A/c keys in accounting document

hello experts,
when seeing the accounting document, one of the column is transaction.
there what sould be its value for customer and what is its relevance.
regards
Vishal

if the column is not there then we need to select transaction from filter icon into the current layout. it is shown as 'txn'
regards
vishal

Similar Messages

  • Transaction key in Accounting document

    Dear gurus,
    I want to see the transaction/event keys (such as: BPX, GBB,...) for each relevant account in Accounting document but cannot.
    I remember that just to change layout of the document OR see the detail of the account in that document. But right now, I cannot see the transaction/events key there.
    Pls tell me how can I display it. Thanks

    Hello,
    Got o accounting document,  go to "S elect layout "option  , Besides Graphic.
    Click on that, You will get slect layout, Change lyaout....you should select "Change layout" 
    Change layout will open  One screen "dsipalyed coloumn" and "coloumn set"  In coloumn set you will find "transaction field select that .....
    you will get the accounting entries
    Mahesh Naik

  • Reference Key 3 Field in Accounting Document Question

    Hi Experts,
    I have a problem regarding the Reference Key 3 Field (BSEG-XREF3) to be maintained for Vehicle Number Values in Accounting Documents.
    My Requirement is when creating Journal Vouchers (tcode FB50): this Reference Key 3 will be filled according to the vehicle number. Example, they have JVs for Tyres (non-stock), they will put in the G/L Account and the Item Description like 'Tyre Treatment (replenishment) the quantity 2(pc), amount 40dollars and the vehicle number in the Reference Key 3 field. Then SAVE.
    But I want this requirement also in the MIGO transaction during Goods Receipt. But when Goods Receipt has been made, the value of the Reference Key 3 of the accounting document is set to the YearMaterial Document CreatedLine Item.
    Is it safe to change the value of Reference Key 3 during the creation of GR/GI? What is the impact to other transactions? Because I know there is a clearing tcode F.12/F.13 where it uses XREF3 for Clearing Documents.
    Please Help me clarify. Thanks!

    Hi SDNFI,
    How is the Reference Key 3 Field being configured as making the value to the Accounting Document from posting GR in MIGO? Please indicate the configuration. Else, if there are no configuration or no way to stop the system to fill the XREF3, can I just do substitution exit for MIGO to change the Reference Key 3 Field (XREF3)?
    Thanks a lot!

  • Instruction Key - Editable in Accounting Document

    Guys
    Can you help me with changing fields in Accounting document - i need to make instruction key editable.
    Thanks!

    Hi,
    Go to Path SPRO > Financial Accounting (New) > Financial Accounting Basic Settings (New) > Document > Rules for Changing Documents > Document Change Rules, Line Item and here add Instruction key (Field name as "BSEC-DTAWS") and Save.
    Then try to change it in FB03.

  • Error in accounting document for Billing - Costing Key does not exist

    Hi,
    We had activated COPA for updating Record Type - A (Sale Order) and Record Type - F (Billing Document).  Subsequently we have removed all the settings done for Record Type A (Sale Order) including Costing key.
    Now after this change we get the error of "Costing Key XXXX does not exist" during generation of accounting document for Billing.
    Can any body suggest how to over come this error without creating costing key of Record Type A (Sale Order).
    Regards,
    Ela.

    Hi Ela,
    Please use T. code KE4J and remove Costing Key from record type F( Billing) then system wonu2019t look for Costing key during releasing billing document to accounting & use T. code KE40 to correct Costing key settings  if required.
    Regards,
    Shailesh Verma

  • Population of XREF2-Reference Key 2 for a Accounting Document

    Hi Gurus,
    I have a requirement while posting an accounting document by clearing the Customer open item.
    My requirement is Populating the BSEG-XREF2 with customer tolerance Group (KNB1-TOGRU) of the Customer.
    I tried implementing the logic in the substitution rule but it is not working. At the time of the subsitution rule code, there is no value in the Field BSEG-KUNNR and i am not able to pull the Customer Tolerance Group.
    Can you please tell me are there any user exist or enhancement points to Populate BSEG-XREF2 while posting an accounting Document.

