Withholding tax of vendor in different company code

Hi All,
We are facing problem that withholding tax of single vendor is being deducted correctly in one of the company code while in others, it deducts 0 tax.
Single vendor e.g. 100002 is created in Company Code 112
The same vendor is extended in Company Code 113, 114 and 115
The issue is, we have created four different invoices in different company codes. Now we are making payment by selecting four of the invoices through F-58. It deducts the withholding tax in only 112 company code, while in others its calculating wht = 0
The configuration is such that, withholding tax type '01' is used in vendor master and in all invoices. The minimum limit is set to 0 so there is not any possibility of not exceeding the minimum amount. The other thing is withholding tax is set at country level, and all of our company code belong to same country so no issue of different configuration. We also check if 'Liable' is checked in each vendor master as well as no exemption is given in any period.
What could be the possibility?
Warm Regards,
Nayab

Thank you Chandra for quick response.
I checked, everything is perfectly set. I guess there is some issue with extension of same vendor in different company codes as e.g. in new company code, same withholding tax code is applied on vendor's invoice and deducted correctly while for other vendor it is not.
Is there any thing related to vendor master?
PS: Can we check through some report if withholding tax amount on some particular vendor is exceeded with its minimum withholding tax amount, set in IMG?

Similar Messages

  • Automatic payment process for a vendor from different company code

    Dear Friends,
    We have a situation here  to process automatic payment for a vendor which belongs to our subsidiary.
    The scenario is explained below.
    Our main company code A pays for a particular vendor (Eg. V1) from company code B.
    When processing automatic payment for company code A, the vendor V1 from comapny code B need to be selected for payment and the DME file generated should include the payment for V1 aswell.
    I know that we can set up a company code as paying company code for others but the situation here is only to process payment for one particular vendor (not all) from the other ccode.
    I would appreciate your advise in this matter.
    Regards,
    AJ.

    Dear all,
    Our situation is when we run the payment run for company code A it should also select the vendor V1 from company code B because the payment for vendor V1 has to be paid from the house bank of Ccde A. Cocde B is in different country and uses different house bank.
    Is there any way to make the house bank of ccde A to pay for the vendor V1?
    Regards,
    AJ.

  • Extend vendor to different company code

    Hi All,
    We are trying to find an Enterprise Service that fits the following requirement:
    Expand an existing vendor to a different Company Code.
    We are ok if we need to extend an existing ES to fit the requirement.
    your help will much appreciated
    Thanks.
    Anindita

    Hi,
    XK01, enter same vendor number and enter different company code.
    If you want to extend only company code then use FK01. If you want to extend purchasing level also then use XK01.
    General data will be same.
    Regards,
    Chandra

  • Vendor Data for different company codes/purchase organization

    Hi,
    In Fax massages of POs the fax number is taken automatically from the filed ADRC-FAX_NUMBER.
    We have 2 different companies and each has their own contact number and fax for the same vendor.
    How can I differentiate the numbers to each company code or purchase organization?
    Where can I maintain different fax and telephone numbers for a single vendor, that can be used in the printing of POs?
    Thanks
    Shachar

    Hello,
    If your intention is to use the same vendor code for different company codes, create a new OA partner with the 2nd fax number. You can default the OA partner in the contract.
    Hope this helps,
    Cheers!

  • Different company code vendor accepting in PO

    Hi team,
    i have two company code 1000 and 2000 and i created a vendor with company code 1000 and purchase org:1000 .
    when i am creating a PO with same vendor and with company code 2000 and purch. org :1000 then here is no restriction.
    how can i control on this issue.
    Regards.
    AM

    Hello,
    If use cross company purchase organization (one purchase organization assigned to multiple company codes), this can happen.  You may make the message 06/167 (Please only use plants with company code XXXX) to be error.
    However, if you are using plants assigned to the correct company code and using a vendor which does not have that company code view, SAP will not show an error. Here, the idea may be to allow the creation of PO and before invoice receipt, you can create Vendor Master company code view.  If you want to create an error in this situation, you have to make use of BADI ME_PROCESS_PO_CUST or one of the several user exits in Purchasing area.
    Thanks,
    Venu

