Output to be blocked for Billing documents, if not released to Accounting

Hi SAP Gurus,
We have a requirement, where the Billing documents should not be issued output, if they are not released to accounting.
The system should not allow the user to issue output for billing documents, if not released to accounting.
Regards,
sree.

Standard routine 62 should be able to suffice your requirement.
Provided output determination in billing doc should happen from output condition record (VV31).
If you manaully assign assign output type in billing doc, then system will overlook the requirement.
In addition to that if your output type is assigned with requiremrnt routine 62 in your output procedure.
Then till your release tke billing doc to accounting, you will not be able see output type determine in billing doc.
If you have doubt, whether the output type is getting determined properly or not.
Then output(header/item) screen in your billing doc(VF02), in menubar select Goto - then choose  Determin. Analysis.
It will show message that due requirement 62, output determination didn't too place.
Regards
JP

Similar Messages

  • Billing Document is not released to Account -Error

    Hi,
    I am getting the below error while releasing the billing document into accounting.kindly help me
    Error Log
                 0900000165 000000 Document 0900000165 saved (no accounting document generated
                 0900000165 000000 Enter a true account assignment object with revenues
                Long txt
                    Detail
                     Diagnosis
                         You made an account assignment for 420100, a revenue
                         element, in controlling area 9000 to a cost center or
                         profit center.
                     System response
                         Cost centers and profit centers can carry revenues in the
                         R/3 System as statistics only. To ensure reconciliation
                         between FI and CO for revenue element 420100, a CO account
                         assignment object must record the revenues as a real value.
                         This object type is used for updating to the reconciliation
                         ledger.
                         In principle, it's possible for the R/3 System to
                         automatically derive this CO account assignment object, the
                         reconciliation object. However, all postings made in CO for
                         costing-based Profitability Analysis are logged in the
                         reconciliation ledger under "reconciliation object". In
                         this manner, the reconcilation ledger identifies the exact
                         values flowing into the operating profit. If you post
                         reconciliation objects during revenue postings to cost
                         centers or profit centers, you must do so while keeping the
                         interpretation of the reconciliation ledger reports in
                         mind. The sums of revenue postings to profitability
                         segments, cost centers, and profit centers cannot be broken
                         down further.
    Procedure
        o   To avoid posting to reconciliation objects, make
            account assignments to a real CO account assignment
            object.
        o   If you want to post to reconciliation objects, you can
            change this message to a caution or a note for future
            users, or deactivate the message entirely. Use the
            Implementation Guide under "Controlling: General" and
            choose Change message control. Enter area KI and
            message number 166. If you do not enter an individual
            user here, the change is valid for all users.
    Technical data
        Tech. data details
         Client
         Group Number
         Sales Document Number                  0900000165
         Item Number of the SD Document         000000
         Schedule Line Number                   0166
         Counter in Control Tables              00
         Message Identification                 KI
         System Message Number                  166
         Output Type                            E
         Message Variable 01                    420100
         Message Variable 02                    9000
         Message Variable 03
         Message Variable 04
    Please help me
    Thanks
    Supriya

    Hi Supriya,
    The following step is missing in your configuration: So please check the following step:
    Financial Accounting (New) - Financial Accounting Basic Settings (New) - Ledgers - Real-Time Integration of Controlling with Financial Accounting - Account Determination for Real-Time Integration - Define Account Determination for Real-Time Integration
    The above step is used for:
    You define account determination for the real-time integration of Controlling (CO) with Financial Accounting (FI).
    You have two options for the definition of account determination:
    Account determination without substitution (standard account determination)
    The level of differentiation with which you want to trace the postings to Financial Accounting determines how many accounts you create and whether you assign transactions or object classes. You can assign the accounts as follows:
    You specify an account for all reconciliation postings.
    You assign an account to each business transaction.
    You assign an account to each object class.
    You assign an account to each transaction and to each object class.
    Account determination with substitution
    In addition to account determination without substitution, you can determine the reconciliation account using substitution. For this, you have to define account determination at least for the specification of the posting key. Furthermore, you can use substitution to refine account determination.
    In contrast to when the reconciliation ledger is used, additional fields are available when real-time integration is used:
    RCL_ICCF-BEKNZ
    RCL_ICCF-RSEGMENT
    RCL_ICCF-SSEGMENT
    These fields are only filled by the system when real-time integration is used.
    Caution
    If you deploy the following functions, you may not use the additional fields in account determination:
    You still use reconciliation posting instead of real-time integration.
    You use real-time integration but you still have the reconciliation ledger activated so that you can use the reconciliation reports from Cost Element Accounting, such as CO/FI Reconciliation in Company Code Currency.
    These functions use the reconciliation ledger data, which does not contain the additional fields.
    For more information about defining account determination, see Define Adjustment Accounts for Reconciliation Posting.
    Please let me know if you need more clarification
    Thanks & Regards,
    Venkataraju Khottari

  • Why Documents are not releasing to Accounting Automatically?any reason?

