qty of 500, 1000 and 1500 qty
    for the first line item when we created total cycle upto VF01 the Excise values are copied where as for the 2nd and 3rd line items the excise values are not being copied to VF01. Here note the only difference beween these 3 line items is mateial code is different.
    J_1irg23d table is showing the BED and AED condtion values for the 2nd 3rd line item aswell.
    Checked PO also for the 2nd and 3rd line item showing the Excise tab in which Excise values are showing.
    MIGO and MIRO were created with correct PO only
    We maintan the condtion reocrds for BED and AED as 100%, what ever the Excise values maintained in MIRO the same will be copied to VF01.
    Once again just would like to reconfrim the issue is out of 3 line items of the sheduling agreement for the first line item BED and AED are copying to VF01 where as for the 2nd and 3rd line item BED and AED values not copying to VF01.the only difference is material code between the line items.
    Please let me know if you need any further details.
    Thanks in advance.

    Thanks sir for your reply.
    have you declared the receiving plant from overseas as a Depot?
    Yes  it was defined as depo plant in configuration of plant settings.
    Actually i should have mentioend total cycle before. However, i have mentioend in my OP as
    MIGO and MIRO were created with correct PO only
    But anyway please check my total cycle as below.
    ME31L (vendor agreement)
    MIRO(customer custom vendor payment)
    MIGO(with ref Vendor agreement/PO) here the excise duties are captured as well, we will not do seperately JIIG.
    MIRO( actual vendor payment)
    VA31(customer agreement )
    VL01N(outbound delivery)
    J1IJ(with ref delivery) here we sellect the MIRO invoice
    Vf01( commerecial invoice)
    Upto J1IJ all the values calculated and copied ok. Only during VF01 the BED and AED values anot being copied. Even i tried the update button but not updated.
    For time being we are entering the BED and AED condition values into VF01.
    thanks,
    Message was edited by: surya prakash

  • Excise values are not updating in billing

    hi all,
    In RG23D register BED, AED, ECS values are showing correctly, but in order (VA02) or in billing (VF01) excise values are not showing. So, what could be the reason and what need to be checked?
    thanks.

    Hi MBS,
    yes im doing depot process.
    I maintained routine 356, and statistical
    and i checked pricing procedure analysis tab, where all conditions are activated.
    but still values are not fetching or shoeing in billing.
    any other solutions.....
    thanks.

  • Excise values are not showing in billing

    hi all,
    In RG23D register BED, AED, ECS values are showing correctly, but in order (VA02) or in billing (VF01) excise values are not showing. So, what could be the reason and what need to be checked?
    thanks.

    mohan prabu,
    Its Surprising, how come it is not appearing in Order and billing but yet it is passed to register RG23D.
    1. Check Whether you have maintained those condition types in your pricing procedure.
    2. Check whether you have maintained VK11 i.e., Values for those Excise Condition Types.
    3. Check whether you have activated Statistical indicator for those condition types.
    4. Proceed performing Analysis in Item details --> Conditions Tab --> Click Analysis tab provided to check whether the conditio types has been executed or not.
    5. Check your Config Settings
    IMG --> LG --> Tax on Goods Movement --> India --> Basic Settings --> Determination of Excise Duty -->  Maintain Excise Defaults
    Check these initially and let us know your outcome...
    Regards
    Sathya

  • Excise values are not updating in factory sales

    Dear SCN's,
    I'm facing an issue while doing factory sales, while creating sales order and billing I'm using J1IIN for excise invoice and then updating in J1I5 transaction but the values are not updating in table J_2IRG1BAL. Can anyone suggest what to do in order to get the values updated in table.
    Thanks & Regards,
    Kumar

    The following note explains how you need to update J_2IRG1BAL table.
    Note 951955 - CIN: General clarifications for RG1 goods
    Have a look at this.
    G. Lakshmipathi

  • Depot Sales-Excise values are not flowing from J1iJ to VF01

    Hi Gurus,
    In Depot Sales: while doing excise invoive from T-code J1iJ Go to delivery -RG23D selection select the delivery number XXXXX Excise Group 51 and series Group: 50 ENTER - select the line item and click on F6 and here we have to click on excise invoice Button for capturing the Input excise duties for taking the reference. And the excise values are shown here correctly.
    Issue: In VF01- when we are raising the commercial invoice , the duty values are not flowing from the J1IJ transaction. Instead the values are showing Zero for all the three condition types namely JEXP, JECS and JHCS. We have used the Pricing Procedure ZINDEP and 356 routine.
    Inputs on this how to solve will be highly appreciated.. as we are in critical stage.
    What are the checks to be ensured to Get the values flow from J1IJ to VF01.
    Scenario: STO from Mfrg Plant to Depot and Depot sales to customer.
    Me21N-Me29N-VL10B-VL02N-VF01-J1IIn-MIGO-(STO process completes)-VA01-VL01N-J1IJ-VF01(duty values should flow from the J1IJ referenced Excise Invoice) Correct me if I am wrong.
    Any user exits, Notes please let me know. I could not find any. I have gone through the forum threads, which speaks about 356 routine, J1ID- checks etc.
    Thanks&Regards
    Sreekanth:

    Hi!
    Am sure you would have captured the Excise at Depot with J1IG.
    Also, have you saved the billing document to check the duties? 
    Thirdly, after save, again open the billing doc and go to Header-Conditions then Save. This part does not seems logical, but i am sharing my practical experience.
    Please check condition records if any.
    Regards
    Arun

  • R/3 ZCOND values are not picked properly in BW

    We had a issue in one of the BW Reports. There are three types of discounts offered in the sales, namely Hospital Discount, Market Discount & Pharmacy Discount.
    For certain billing document nos, the R/3 and BW values were not matching. However, the Net Amount is matching.
    There is a table by the name ZVBW_PRICE_COND which is a view created out of the tables VBRK, VBRP & ZSBW_PRICE_COND.
    In R/3, we put the POSNR value (Billing Item) and BELNR value (Billing Doc no.) to generate KNUMV value (Number of Document Condition) and KSCHL values.
    In the KONV table, we put the KPOSN (Condition Item no.) = 10, KNUMV value and KSCHL value (Condition Type) to get the Condition value.
    The value generated was ok and were same as that of vf03.
    Now we checked the Data source 2LIS_13_VDITM and its extract structure.
    Here we found “Field only in Customer Exit” checkbox ticked for ZCOND1 to 4.
    However, in BW, there are specific Infoobjects like Condition Value1,2,3,& 4 each of which is directly mapped to ZCOND1,2,3,& 4 respectively.
    Hospital Discount and Market Discount are mapped to ZCOND3 & ZCOND2 respectively in the concerned report.
    I could have remove the ticks in the checkbox and make ZCOND accesible to extractor. But problem is that it is only certain billing doc nos for which discounts are not matching. Any help will be highly appreciated.
    Best Regards,
    Surajit

    Hi,
    This checkbox is set for those fields of the datasource(in rsa6) which are custom fields,and whose values are determined by a user-exit written in tcode CMOD.
    We have observed that keeping this checkbox ticked or unticked does not make any difference at all.So even removing this checkbox for your 4 fields will not solve the mismatch issue.
    The mapping for the 4 fields in your case,is already there in BW.
    Please go to tcode CMOD,enter the BW project name,select components and click on display.4 user exits will be displayed.
    1st is for TD datasources,2nd for master data attr,and next are for text and hierarchies.
    Double click on 1st exit FM,then double click on the include program,and find the exit code written for your datasource.Most probably user-exit not working OK.
    cheers,
    Vishvesh

  • Excise values are not copying in my excise invoice

    Hi experts,
    When am doing factory sales with tranasaction code j1iin from billing  The excise duty is not copying into my excise invoice.  What could be the reason what needs to be done to run this scenario perfectly.
    excise invocie is generarting  with out value.  Iam working  ecc 6.0 version and taxinn procedure.
    Thanks & regards
    Rack29
    T

    Go through these threads
    [BED NOT FLOWING TO EXCISE INVOICE J1IIN   |BED NOT FLOWING TO EXCISE INVOICE J1IIN]
    [eXCISE INVOICE   |eXCISE INVOICE]
    [Excise Values Not Flowing in J1IIN-(export Excise Invoice) |Excise Values Not Flowing in J1IIN-(export Excise Invoice)]
    [excise values in exports   |excise values in exports]
    Though your issue relates to domestic, the above links is applicable to your issue also.
    thanks
    G. Lakshmipathi

  • Excise taxes are not picking in MIRO

    Hi,
    Hello,
    We are creating the Imorted PO with Tick of Gr based IV in PO.
    And created the Inbound delivery for line item of the PO.
    After this we were go for MIGO with ref to PO.
    And created the MIGO.
    We will pay the Customs duty later.. some special accounts head will pay him monthly.
    my question is... In MIRO(layout is planned delivery cost) with ref to PO..... Qty and Amount field is blank.
    For one line item of PO,,, we need to enter 7 conditions value in MIRo.... suppose if the PO is having the more than 10 line item. we need to enter 70 conditions..... it may make error....
    we want that system should take the values automatically in MIRO
    regards
    sapman man

    hi,
    in import case u r verifing the invoice of customes before u make the GRN dtas why it is blank.
    again
    as currency rate keep on changing so it is not advisible to copy the PO value because that will not match to customs invoice.
    u need to key in the values manually only.
    u can develope one BDC for this if u require and entries are more.
    regards,
    sujit

