GRIR clearing due to item difference

Hi
IN GR/IR account we have some balances.We have analysed the cases and one of the type is where items actually received is 60 units and invoice received was for 50 items only.The Items were consumed or lying somewhere in inventory.please advice how to clear this 10 items from GR/IR.The reason for not invoicing is we got discounts and they calculated that we owe zero dollar on those 10 items.There are so many cases are like that.Please advice.
Thanks in advance
Satya

HI,
     You can use GR/IR Account Maintenance to clear the differences (Trx MR11)
Documentation is here
   http://help.sap.com/saphelp_470/helpdata/EN/43/34d338bd0a11d38aec0000e83234f3/frameset.htm
Kind regards

Similar Messages

  • GRIR clearing not happening

    Friends,
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    only the line item for 'Vendor account debit' is having the vendor number against it . The 'GRIR clearing credit' line item is not having the vendor number against it. This is creating problem. We need to configure so that the vendor number is copied against this line item also.
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    Hi,
    the standard practice is just Assignment (ZUONR) which is in turn sort key 014 (PO + line). Re vendor, see my previous post. Re business area, that should not be a problem at all as the business area should be derived from the plant which is the same in the GR and in the IR documents, so if the PO line is the same, the BA cannot be different. Same is true for material, it is either empty (service PO's) or the same in GR and IR.
    There is one more thing to mention here: if you are using goods receipt based invioce verification (flag in he PO line, Delivery tab), then the matching of the GR/IR items should not be made on PO line level (= assignment), but also based on the goods receipt document number. I.e, an invoice must be assigned to a particular GR (and not to any GR). This is typical for scheduling agreements. Pls. refer to the F1-help on the checkbox "GR/IR account special process." on the selection screen of F.13, it should explain very well how it is working. No additional setup needed here, so the above are still valid: use only ZUONR and nothing else as the clearing criteria for GR/IR accounts.
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  • Unable to clear GL due to Val difference between Local and group currency.

    hi,
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  • Charge off difference whening clearing customer open item with bank receipt

    Hi,
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    Dear,
    This is done through customer tolerance group using transaction OBA3. Here enter the maximum amount in Loss under the Permitted Payment Differences. you are able to hold tolerance for customer clearing.
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  • F.19  (Analyz GRIR Clearing..) picking up non-open item

    Dear People,
    1. For a particular Co Code, the GRIR was not set as an Open Item Management account.
    2. A GR was posted on 14.5.2008.
    3. On 9.6.2008, the GRIR account was changed to an Open Item Management account by zerorising the account and reposting the GR above through journal.
    4. on 13.6.2008 LIV was done and it was cleared against the item posted in (3) above.
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    6. But after one year, in August 2009, F.19 suddenly picks item 2 as Goods Rec Not Inv. although this item is not an open item and it has already been cleared in 4 above. And this had been going on until now.
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    Thank you very much.
    Edited by: Darth Maut on Jan 13, 2010 12:56 PM

    Dear People,
    1. For a particular Co Code, the GRIR was not set as an Open Item Management account.
    2. A GR was posted on 14.5.2008.
    3. On 9.6.2008, the GRIR account was changed to an Open Item Management account by zerorising the account and reposting the GR above through journal.
    4. on 13.6.2008 LIV was done and it was cleared against the item posted in (3) above.
    5. At this time no postings are generated by F.19 (Analyz GRIR Clearing..) since there are no open items left in GRIR account.
    6. But after one year, in August 2009, F.19 suddenly picks item 2 as Goods Rec Not Inv. although this item is not an open item and it has already been cleared in 4 above. And this had been going on until now.
    Any idea why this happened? Is it caused by certain Support Package updates?
    Thank you very much.
    Edited by: Darth Maut on Jan 13, 2010 12:56 PM

  • Exchange Rate Differences when clearing a bank item

    Hi everyone,
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    I'll detail step by step the process I'm following:
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    Could you please help me in order to know if this is ok?
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    Thanks in advance
    Best Regards
    Manuel Nieto