    Hi,
    Is there is any reason that these documents are not automatically being passed to accounting.Please help me to fix this issue.
    Thanks
    Supriya

    Hello,
    This is not just FICO consultant issue.
    If you do not have sufficient configuration in VKOA, it cannot be generated.
    If you have closed the period in FI, obviously the entries will not be posted.
    If the user is not having authorization, obvisouly it fails to generate accounting documents.
    There is no special configuration, but this is system behaviour. If something is not available, then it cannot generate the entry.
    Hope you have gone through the points mentioned by me.
    Regards,
    Ravi

  • Billing documents should not be created when it is not released to accounti

    Hi SD gurus,
    In some situation, billing documents are generated but it is not released to accounting which results in mismatch between FI value and SD value. We go to VFX3 and see the list of billing documents and take corrective action.
    Our requirement is that the billing document should not be generated when system is not releasing this billing document to accounting.
    Please suggest a solution for this.
    Regards,
    Senthil.

    Thanks giri.
    For the following reasons, the billing documents are not released to accounting.
    1. If the user wrongly chosen the billing type for the delivery.
    2. After creating condition type, it has to be assigned in COPA. If we forgot to do it, billing doc will not released.
    Our requirement is that if the billing document is not able create accounting document, the billing document itself should not be generated.
    Hope this will be suffice to understand my issue and suggest a suitable solution.
    Points will be rewarded.
    Regards,
    Kumar.

  • Maintain output condition table for billing documents

    Hi
    I need to create new output condition table for billing document with the key combination of "Billing type and Export Indicator". In Field catalog: Messages for billing documents I am able to find field Export Indicator but the same field i am not able to find creation of new condition table (V/63).. Kindly let me know is there any settings required to show the same in V/63.
    Thnaks
    Srinivas

    Hi Ram
    The filed already is there in in structure" KOMKBV3" ....
    Thanks
    RAO

  • Set up output condition for billing document.

    Hi, experts,
    I wanna email billing document to our customers, how can I set up this output condition for billing document?
    Thanks for your help.

    You can maintain masterdata for the email outputs for billing application in VV31.
    You can change the same or display in VV32 and VV33 respectively.
    Tcode for maintaining output masterdata
    For sales orders,  VV11, VV12, VV13
    For deliveries     VV21, VV22, VV23
    For invoices       VV31, VV32, VV33
    Reward points please!!!
    Message was edited by:
            Navaneetha Krishnan

  • Header text is not dispalying in english for billing document print output

    Hi All,
    I am working on script for billing document.
    I am maintain the header text for the document.I have enrted the header text in english text is not displaying in print output.If i maintain the text in french i am able to see the output.
    I am logging into the system with lanauage EN only.Can yo please let me know how can i displzy english text in my print output.

    Pass SY-LANGU as the value for input parameter LANGUAGE in FM READ_TEXT.
    Regards
    Vinod

  • Document block for billing

    Hello,
    I am trying to create an invoice using delivery. however i am getting the message "Document block for billing"
    any idea where to check this block in delivery dodument.
    Note: I have checked the sales order; there is no block.
    BR,
    Tawsif Chogle

    hi
    there are different ways of doing it
    1. Check transactions- VOV8,VOV6,VOV4 and check if its having block if its thr...remove and save it.
    Also check if VOFA (Ur billing type) has any block....reove and save it...
    2. check the billing block in the sales order va02 and in the item category
    3. Go to T.Code: V.23 and release the document.

  • Document is blocked for billing

    I created a return order and it goes fine until i reached billing. it says "document 000012 is blocked for billing"
    What is the reason why it is blocked for billing? What should I do to make it billed? please help...
    Thank you in advance

    HI.,
                Please check in return order whether there is any billing block for particular order.,If there is any billing block,Remove the billing block & try
    Generally for return order we do
    RE- LR- PGR-Credit memo
    REWARD if helpfull
    Thanks & Regards
    Narayana
    Message was edited by:
            manam narayana
    Message was edited by:
            manam narayana

  • How to block creating Billing document if no accounting doc generated

    Hi,
    In Brazil, after create Billing Document a new document called Nota Fiscal is also created.
    But I can't allow creating Billing Document and Nota Fiscal if i have a problem during the releasing process of the Accounting Document.
    How Could I to do for block the creation of those documents if i had a problem in releasing the accounting document ?
    Best Regards.
    Kleyson Rios.