    Hi Anand Sirgapuram ,
    I don't know if you know what are BTE Business Transaction Events, but you can use them for this kind of needs, you can use the BTE: SAMPLE_PROCESS_00001120, you have to copy it and activate it using the SAP transaction FIBF.
    Regards
    Yassine NEJMY

  • Report with Invoice and Accounting Document Number

    Dear Experts,
    Here i have a requirement.
    I wanna a report which gives a Invoice (MIRO) and its accounting documents (Follow on document) in one page. Because If I view a MIRO document, for checking the accounting document, I need to click on Follow on doc, then I'll get.
    But If wanna see for 1000 MIRO documents with accounting document number, then I don't want to click 1000 times to see the account doc for respective Invoice number.
    The approximate format is,
    Column 1                              Column 2     Column 3        .......................              Column n
    MIRO  (Invoice number)                             Accountting Doc Number
    5100000099                                              5100000011
    Which tcode will give the both in one screen?
    Thanks in advance
    Regards,
    navahsek

    Hi,
    Enter Sork Key 002 for Vendor Master Record.
    and also you can check the Report in ECC 6.0
    MIR5 - Display List of Invoice Documents
    There you select Export Mode --> Display Accounting Document Number.
    You can get Report FI and MM Document Numbers.
    Hope It will Clear.
    Regards,
    Kishore

  • How to find Invoice number linked to FI accounting document number ??

    Hello All,
    I have been looking around for all possible combinations to find the link between FI accounting document number (BSEG-BELNR) and Intercompany Invoice number (for which billing corr. to STOs' or POs' is done).
    The requirement is that during ERS posting, we have accounting document numbers (BSEG-BELNR) and associated STOs' for this (BSEG-EBELN), but we are unable to map the Intercompany Billing Invoice number(s) (where the billing corr. to STOs' obtained from BSEG-EBELN) to this accounting document number (BSEG-BELNR).
    Any pointers or detailed view solution would be of great help.
    Thanks,
    Ansh

    Hello DPM,
    Thank you for the descriptive help. But my requirement is to look for Intercomapny Billing number (VBRK-VBELN) linked to an accounting document number (BSEG-BELNR) and not Invoice Receipt Number.
    The steps that I am following are:
    From BSEG, found EBELN (Stock Transfer Order) and XREF3 (Reference Key, combination of fiscal yr., some ref. number, maybe GR no. and ref item no.), based on BELNR (Accounting document number).
    From EKBE, found XBLNR (Reference Delivery Number or Direct Intercompany Billing Number on which GR is done) based on
    EKBE - EBELN = BSEG - EBELN
    EKBE - BELNR = BSEG - XREF3 (only ref and item no., considering it to be a GR no.)
    EKBE - VGABE = '1' and EKBE - BEWTP = 'E'.
    From VBRP, found VBELN (Intercompany Billing No., which is a desired number) based on
    VBRP - AUBEL = EKBE -EBELN (Stock Transfer Order)
    VBRP - VGBEL = EKBE - XBLNR (Delivery number)
    Here, I am not sure about 2 things:
    Whether the reference no in BSEG-XREF3 will always be Goods Receipt number for Stock Transfer Order or not. If not, then what it can be and how I will have to proceed further then.
    Secondly, If in case for an accounting document number, I have 2 Stock Transfer orders (BSEG - EBELN) and same reference number (BSEG-XREF3), then from History table (EKBE) I get only single delivery based on which GR was doen for both STOs', then I shall be getting single Intercompany Billing Invoice from VBRP or different ?
    Kindly provide your inputs.
    Thanks,
    Ansh