  • Purchase Order values are not reflecting in MIGO

    Dear Experts,
    I have changed standared Pricing Procedure from TAXINN to TAXINT because excise calculation was wrong. Now I have assinged new pricing procedure & reflecting in Purchase order & working as per requirement also.But when we are doing MIGO, excise values are not automatically coming in MIGO. So Is there any configuration or missing copy control because i have changed pricing procedure?
    Also I want to put a check, if purchase order value is not matching with vendor invoice value then stores person can't do the MIGO.
    Could any body guide me?
    Thanks
    Trupti

    Hi,                                                                               
    It is not like that you have to mandatory use the TAXINN rather it is recommended by SAP to use but if some business requirement doesnu2019t meet up with what is recommended that its business call to go TAXINJ from TAXINN, but right now we don't know at what circumstances they moved to TAXINJ but question is what are the settings missing while moving from TAXINN to TAXINJ and because of that system is not picking the Tax Values at the time of MIGO in excise capture & posting.
    So I have several questions in mind in order to understand your system behaviour.
    1) Are you using the correct Tax code at PO level?
    2) If using the correct Tax code then is't correct value maintained in FTXP for the Tax code used in PO.
    3) If correct Value maintained in Tax code then by clicking on Taxes button mentioned under PO item level details are you able to see the correct value against each applicable condition type in next screen by clicking over Taxes button in PO?
    4) if not then first check J1id - Material Chapter Id combination, vendor excise indicator mentioned, correct duties maintained in excise duty so check all master data related to CIN maintained in J1id
    So first give answer to above mentioned questions then we procees further but I am sure I can make your system to picked  the correct duties don't worry Just answer my questions hope things become fine in your system.
    Best Regards,
    Silky
    Note: Please assign valuable points in order to encourage contributors to each answer to queries...

  • Smartview webf run time prompts upon submit are not picking up from the POV

    Hi ,
    I am in Planning 11.1.2.1 and using Smartview 11.1.2.1.103. After connecting to Planning Webform from Smartview, i am saving a composite form which should launch a Business Rule with run time prompts attached to the webform upon submit. The business rules are running with default run time prompts and it is not picking up the members from the POV ... is there a way to make it pick up the members from POV into the run time prompts upon saving it ? so far the workaround is to initiate the business rule from the planning tab in smartview .. any thoughts on this ? cheers

    I found a known issue for smart view in 11.1.2.1 read me doc
    11075506
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    Good Luck

  • Excise base value is not picking for Imports

    Dear All,
         Excise base value is not picking for Imports when doing MIGO and BED/E CESS/S&H E CESS also not picking.
              Please suggest me
    Thanks,
    Tiru

    Hi,
    In case of Imports, you have to define following condiiton types in MM Pricing Procedure;
    JCDB     IN:Basic Custom Duty
    JCV1     IN : CVD
    JECV     IN : Ed Cess on CVD
    J1CV     IN : H&SECess on CVD
    JEDB     IN : Ed Cess on BCD
    JSDB     IN : H&SECess on BCD
    JADC     Addnl Duty of Custom
    These should be created as a delivery cost condition in M/06. And assign the accruals to these in M/08.
    Folowing Gl Accounts will be assigned to those accruals in OBYC;
    CVD Clearing (For accrual of conditions JCV1, JECV, J1CV, JADC) and Customs Clearing (For accrual of conditions JCDB, JEDB, JSDB)
    Now follow the below procedure for Import Purchase;
    1. ME21N u2013 Create Import Purchase Order (Here assign the Vendor of Customs Office to the above mentioned 7 condition types in "Details" of "Conditions")
    2. MIRO u2013 Enter Customs Invoice w.r.t. Import PO (Here select "Planned Delivery Cost" and do LIV for Customs office Vendor, enter values for duties as per Bill of Entry manullay during LIV)
    3. J1IEX u2013 Capture Bill of Entry
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    6. MIRO u2013 Enter Vendor Invoice
    7. MIRO u2013 Enter Clearing Agentu2019s Invoice

  • Assessable value and the Excise details are NOT coming in MIGO

    We are facing problem that assessable value and the Excise details are NOT getting populated automatically when doing MIGO in IN03 plant.We have a STO from a DC to plant. We created the outbound delivery and then captured the excise invoice using J1IJ.In migo we give the reference of this excise invoice in the excise invoice tab then the values calculated should flow in MIGO.This is not happening and user have to manually calculate the tax and put in the system.
    I have followed the following steps
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    2. Create outbound delivery using VL10B
    3. Do the PGI using VL02N
    4. Capture the exice invoice using J1IJ in depot
    5. Do MIGO and give the reference of the excise invoice created

    Hi,
    In STO, your supplying plant is your Vendor for the receiving plant. Hence, you have to maintain the supplying plant as vendor also. Pl. check in table J1ID that the vendor data is maintained for the supplying plant.
    Regards,
    Prashant

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