  • Billing in Stock Transfer between two plants of two different company codes

    Hi Friends,
    I am doing the scenario of stock transfer between two plants of different  company codes.
    I have some issues in Billing for this..
    What are the settings do i need to to for Pricing in SD point of view.
    Ex:
    Supplying         /         Receiving
    Com.Code:2000     /        CompanyCode:1000
    Plant:2100              /         Plant:1100
    SA:2000/10/00      /          SA:1000/10/00
    I created Customer 5555 w.r.t sales area of supplying company code (2000/10/00)
    I created Vendor  7777 and assigned Supplying Plant 2100 in add purchasing data.
    In IMG Settings:
    Define Shipping Data for Plants: In Receving Plant i assigned customer 5555 and sales area blank
                                                        In Supplying Plant i assigned customer blank and sales area as 2000/10/00
    Create Checking Rule: Standard(B SD Delivery)
    Define Checking Rule: Standard(Avallability-01assigned to checking rule B)
    Assign Delivery Type and Checking rule: Document type(NB)-Supplying Plant(2100)-Delivery Type(NLCC)-Checking Rule-(B)
    Assign Doc Type:Supplying Plant(2100)-Receving Plant(1100)-Doc type(NB)
    What are Pricing settings in SD i have to do?????????
    Process:
    ME21N->VL10B->VL02N(PGI)->VF01(IV)->MIGO->MIRO
    I have gone through many threads in Forum but confusion in Pricing Part..
    Some are mixing with the inter company sales proces..
    Pls guide me..
    With Regards

    Do the following steps for STO Customizing:-
    1. Create a customer master record for the issuing plant.
    2. Create a vendor master record for the issuing plant, and enter customer account number in the Customer field on the Control screen.
    3. Repeat steps 1 and 2 for the receiving plant.
    4. Assign the plants to the customer master record in Customizing for Materials Management (MM), by choosing Purchasing <Purchase Order < Set Up Stock Transport Order< Plants.
    The Process Flow would be as follows :-
    Create a stock transport order, following the standard procedure, and send the order to the issuing plant.
    Issuing plant has processes your order, and when it is ready to ship,the storeperson at the issuing plant issues the goods using a transfer posting. The excise clerk there creates an excise invoice.The excise supervisor verifies and posts the excise invoice.It then sends the goods to you, together with the excise invoice.
    Once the goods arrive, you follow the standard procedure for incoming excise invoices:
    The excise clerk captures the excise invoice, using the stock transport order as the reference document. The storeperson enters the goods receipt, again using the stock transport order as the reference document.Alternatively, you can first enter the goods receipt and then capture the excise invoice.
    The excise supervisor then posts the excise invoice.
    Best Regards,
    Ankur

  • EXTERNAL OPERATION in a production order with  different company code plant

    Hi,
    in my case i am having a production order with  4 operations.
      0010 milling
      0020 winding
      0030 cutting
      0040 milling
    among this opearion 0030 i want to do it in a plant which is assigned to different company code than mine.
    in this case whether i should proceed with PP01 Control key  with opearion plant as that plant which is lieing in diffent company code or
    i should specify  PP02 control key saying that plant as an external vendor for me and do PR  and PO for that service .
    which should i follow for my case and how cost gets updated .

    Hi,
          For different company code, u have to specify PP02 in the routing for external vendor. In PP02 control key indicator must be set in external opn.
    Before that create purchase info record.
    Enter subcontract info record in routing.
    after running MRP , convert the PR to PO.
    Send the material by MB1B by 541 mvt
    Receive the material by MIGO  by 101 mvt.
    Regards,
    Raja sd

  • Problem for creation of PO for different company code

    I have problem for creation of PO using ME21 for different company code.Order is not created.
    Please give reply it is urgent.

    Hi Mansih,
    I don´t understand what is your exact problem, as I don´t see any company code being specified. But maybe you should check in XK03 that the vendor master data is created for this company code/purchasing organisation!
    Have a nice day!

