Reversal of entry made thru J1IH (Additional excise)

Hi ,
By Mistake, we have made wrong entry in J1IH (Additional excise) .... now we want to reversal / Cancel that entry ....
How can we do that ... need yr help
regards
Shrey

Hi,
You can not cancel a JV, you have to following the below process to nullify the Excise values;
6. Making Adjustment Postings for Other Transactions
Use: - You follow this procedure if you want to make an adjustment posting that does not fall into any of the other categories of adjustment offered by this function. You can only use an external document as your reference document.
Procedure: -
1. J1IH > Excise JV > Other adj.
2. Enter data as required, including:
u2022 Document number
Enter the number of the external document that you want to refer to.
u2022 CENVAT account selection group box
Specify which account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment.
3. Click on u201CEnteru201D button.
The system displays the information from the material document.
4. Adjust the posting date as necessary and enter Vendor code as per requirement.
5. Enter the amount of excise duty in either of the following ways:
u2022 To enter line items for different materials and the excise duty accordingly, choose u201CDetailsu201D button and enter the line items in the table.
Here fill details like Material Code, Quantity as per Excise Invoice, Batch No, Reference (i.e. GRN Document), BED and Ed Cess Amount manually.
If you want system to propose the BED and Ed Cess Amount, Click on u201CGet Excise Invoiceu201D button and select the proper Excise Invoice from which the proportionate amount is to be copied.
Select the u201CExcise Invoiceu201D and click on u201CContinueu201D button.
It will copy BED and Ed Cess and SECess amount as per the quantity mentioned here. It will be proposed in proportion of selected Excise Invoice quantity and value.
u2022 To enter the excise duty only, choose u201CHeaderu201D button and enter the excise duty in the totals fields at the foot of the screen.
6. Specify which G/L accounts are to be posted to.
7. Save the adjustment posting.
System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.

Similar Messages

  • After cancellation thru J1IH of excise Invoice,

    after cancellation thru J1IH of excise Invoice,
    i got a message showing as "excise JV 7000153976 accounting number 8210002575 with part 2SI 7110001859 has been successfully created"**
    what next to be updated in further levels to complete all the process in FI as well as Excise Documents

    hi
    plz check the document year for inprocess and posted doc
    now steps for excise invoice cancellation will be as follows
    1  cancel MIRO document with MR8M
    2  cancel MIGO document in MIGO
    3 goto J1IEX choose post here give the excise invoice no of the document (u will get this no from table J_1IEXCDTL and field DOCNO)
    4 now in misclinious tab give the rejection code and simulate u will find all the duties are reversed (compare with previous posting)
    5 now ur invoice is cancelled and u can go for new GR and new postings
    regards
    kunal

  • After cancellation thru J1IH of excise Invoice, what next to be updated

    after cancellation thru J1IH of excise Invoice,
    i got a message showing as "excise JV 7000153976 accounting number 8210002575 with part 2SI  7110001859 has been successfully created"**
    what next to be updated in further levels to complete all the process in FI as well as Excise Documents

    hi
    plz check the document year for inprocess and posted doc
    now steps for excise invoice cancellation will be as follows
    1  cancel MIRO document with MR8M
    2  cancel MIGO document in MIGO
    3 goto J1IEX choose post here give the excise invoice no of the document (u will get this no from table J_1IEXCDTL and field DOCNO)
    4 now in misclinious tab give the rejection code and simulate u will find all the duties are reversed (compare with previous posting)
    5 now ur invoice is cancelled and u can go for new GR and new postings
    regards
    kunal

  • J1IH Additional Excise Error

    Dear All,
    When we are taking CENVAT Credit For RG23A Part II in J1IH Additional Excise It is Posting to the register correctly. Whereas if we want to take CENVAT Credit For RG23C Part II in J1IH Additional Excise It is Taking Full Credit for CENVAT Clearing GL Account and Debiting Half of the amount to RG23C but On hold Account is not getting Updated. Kindly let me know why it is happening like this.
    Thanks in Advance
    Kumar

    Hi Raju,
    Can u tell the entry that has been passed? check also that u had assigned item categories to the GL accounts used in the entry.
    regard
    srikanth.