  • Link between Material Document number & Accounting document number

    Hi All,
    For material document there is a corresponding accounting document number generated.However this is not the rule in all cases.
    Where is the link between the two(Material Document & Accounting Document) ?
    In other words i want to list those material documents only, for which accounting documents are generated.
    Regards
    Piyush Kothari

    STEP 1
    SAP query way to extract your information.
    Create an infoset SQ02 with a single table MKPF. (include key fields in the field group)
    Step 2
    From Extras
    Create an additional field called zawkey (like bkpf-belnr) which will concatenate the MM document number MKPF-MBLNR and MKPF_MJAHR. The sequencing shall be number 1.
    You may use this code below and paste also (this needs authorization as well)
    data: zzawkey like bkpf-awkey.
    clear: zawkey, zzawkey.
    concatenate mkpf-mblnr mkpf-mjahr into zzawkey.
    zawkey = zzawkey.
    Add another field called ACCDOCNO (accounting documnet number) with sequencing number 2 with following code.
    data: zaccdocno like bkpf-belnr..
    clear: zaccdocno, accdocno.
    select belnr from bkpf into zaccdocno where
      bukrs = ccode and
      GJAHR = MKPF-MJAHR and
      awkey = zawkey.
    endselect.
    accdocno = zaccdocno.
    Step 3
    Include the additional fields  into the field group.
    Step 4
    Click on the selection tab and create a parameter called ccode with a description Company Code and  against
    LIKE    BKPF-BUKRS 
    Extras  OBLIGATORY 
    Step 5
    Click on the selection tab and create a seelction criteria pdate with a description Posting Date for the field MKPF-BUDAT
    Extras  OBLIGATORY 
    Step 6
    Save, Generate and assign the infoset to a user group.
    Step 6
    Create a SQ01 query under the usergroup with all the fields in the infoset. and Execute. Enter a company code and one date of a working day where you expect material transactions.
    The result will be all the material documents and their corresponding accounting documents, if available. If you want to see only those material document that do not have corrsponding accounting documnet, then while you are in the selection screen say accounting document number is not equal to blank.

  • Link to find Accounting document number from Material document number / PO

    Hi
    We are working on a custom report, in which we need to print purchasing details (from EKPO, EKKO & EKBE) as well as accounting details (from BSEG & BKPF). We need to hit BKPF/BSEG with the accounting document number, since it is the only key field (though PO number is there in BKPF, we can not use this because it is not a key field)
    My question from which table we get the accounting document number ? We need to provide a link between purchasing & accounting through accounting document number, but how to find the accounting document number. ?
    Thanks
    Venkat.

    Venkat,
      I guess you are trying to fetch Accouting Documents for goods receipt against PO.
      To do this, you need to look at the PO History table (EKBE) and find out the Corresponding material document (VGABE = 1 for good receipt).
      Get the value of BELNR and GJAHR.
      Concatenate BELNR and GJAHR into your refernce key (like BKPF-AWKEY).
      Then use this key to read table BKPF with the following key
       AWTYP = 'MKPF' for Material document
       AWKEY = reference key generated above.
       AWSYS = the value of the logical system (if used) or blanks
    This will get you quicker access as compared to what you've described below. In this case, the system uses a standard SAP Index "Index by application type and key" to fetch the relevant records.
    Hope this helps.

  • MIRO accounting document GR/IR not updated

    Hi,
    User posted Invoice verification ( MIRO) and in accounting document i have seen that
    1)vendor account - Credited
    2) But there is no GR/IR account updated instead of that purchase order G/L Account updated as Debit
    Ideally GR/IR account should create and debited (Correct me if i am wrong)
    and user again posted the credit memo against this invoice document and the accounting document created as below
    1)Vendor account debited
    2)GR/IR account Credited ( Partial amount)
    3) Purchase order G/L Account created ( With remaining partial amount)
    Ideally it should post whole amount to only one account
    Don't know how this happened, is this because of some setting or something else
    Please suggest
    Thanks,
    Jairaj