  • Inter company STO wtih two different company codes

    Hello expert,
    I am doing inter company stock transfer between two plants that belongs to two different company code. Can someone tell me if my settings are correct
    Plant-A  (S.org- X, DC-10, D-00) and CC-A
    Plant- B (S.org-Y, DC-10, D00) and CC-B
    Deinfe shipping data for Plant u2013A
    u2022     Plant u2013A
    u2022     Customer u2013B
    u2022     Sales Org-X
    u2022     DC 10
    u2022     D 00
    u2022     Under Control data tab, Vendor = A     
    Define shipping data for plant u2013B
    u2022     Plant u2013B
    u2022     Customer u2013A
    u2022     Sales Org-Y
    u2022     DC 10
    u2022     D 00
    u2022     Under control data tab, Vendor = B
    Customer Master for Plant -A
    u2022     Customer-A
    u2022     CC-B
    u2022     S.org-Y
    u2022     DC -10
    u2022     D-00
    Customer Master for Plant -B
    u2022     Customer-B
    u2022     CC-A
    u2022     S.org-X
    u2022     DC -10
    u2022     D-00
    Vendor Master for Plant u2013A
    u2022     Vendor u2013A
    u2022     CC- B
    u2022     P.org = 1000
    u2022     Additional purch data/Extrac = A
    u2022     Under control tab, Customer = A
    Vendor Master for Plant u2013B
    u2022     Vendor u2013B
    u2022     CC- A
    u2022     P.org = 1000
    u2022     Additional purch data/Extrac = B
    u2022     Under control tab, Customer = B
    When i try to create a STO with document type NB, it says shipping data can't be determinded. Ofcourse , the material is being maintained for both plant with sales data. thank you so much for ur help.

    this is because of of shipping point is not determined, maintain shipping point for the following combination
    1)The shipping conditions from the customer master record (Shipping screen)
    2) The loading group from the material master record (Sales/Plant Data screen)
    3)The delivering plant
    Regards,
    Bala

  • STO - Two plants within Different Company Codes

    Hello,
    Kindly help me out with this case, i want to create a STO for two plants within DIFFERENT company codes, so i've created all the required configuration and master data including creating the supplying plant as a vendor and the ordering plant as a customer, also all master data is maintained in both plants and i tried the scenario on the IDES system and it works okay so i know i'm on the right procedures. The problem is that i create the PO, but when i go to Transaction Code VL10B to create the delivery it gives me an error ( Delivery with no Line item not allowed ) even though there is more than enough stock in the storage location. Kindly help me out.

    17.01.2010     Stock                            10.500,000      0,000      10.300,000
    13.01.2010     Order     Totals record     100,000-     100,000      10.300,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.300,000
    17.01.2010     StLcSt     SLFR     10.500,000      0,000      10.300,000
    13.01.2010     Order     Totals record     100,000-     100,000      10.300,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.300,000
    17.01.2010     BtchSt     123     10.500,000      0,000      10.400,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.400,000
    17.01.2010     BStLoc     123       /SLFR     10.500,000      0,000      10.400,000
    13.01.2010     Deliv.     Totals record     100,000-     100,000      10.400,000
    This is the whole table.
    This is what i got. i believe that it is an availability check problem, i just can't see what is the solution.
    SLFR is the Storage location of the issuing plant.

  • Bank account numbers for the same vendor in two company codes

    Hi guys, just one question.¡
    If I have the same vendor’s account number created in two different company codes, Is it possible to have different bank account numbers for each company code even though it is the same vendor number?
    If its possible, what is the best approach to implement?
    Best Regards.
    Miguel

    Hi
    You will not get any implications for this.
    All your transactions are made effect on your valuation area.
    which may be company code or plant.
    In mm01 you are maintaing that material for plant level.
    So data related to this material is stored for perticular plant if you are valn area is plant.
    Also for stock transfer order you will have to maintain this material for both plants or company codes.
    regards
    rb

  • Vendor bank to company code

    Dear Forum,
    I check LFA1, LFBK, LFB1 to get the link of vendor bank to company code but could not get.
    LFA1 no bank information whereas LFBK no company code.
    Why there is no link? I need vendor bank which link to company code. I have same vendor in the same country with different bank key/account for different company code.
    Thanks

    You should use the field Partner Bank Type (LFBK-BVTYP) for restricting the usage of the bank account. But there is no standard rule for linking accounts to companies. So you should create your own validation and/or substitution on the field BSEG-BVTYP.
    BVTYP is a 4 character code. You may put the company code in LFBK-BVTYP if the bank account is reserved to a company code. In a substitution, you program the following: if BSEG-BVTYP is empty, search for an entry in LFBK with LIFNR = BSEG-LIFNR and BVTYP = BKPF-BUKRS. If an entry is found, fill BSEG-BVTYP with BKPF-bukrs.