    HI,
    with out creating a billing document we can not expect accounting document details.
    once u create a billing document then we come to know whether accounting doc is created or not. if not created then we hav top analyze why it is not created.
    do one thing u have to check all configuration settings before creating a billing document.
    Srini

  • How to block a Billing Document Type?

    Hi forum
    I need to block the billing document type FV-Invoice Contract.
    Is there some configuration to do that?  I found VOFA where you can change billings documents, but I cant find how to block it.
    Thanks for your support.

    If I am correct, go to IMG Sales and Distribution --> Billing --> Billing document --> Define Blocking reasons --> Aassign blocking reasons to billing types.
    Right now I dont have access to SAP and hence not sure on the path.
    thanks
    G. Lakshmipathi

  • Delivery Block for Billing

    Dear All Friends,
    My client create one sales order for a month, and plant delivery person will generate deliveries every day like 30 delivery for a month, and user create one collective invoice for 30 delivery.
    Now I want that deliveries are block for billing till concern person remove the check so that user can create billing.
    But currently billing block is available at delivery document control from sales document, in that u remove the check from sales order and elivery too. But as per client I want it only at delivery level.
    Pls communicate the configuration control or work around.
    Reagrds,
    Imran

    Hi,
    Which means he wants to release all 30 deliveries one by one, rather than releasing a one sales order?
    Try to convince it and stay with the standard, as it's the only billing block level you can have (Only at Sales order level)
    Note:
    You can configure status profiles in sales order to have same billing block as well. In that case only a authorized person can release sales order, where as normal billing block can be removed by any person who has access to VA02.
    Best regards,
    Anupa

  • How to see the change logs for billing document

    Dears,
    Could you please how to see the change logs for billing document.
    My client is using ECC 6.0 & if i use VF03 > Environment > changes > does not show the changes i had made.
    Thanks in advance
    Ranjan

    hello, friend.
    you should be able to see changes done after the initial creation and saving, by going thru Environment > Changes.  try it again, and this time make sure that changes were done to the billing document prior to posting to accounting.
    normally, when configuration of Billing is done correctly, there will be little or no instances of changing anything in the Billing document,  as saving the document after creation will post this to Accounting.  of course, inclusion of a posting block in the billing type will provide you the opportunity for changes. 
    regards.

  • Using Save_text for Billing Document

    Hello,
    I've created BDC program to create Billing Documents in SD. I will be required to use the function module "save_text" to upload the long text. However the long text does not get updated. I've tried calling the save_text and this time the long text gets uploaded. Does anyone know why this is happening?
    Thanks
    Gladys

    This is my code. I've used the very same codes for creating sales order, delivery note and quotation and it works. Somehow it just doens't work for Billing document.
    form save_header_text tables text_line using tdid.
      DATA : HEADER LIKE THEAD.
      data: v_function(1).
      CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
        EXPORTING
          INPUT  = record-billdoc
        IMPORTING
          OUTPUT = record-billdoc.
      header-tdname = record-billdoc.
      header-tdobject = 'VBBK'.
      header-TDID = record2-tdid.
      header-tdspras = 'E'.
      CALL FUNCTION 'SAVE_TEXT'
        EXPORTING
      CLIENT                = SY-MANDT
          HEADER                = header
      INSERT                = 'X'
       SAVEMODE_DIRECT       = 'X'
      OWNER_SPECIFIED       = 'X'
      LOCAL_CAT             = ' '
    IMPORTING
       FUNCTION              =  v_function
      NEWHEADER             =
        TABLES
          LINES                 = text_line
    EXCEPTIONS
      ID                    = 1
      LANGUAGE              = 2
      NAME                  = 3
      OBJECT                = 4
      OTHERS                = 5
      IF SY-SUBRC <> 0.
    MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
            WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
      ENDIF.

  • Script for billing document

    hi all ,
    is there any standard sap script and its print program for billing document (sd).
    and how to find the standard scripts for a particular requirement.
    regards
    reena

    hi,
    Script is RVINVOICE01
    Driver program is : RVADIN01.
    goto trns NACE select the application and click on the output types button and
    click on the output type and select processing routines...
    regards,
    priya.

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