  • REVERSING OF (JV)ENTRIES PASSED thru J1IH

    Hi Gurus
    I have passed the Excise JV through J1IH
    Other adjustment was the tab,I have selected PLA there
    Now the entries are passed and the JV is Posted
    It is noticed that instead of PLA I should have selected RG23
    How do I cancel the the Earlier JV which has been posted through J1IH
    Points wil be duly awarded for answers
    Thanks in advance
    Regds
    Shailesh

    For addressing this issue, you have to do some configuration at Account determination level.
    You have passed JV for 'other adjustments'. that means, you are reducing the amounts from the PLA register.
    So in order to reverse this entry, you have to do account determination for MRDY with subtransaction type (say 01).
    For this combination of MRDY and 01, you have to define accounts PLA BED-debit, PLA ECS- debit PLA SECS-debit and Cenvat clearing account-cr
    Then while passing JV this time, you have to select "other adj" and subtransaction type-01 and pass this entry.
    For any issues, please revert to me
    regards
    Prasad

  • Balance transaction currency in J1IH Additional excise

    Dear All,
    I would like to add some additional excise for capital goods through J1IH Program and additional tab. I updated BED amount INR 2000 , ECESS ,INR 40 ,SCESS INR 20. Now i click the GL determination screen ,so that shown account entry as follows
    RG23C ..........DR 500
    RG 23C EC........DR 20
    RG23 SC.....DR 10
    TO Cenvat clearing account INR 1000
    Because this entry balance transction error is appearing. Just what entry wold pass the for above mentioned scenario & if it is CENVAT HOLD account required for 50% Amount,how it is possible to determine like which excise transaction and which fileds needs to update with GL
    Rgds
    SumaMani

    Hi,
    You need to setup the GL account determination of DIEX in the below config. path
    SM30--> Table Name : J_1ITRNACC and J_1IEXCACC
    Regards,
    Kishore.

  • Reverse the material document before cancelling the excise invoice.

    Dear Experts,
    While cancelling the exice invoice thru J1iex , system is giving me an error message "Reverse the material document before cancelling the excise invoice" .......I checked PO history where all the material documents are already cancelled with MIGO cancellation (movement 106 )
    But in J1iex , if I select the cancel option and put this invoice number , it is showing me one document with status "IN PROCESS" and if I select that doc and try to save it. System prompted me the message "Reverse the material document before cancelling the excise invoice ,but if I am trying to post this document system is issuing me a message "All Part I entries have been canceled for excise invoice ...........xx.Exicse table J_1IGRXREF and J_1IPART1 alrady update with both documents.kindly any one suggest me positive.
    MINI

    Hello
    follow the below steps
    1. MIGO:Cancel the material document (movement type 102) & during cancellation update part1 only. This changes the excise invoice document status to In process
    2. J1IEX:Post the excise invoice referring the material document (of movement type 102). Creates an accounting document to reverse the CENVAT postings. Creates a corresponding entry in Part II of the appropriate excise register
    Thus the excise postings are reversed.
    3.J1IEX: Cancel the excise invoice (Do this if your plant does not allow multiple goods receipts per excise invoice).Now the system will allow you to cancel the vendor excise invoice
    above the procedure right. you will get this updation excise registers also
    Laxman

  • Additional excise pass on for Past depot sales

    Dear Gurus,
    We need to pass on the additional excise duty captured at depots using J1IGA to the sales which was made in the past.
    Normally, we pass on the excise using J1IJ for the corresponding Depot delivery. But in this scenario, the Delivery document already has been taken reference for excise pass on. I request you to provide a solution to pass on the additional excise duty to the past sales and the same should be reflected in RG23D register as the additional excise duty input entry is also shown in RG23D.
    Thanks in advance,
    BVS.

    Thanks Riaz for your reply. I don't think table entry is the feasible approach. We may create a supple invoice to the customer.  Passing on the ED and hit the RG23D register is the question. I think we can create the entry in J1IGA it-self for the corresponding internal document/folio number combination.  But the problem in J1IGA is, once the Qty for the folio number gets completed, system is not allowing to create entry against that folio number. Is there any note or customization setting to enable the J1IGA additional excise entry even the qty for the folio number is totally sold from the depot???
    Awaiting for the replies from the SD-CIN gurus.
    Regards,
    Kotesh.