    Hi Parvin/Antony,
    Thanks for the suggestion!
    Below are the details of GR and IR data with posting key, still not getting how it is happened and also not able to create scenario
    50030: PO G/L Account
    82241: GR/IR Account
    111264: vendor account
    GR
    Itm PK Account    Account short text   Tx Cost Ctr   Order                  Amount
                                                                                    1 81 50030      PO GL account    CS0408                         5.000,00
      2 96 82241      Gds Rec/Invoice Rec                                    5.000,00-
    GR Accounting documents are OK
    First Invoice:
    Itm PK Account    Account short text   Tx Cost Ctr   Order                  Amount Text                                                                               
    1 31 111264     VENDOR ACCOUNT       VT                                5.750,00-
      2 81 50030      PO GL account VT CS0408                         5.000,00
      3 40 79144      Input VAT St R (15%) VT                                  750,00
    Why GR/IR account not hit here
    Credit memo:
    Itm PK Account    Account short text   Tx Cost Ctr   Order                  Amount Text                                                                               
    1 21 111264     VENDOR ACCOUNT       VT                                5.750,00   MR8M 
      2 96 82241      Gds Rec/Invoice Rec  VT CS0408                         4.700,00- 
      3 91 50030      PO GL account VT CS0408                           300,00-
      4 50 79144      Input VAT St R (15%) VT                                  750,00-  
    Both GR/IR and PO GL accounts updated, price is distrubuted with 4700 and 300 not sure how
    One more Invoice:
    Itm PK Account    Account short text   Tx Cost Ctr   Order                  Amount Text                                                                               
    1 31 111264     VENDOR ACCOUNT       VT                                5.750,00-    
      2 86 82241      Gds Rec/Invoice Rec  VT CS0408                         5.000,00 
      3 40 79144      Input VAT St R (15%) VT                                  750,00  
    This is OK
    Please suggest how to tangle this issue
    Thx,
    Jairaj

  • Rounding Issue Excise Invoice and Accounting document

    Hi
    I have made and Excise Invoice with following values
    Base Price                          4110
    BED    10%                           411
    CESS   2%     on BED               8
    HEC     1%      on BED              4
    In the Excise Table J_1IEXCDTL also values for BED is updated as 411, CESS as 8 and HEC as 4
    But in Accounting Documetn following values gets updated
    Base Price                          4110
    BED    10%                           411
    CESS   2%     on BED               8.22
    HEC     1%      on BED              4.11
    So at times there is a difference in both Excise Invoice and Acocunting Document. We want same values should appear in Excise Invoice and Accounting Document. Since EXCISE does not accept value in paise, we need to round off the value to the nearest rupee and accordingly update the accounting document.
    My Pricing procedure mentions Cal Type as 17 Rounder off as per T001 R for BED / CESS  /HEC...
    Please guide...
    Regards
    Sanjeev

    Dear Sanjeev,
    Check whether there is a Condition type DIFF in the pricing procedure, and also in the invoice (conditions)
    Check whether there is any account key assigned to it, in the pricing procedure.
    Thanks & Regards,
    Hegal K Charles

  • Error in Posting Accounting Document from invoice

    Hi,
    When i create invoice, the system gives error while creating accounting document as,
    "Tax code Y1 does not appear in any G/L account item".
    In my pricing procedure. i have two tax condition types. MWST and ZSED (copy of mwst). when i delete ZSED from my pricing procedure and then i create a sales order/delivery & finally invoice...then it works fine (Accuonting document is created successfully).
    i have assigned the gl accounts in vkoa. and MWST & ZSED goes to same gl account via MWS accounting key.
    although i have searched the forum for this issue, but that didnt resolved my issue.
    seeking your guidance.