  • Consolidation of multiple invoices from different company codes

    Dear sap gurus,
    Please advice me on consolidation of invoices from different company codes?
    If no  why consolidation of invoices from different company code is not recommended ?
    what are the disadvantages?
    Phani

    Hi,
    What is your requiremen? Which Invoices Vendors or Customers?
    Using ABAP we can develop the report program.
    You want to view a report of Customer/Vendor Invoices of all Company Codes at a time correct.
    So, in your report map the invoices of different company codes to one report.
    Thanks
    Chandra

  • Single Purchase Order for different Plants of Different Company Codes

    Hi Experts,
    I have a scenario, My Client has 3 Company Codes (1000, 2000, 3000 )
    Company Code 1000 has 2-Plants    ( A001 and A002 )
    Company Code 2000 has 1-Plant      ( B001 )
    Comapny Code 3000 has  3-Plants   ( C001, C002, C003 )
    All these 3-Company codes has centralised purchase organisation.
    My Client requirement is to raise a single purchase order for external vendor, for all the plants A001, A002 which is in one company code and similarly in same Purchase Order for B001 plant which belongs to 2000 Company Code and Similarly for same purchase order for C001, C002, C003 plant which belongs to 3000 Company Code.
    1)Is it possible to raise a Single Purchase to External Vendor for plants of Different Company Codes ?
    2)Does it affect the accounting document ?
    3)How to inward and where to inward these goods ? with respect to plant wise ?
    Please Guide with Valuable inputs.
    Thanks in Advance
    Best Regards
    Javeed
    Best regards
    Javeed Ahamed

    1) How about Profit Centre ? We have Framed each Profit Centre with respect to Plant
    Why should there be a problem?
    2)In Case of Migo does we have to be careful and do stepwise MIGO with respect to different Plants ?
    of course people have to be careful when performing transactions.
    if you have multiple items in a PO then you can easily receive all items in one go. So people have to careful and need to check if they really received each of the PO items. Especially if people have authorization for many plants, then the user who is usually performing the receipts for plant A can easily post the receipts of plant B too.
    3) How to Process MIRO ? Can we process Partial MIRO"S with respect to Line-items of those particular Plants ?
    MIRO allows to post the invoice like it is send to you from your vendor. If it is just for a part of your PO then this is just a fact and MIRO allows to post this kind of invoices too.

  • Using Same Bank Account for two different company code

    Can we use the same bank account number and ABA key for two different company codes? Both the company codes are in USA and with the same currency.
    Scenario is to separate one division of the company code to a separate company code. Client wanted to know if we can use the same bank account so that they dont have to open another bank account

    The system will allow the same ABA and bank account on two different company codes.  However, if you use electronic bank statement (EBS) functionality (or plan to use it in the future), you will not be able to import bank statements for the account if it exists on two company codes.  The EBS program uses the house bank/account ID tables to assign a company code to the bank statement.  If the account exists for more than one company code, the program cannot assign a company code and it will give an error.
    Regards,
    Shannon

Maybe you are looking for

  • My experience with the Z2

    Hi there! I decided to register on this forum as to be able to share my personal experience with the Sony Xperia Z2 thus far. To start i want to make it clear that i personally believed this phone offered a rather good experience at first, unfortunat

  • Unistalling Trial Office 2010 Pro - Will this impact activated version of Office 2010 Home & Student

    I am running W7.  There is an expired Trial Version of Office 2010 Professional on this PC.  There is also an ACTIVATED license of Office 2010 Home & Student.  If I open Word, select Help, and click the "Unistall" option, I get a message that says ea

  • BW reports in R/3

    hi...I want to know if it is possible to execute BW reports since R/3. Thanks. Sole

  • What are limits of PreparedStatements?

    Hello All, I am trying to understand the limits on use of PreparedStatements with connections and connection pools. Can someone try to answer these questions for me, based on a typical DB such as Oracle? * What resources are consumed (on the DB) for

  • Shutting down while charging

    Hi, I've been using my Z3 compact since Nov, but starting yesterday, it has been shutting down after around 30 mins of charging. I did a repair using the Sony PC Companion but it didnt solve the issue. When I tried to plug it to my PC again, it resta