  • Reverse service entry sheet

    Hi,
    We are involved in implementing Transportation module for an FMCG client, we were trying to show the reverse cycle to the client.
    Service PO has been raised, GR done and service entry sheet generated and has been accepted. Now we want to reverse the whole cycle so we first tried to reverse the GR it gave an error "Transaction code MBST (=> use transaction ML81 / ML85) not defined" so we tried to cancel the service entry sheet first and then the GR.
    I tried to cancel the service entry sheet thru ML81 it gave an error "Not possible to delete already accepted entry sheets" then we went to ML81N to revoke the acceptance but when we enter the purchase order and the service entry sheet number it goes into the display mode and the display- change button is greyed out, when we try to go into the set status all the buttons are greyed out.
    we have all authorization for our ID.
    Can any one of you give a clue.
    Regards
    Godwin

    Hi All,
    Thank you for the contribution, i have got the reply from SAP please read below
    " hello,
    a revoke of the service acceptance created by the shipment cost trans-
    fer to FI/CO is not allowed. The only way to cancel this service entry
    is cancelling the shipment cost transfer.
    To cancel a shipment cost document (SCD) there a two ways:
    (1) Start VI02, enter the SCD number and ENTER
    (2) Select the transferred item, for which you want to cancel the
    transfer
    (3) Scoll to the end of data line in the overview screen
    (4) Set the flag in column 'Cancel' and press ENTER
    (5) Update the cancellation date, if the period (= transfer period) is
    closed already
    (6) Save the SCD
    => The Transfer of the SCD to FI/CO is canceled now
    (1) Start VI02, enter the SCD number and ENTER
    (2) Double click on the transferred item, you want to cancel
    (3) Select tab strip 'Settlement'
    (4) Set the flag in field 'Cancellation' and press ENTER
    (5) Update the 'Date canc.', if the period (= transfer period) is
    closed already
    (6) Save the SCD
    => The Transfer of the SCD to FI/CO is canceled now
    In both cases the used Service Entry Sheet (SES) will be deleted, but
    the Service Purchase Order will remain, even if the PO was created
    automatically by the settlement process of the SCD.
    I hope my explanations help you to clarify this issue.
    If so, would you be so kind and close/confirm this message? "
    Regards
    Godwin

  • Additional Excise duty not posting to G/L account

    Hello,
    While capturing excise invoice in J1IEX, i am entering following value as:
    Basic Excise duty: Rs.140
    Additional Excise duty: Rs.40
    Education Cess: Rs.7
    Sec.Edu Cess: Rs.1.4
    After posting follwoing accounting entries occuring:
    Basic Excise duty: Rs.140          Debited
    Additional Excise duty: Rs.40
    Education Cess: Rs.7                 Debited
    Sec.Edu Cess: Rs.1.4                Debited
    Cenvat Clearing: Rs.148.4(14071.4)  Credited
    In above  entries additional excise duty is not debited.
    Thank,s in advance
    Parag

    Hai,
    Please check the following in
    1. IMG - Logistics general - Tax on goods & mvts - India -  Basic settigs - Maintain Subtransaction type IP - ADC - Additional 4% budget 2006.
    2.IMG - Logistics general - Tax on goods & mvts - India - Account determaination - Speicfy excise accts per transaction. Here check for GRPO - Debit indicator - RG23AED Account.Check it for IP also.
    3.IMG - Logistics general - Tax on goods & mvts - India - Account determaination - Specify GL accts per excise transaction.Here check for Excise group - Excise transaction type - CoCode - Gl accts for RG23A or RG23C cloumn. CHeck it for subtransaction type IP also.
    The IP - Subtransaction type is used at the time of Import Purchase.

  • Additional Excise Duty during procurement of excisable goos

    Hi,
    We are purchasing an Excisable Material from Domestic Vendor and he is charging the following:
    Assessable Value = 401,407.77
    Basic Duty (8%) = 32,112.62
    Edu Cess (2%) = 642.25
    Sec Higher Edu Cess(1%) = 321.13
    Additional Duty(4%) =         17,462.82
    CST(4%) =           9,038.93
    We take credit for all excise duty including Additional Duty(4%)
    Please note that the Additional Charge is the amount which our Vendor has charged is the amount which he paid while importing the material from Imports Vendor. And this value is not calculated on the Assessable Value. This is an exceptional case as per the user.
    Also the CST is getting calculated on a different value, not on Assessable Value+Excise Duty.
    I Would like to know
    1. what is this Additional Excise  Duty which the Vendor is charging to us?
    2. How to incorporate this Additional Excise Duty
    3. What would be FI Entry when we add the Additional Excise  Duty . In the current scenario, the FI entries is like:
    24820020     CENVAT Inp SHEcess     S Debit     1
    24820000     CENVAT Inp BED     S Debit     100
    24820010     CENVAT InpEcess     S Debit     2
    13113920     CENVAT clearing     H Credit     103
    Please guide .
    Regards,
    PK