    Dear Robert,
    I'm having same issue as yours.
    The requirement for us is if return sales in some order reason codes, then tax should be posted to different G/L other than the G/L defined in OB40(transaction MWS).
    After several test, found the system only recognize the G/L in OB40, won't touch setting in VKOA. As if I delete the GL in table T030R, SAP will issue an error requesting GL assignment.
    Please let me know if you have solved your issue! If yes, please share your solution! 
    Thanks in advance!

  • Error in :Posting keys for account determination

    Hi, Gurus,
          please suggest the solution for the following problem.
                we are selling two  types of materials, one is the  product material and the second one is the scrap material.Different type pricing procedures, sale order,delivery and billing types were configured for the same. For CST and VAT   same condition type  :"ZCST - for CST " and  ZVAT - for VAT" were used in both pricing procedure and the standard account keys : MW1 for ZCST and MWS for ZVAT  and  same G/L accounts configured .
    .                                                   key combination for the condition types as mentioned below:
    .                                                        ZCST:  Country/PlntRegion/Region/TaxCl2Cust/TaxCl.2Mat
                                                             ZVAT: Country/PlntRegion/Region/TaxCl1Cust/TaxCl.Mat
         Now we want to capture  CST and VAT seperately for both the materails.For that two new account keys created and incorporated the same in scrap pricing procedure and  and new  G/Ls created and assigned .Now the system is throwing  following error while while releasing the billing document to accounting document.
    Posting keys for account determination for transaction Z48 do not exist
    Message no. F5598
    here Z48 is the new accounting key created for  the  CST tax.We tried all the possibilities, but system is throwing the same error.
    with regards
    sam

    Thank u for ur response.Now it is solved when OB40 and OBCN maintained.Here I am facing a new problem.pl. provide the solution.we configured twoseperate  pricing procedures for our product and scrap material.We have configured same condition types for VAT(ie.condition type:ZVAT) and CST(cond type:ZCST), in both pricing procedures. Now We want to maintain  seperate condition types for VAT and CST for pricing procedure for Product material and Scrap material. I have created two new condition types for scrap sales ZSCT- cst for scrap and ZSVT-vat for scrap by copying the same from existing conditions ZCST & ZVAT, and the same is included in the scrap pricing procedure. And also maintained OB40,OBCN,OVK1,OVK3,OVK4, FTXP,FV11 and VK11.
    now I am facing the following problems.
    1. while creating the Material master & customer master, in tax category sub screen all conditions i.e. conditions defined for  product material( ZCST,ZVAT) and defined for scrap material (ZSCT, ZSVT) displaying and these are compulsory fields.
    2. While creating the sale order for scrap material, system is considering the TAX classes from ZVAT/ ZCST (defined for product material) and taking the condition value from the condition type ZSVT/ ZSCT with the TAX class values of  ZVAT/ZCST.
    Now I would like to know is there any procedure  to assign the Material type and Customer group to Tax category.
    Thanks & Regards
    sam

  • Cancelling Credit memo not reverse the accounting document

    Hello,
    Hello,
    We are facing pecular problem in production system when we Cancel the sales credit memo system is not genarating the reversal accounting document and it's genarating the entry same way credit memo.
    When we do the credit memo it's passing accounting entry in the following way.
    Posting key 11 with customer (credit entry)
    Posting key 40 with revenue (debit entry)
    Posting key 40 with tax (debit entry)
    When we cancel the credit memo system is not passing the reversal entry and once again it's passing the same entry.
    Posting key 11 with customer (credit entry)
    Posting key 40 with revenue (debit entry)
    Posting key 40 with tax (debit entry)
    Could you some body explain me what is the problem
    Regards,
    Satya
    Regards,
    Satya

    Dear senthil
    As I said earlier, once the accounting document is generated, the respective amounts will flow in debit / credit entry of the document flow.
    Once you cancel the billing document, for this cancelled billing, one more accounting document will be generated and with this, the above entries would be vice versa.  That is debit entries get credited and credit entries get debited and you cannot hide this from SAP
    thanks
    G. Lakshmipathi

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