    Hi everyone,
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    Thanks very much
    Best Regards and thanks for your help.
    Manuel Nieto

  • Account assignment deatils of PO in GRIR clearing line item

    Hi
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    Thanks and Regards
    Vinay Thakre

    Hi...
    I'm rather new but maybe my ideas can help you.
    Have you maintained a warehouse for this plant? (In my company some plants don't have) Is there a G/L account assigned?(I think this can be configured, because we have at least 3 different) Is maybe the material blocked for warehouse? (we have materials that are for direct consumption only).
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    Regards, good luck. Paul

  • GRIR clearing accounts - PO & PO line items

    Hi gurus,
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    regards,
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    Both the fields are available i.e. Purchasing Document and Item but they are not populated...........  Let's find the reason why it's not getting populated.  I'll search and get back to you when able to find it. 
    Regards,

  • To clear vendor open item in foreign currency

    Would like to seek for advise.
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  • GR/IR account clearing using MR11 causing differences between FI and COPA

    Hi All,
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    Thanks.
    Ram

    Hi ram
    I have a couple of questions
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    2. You said that Gr is done for 99, but MIRO is done for 100... Is this a case of price difference?
    3. you said upon customer billing, 100 is posted to COGS in COPA....How does the system gets this value, Is this the VPRS value or any thiing else?
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    2. Go to table ACCTIT and enter this doc no
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    Ajay M

  • Foreign Currency Valuation - GL at the time of clearing of open items

    Hi experts,
    We valuate the open items (Balance sheet items) in Company Code Currency without checking the reversal option.
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    Loss/Gain: 716000
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    Bal.Adj 1: 101699
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    At the time of clearing of open items:
    The entry which is getting passed for the reversal of the valuation difference is some time posted to GL: 101699 and sometime to GL 716000. The off-setting GL been Clearing GL(which is been valuated).
    Could someone kindly through some light as to why the system behaving in such a way. We expect the GL at the time of reversal to be 101699.
    Thanks in advance.

    Hi Pradeep,
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  • How to clear vendor open items if vendor invoice currency and payment currency different

    Hi All.
    How to clear vendor open items through f-44 if vendor invoice currency is EUR , payment currency is USD  but local currency is INR
    while clearing through f-44 system showing error as "to large for clearing clearing is not possible"
    I checked all configuration, configuration wise no problem
    BR.
    Chandra

    Hi Chandra,
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    Regards,
    Mukthar

  • Clearing vendor open items

    Dear all,
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    Hi Claudia,
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    Output Controls
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    Thanks,
    Uma

  • Force cashier to calculte interest on due open items

    Hi to all,
    We need to force the cashiers to do the interest calculation before clearing a due open item.
    Example:
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    How can we achieve this? Our problem is that the interest rate is daily and we cannot create an open item daily for the value of the interest for each day. Otherwise we would end with thousands of interest documents.
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    Sergio

    hi Steve,
    The problem is not how to calculate the interest document, the problem is that the person receiving the payments in the cash desk, can clear the due open item without having calculated the interest documents.
    It would be almost impossible to later charge the student for an interest that was not collected with the original due open item.
    We are working in a solution using a Zprogram, which forces the cashier to firstly calculate the interest document. This means that the cashier can not access the cash desk if he has not created interest document for due open items... we are mixing this program with the event 6021. In which you can control the open items of the cash desk.
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    We have been force to develop this solution due to the lack of options.