    Dear Krishna,
    I would like to refer you one more link (with my post):
    [Excise return|return in excise;
    Your query-part is answered in that.
    Best Regards,
    Amit

  • Additional Excise Duty calculation

    Dear Gurus,
    At the time of doing Stock transfer out of 5 material, one matrial exise caluclation not done and the whole process till J1IG done.
    Now for one material i am creating Additional Excise duty through " A certificate"--J1IGA
    In J1IGA error is no data update.
    In A certificate i have given J1IH no.
    Kindly tell me the procedure, how to caputre Additional duty through A certificate.
    Regards,

    Hi,
    I have already follow that process. Is there any other way to solve that.
    Against A cetrtificate i have given J1IH no. in J1IGA.
    and put BED,ECS, Secs manually.and delete other line item for which excise calculated.
    Kindly help me, in solving that

  • Entries made in Sprint BB 8330 will not sync to Outlook Calendar

    I just got a Sprint BB 8330 and have set up 2-way sync for Outlook Calendar, Tasks, Memos & Address Book. The 2-way sync works for Tasks, Memos and Address Book except the Outlook Calendar. The Outlook Calendar syncs to the BB but entries made on the BB do not sync back onto the Outlook Calendar. I traded my Sprint Treo which worked perfectly with 2-way syncs on my Dell laptop using XP for this SmartPhone which isn't doing what it is said to do.  I have done quit a bit of research on this and found that this problem is happening to a lot of other users. We should file a class action suit against Blackberry since it is a common problem and they seem to being nothing to fix it that I have found but they keep on selling them.  Thanks for your help.

    Open up your Desktop Manager, then go to Synchronize/Configuration/Configure Sync. In there, you will find that you are only allowing synchronization one way...from your desktop to your BB. You can configure your synchronization from that screen so that it is bi-directional.
    ~~Nick Andriash~~
    Courtenay, B.C.

  • Difference between Additional Excise duty and Additional Duty on imports

    Dear All,
    I want to know the difference between additional excise duty on domestic procurement and additional duty on imported material, mainly in context of the credit availing. How much credit we can avail if we procure a capital material (domestic and imported).
    Regards,
    Ashish

    Dear,
    Excise duty is a duty on production or manufacture of goods, It is levied on manufacture of goods and the liability to pay excise duty arises immediately on manufacture or production of goods.
    Additional duty is levied as per custom tarff act and is equal to excise duty levied on a LIKE product manufactured or produced in India.
    Sometimes, foreign sellers abroad may export to India goods at below the amounts charged by them in their domestic markets in order to capture Indian markets to the detriment of Indian Industry.
    Please check: http://help.sap.com/bp_bblibrary/600/html/J84_EN_IN.htm
    http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/808c60ca-013b-2c10-34a2-94d1eb442e6f?quicklink=index&overridelayout=true
    Regards,
    Syed Hussain.

  • HT4993 my first iphone; how do I sync my iCal from entries made with my ipod touch to my iphone 5.

    my first iphone; how do I sync my iCal from entries made with my ipod touch to my iphone 5.

    In iTunes 11 go to View>Show Sidebar.  You can then view you phone as you could with previous versions.  To register your phone go to https://register.apple.com/cgi-bin/WebObjects/GlobaliReg.woa.

Maybe you are looking for

  • How to change language for iCloud support, How to change language for iCloud support, How to change language for iCloud support

    Apple support .comunicate with me using Netherland language , all comunication , email, and everything connected with support comunicate in Netherland language , but i'm Italian and i cannot understand! How can i change this?

  • Help for a rookie in over her head

    I'm a first-time Dreamweaver user working on a site for a nonprofit. I'm having problems with positioning, especially in IE7. I am too new at this to troubleshoot very effectively -- I'm hoping a patient person out there can look at my site (which I'

  • Re ; bdc

    hai friends,             send me the coding for va01 in bdc using paging concept (multiple line items, using P+). thanks rahul

  • Embedded italic font using faux italic

    I'm experiencing an issue while trying to create an embedded italic font using DefineFont 4. My problem is the font I'm targetting doesn't include an italic variation. Is there a way to create an italic (or bold for that matter) font using faux itali

  • Old applications are pixelated when viewed on my new laptop?

    Hi I've got a new MacBook Pro with retina display and I'm having issues with some older applications, such as Adobe CS5 and Microsoft office (2011) are pixelated when viewed on my new laptop. How can I fix this?