  • Clearing customer open items

    Hello!
    Can anybody help to find a way how to clear customer open items when there is no reference number in use for customer. In electronic bank statemen there is only billing document number in TXT field. How to configure "Make Global Settings for Electronic Bank Statement" and "Define Search String for Electronic Bank Statement" for that purpose.
    With all the best,
    Merlin

    Hello,
    IMG => Financial Accounting => Bank Accounting => Business Transactions => Payment Transactions => Electronic Bank Statement => Make Global Settings for Electronic Bank Statement
    Give your chart of Accounts
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    Create freely definable account symbols. Make sure that you are able to identify them when you are configuring in future steps.
    2. Assigning Accounts to Account Symbols
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    d) If you want just only entries to be posted use posting type 1.
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    Remaining all case use 1 (Standard algorithm) and 5 as the processing type.
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    6. Assign Bank Accounts to Transaction Types:
    You need enter the Bank Key / Bank Account / Transaction type here.
    You can get the the bank key and bank account details from table T012K (Go to SE16)
    Further supplementary notes may be useful to you:
    There are different programs to upload electronic bank statement.
    FF.5 or FF_5.
    I think your case Multicash format you are using.
    You need have three files in FF.5 and two files in FF_5
    You can prepare a Z program in order to truncate the electronic bank statement into two or three part files and save them on the application server.
    1. Take all the external codes list from bank.
    2. Take any available documentation from the Bank describing the relevance of the external codes.
    3. Make sure that your Chart of Accounts (Bank Accounts) last digits logic is appropriate to meet the requirements.
    4. Based on this decide the Account Symbols that are required to be created.
    5. Make sure that the masking rules are configured properly.
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    Further explanation would help you to understand the functionality when uploaded the electronic bank statement.
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    SAP is normally you maintain bank main account and bank sub account. Whenever you make a payment through F-53 or F-58 or F110, the entry would be:
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    The ending digits of the sub-account would be important in configuring the masking rule. Based on this masking rule when you upload the bank statement the entry the system would pass is:
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    At the time of receipts, you have different accounting entries unlike payments. It needs to post to two posting areas. 1. GL Accounting 2. Sub-Ledger Accounting
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    Bank Main Account Dr
    To Bank Sub Account
    Bank Sub Account Dr
    To Cutomer account.
    Clearing logic mentioned for your posting rules and the alogrithm used for your external bank symbols will also play pivotal role in clearing the accounts.
    Ideally you will use
    FF67 / FF.5 / FF_5 for uploading manual or electronic bank statement
    FEBA / FEBA_BANK_STATEMENT is used for furthe rprocessing.
    GO THROUGH SAP NOTE 48854
    Please go through SAP Note. 48854. You will get an idea regarding the functionality of the algorithms.
    Though this note is in relevant to GB specific, you will find this very useful.
    description follows below regarding the normal procedure for maintaining table T028G. Due to the different bank codes and posting rules, pre-Customizing is not possible at this point.
    The following processing types are available - unless stated otherwise, you should use the interpretation algorithm: '000 - No interpretation' in each case.
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    2. '01': A validation is made whether an entry exists for the transferred check number in the check table (PAYR). The check number and payment document number are transferred for further processing. Interpretation algorithm: outgoing check processing '011'-'013'; the update in the check file is via the interpretation algorithm.
    3. '02': Transfer of the ending balance to the electronic bank statement
    4. '03': Transfer of the opening balance to the electronic bank statement
    5. '04': Clearing via the allocation number which is delivered with the bank statement. No interpretation algorithm.
    6. '05': Clearing of BACS payments or BACS bank collection. The reference text field is first read to ascertain whether it involves payments initiated by users or bank collection via BACS. Providing it does involve a cash transaction initiated by the user, the payment document numbers concerned are determined via the reference number and transferred as a reference to further processing. Interpretation algorithm: '000 - No interpretation' or '019 - Reference number DME'.
    Note
    To differentiate between the two procedures in table T028G, you have to maintain two separate entries.
    Example: the bank uses bank code '62' for cash receipts and for BACS bank collection.
    Ext. Transaction +/- sign Posting rule Int. Algorithm Processing type 62 + GB62 001 5
    62 SAPBACS + GB63 000 5
    7. '06': Bank costs or interest revenues
    Recommended interpretation algorithm: '000 - No interpretation'
    8. '07': Total amount of cash disbursements
    9. '08': Total amount of cash receipts
    10. '09': Items not paid
    Recommended interpretation algorithm: '000 - No interpretation'
    Regards,
    Ravi

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