Abt account determination

I want to know how does the automatic account determination takes place in MIRO,everytime how system picks
Vendor account(credit)
GR/IR(DEBIT)
In MIGO it depends on movement type and all other things,
but in MIRO there is no mvt type.
pls let me know asap

Unplanned delivery costs (UPF)                                      
Unplanned delivery costs are delivery costs (incidental procurement 
costs) that were not planned in a purchase order (e.g. freight,     
customs duty). In the SAP posting transaction in Logistics Invoice  
Verification, instead of distributing these unplanned delivery costs
among all invoice items as hitherto, you have the option of posting 
them to a special account. A separate tax code can be used for this 
account.                                                            
If the above setting is not done and you have std price than it will post to the price diff account and fi you hae MAP then based it will post the mateiral account

Similar Messages

  • VKOA Account determination

    Hi,
    In VKOA I see different tables and I am not understanding how the system will pick exact table for determiniting the account.
    Example:
    In VKOA I have as follows
    001 - Cust Acc Assign (A1) / Mat Acc Assign (M1) / Acc Key (say ERL)
    002 - Cust Acc Assign (A1) / Mat Acc Assign (M1) / Item category (XXX1) / Acc Key (say ERL)
    003 - Cust Acc Assign (A1) / Mat Acc Assign (M1) / Item category (XXX1) / Order reason (001) Acc Key (say ERL)
    Question
    In this case if I post how will the system search for account determintaion if I post invoice which has
    1) Cust Acc Assign (A1) / Mat Acc Assign (M1) / Item category (XXX1) / Order reason (001) Acc Key (say ERL)  ?
    2) Cust Acc Assign (A1) / Mat Acc Assign (M1) / Acc Key (say ERL) ?
    I would like to know the order in which system will look........is it like first it checks 001 if not found then for 002 and if still not found in 003?...Am I right?
    In my question 1, system finds both Cust Acc Assign (A1) / Mat Acc Assign (M1) in invoice and system may fetch account from ERL assigned in 001 - but I want system to take 003.
    Regards,
    Rao

    Your understanding of system behaviour abt account determination is corret. To resolve your problem you need to change sequences from most specifice to the most general.
    In your case it should be like
    003 - Cust Acc Assign (A1) / Mat Acc Assign (M1) / Item category (XXX1) / Order reason (001) Acc Key (say ERL)
    002 - Cust Acc Assign (A1) / Mat Acc Assign (M1) / Item category (XXX1) / Acc Key (say ERL)
    001 - Cust Acc Assign (A1) / Mat Acc Assign (M1) / Acc Key (say ERL)
    Hope this will resolve your problem
    Rgds
    Dhiraj Bhaskar

  • Error in account determination-in billing

    Dear Experts
                     While releasing  the billing to acounting i got following error message:
                                             error in account determination
      Regards
    Rajakarthik

    Hi,
    Go to VF02 - menu bar - environment - Account determination analysis - here you will get the details abt the error.
    Also do a little search in the forum. there are lot of discussion threads on this error.
    Go to [Search|https://www.sdn.sap.com/irj/scn/forums] and enter Account determination error in search field, you will get lots of inputs.
    Regards,
    Abhee.

  • Error in account determination - table T030K key 1000 VSE during MR8M

    Dear,
    when i'm duing MR8M (miro reversal)
    Error in account determination: table T030K key 1000 VSE
    I have assigned a GL # for VSE in OB40, but still i'm getting the error, enable to move further...
    while doing miro , i didn't get any error, the doc has posted. Issue only while reversing the same doc.. the above issue is related to freight vendor service area.

    Hi Pankaj,
    As we discussed in earlier forums abt this issue.
    The doc got reversed w/o any error, if i follow assigned the service tax code against VSE. But we don't want to do this system for all the time i.e user is not ready to do whenever the use mr8m.. is there any other option..

  • CIN - EXCISE ACCOUNT DETERMINATION

    HI CIN experts,
    I need ur valuable suggestion cin excise accounts determination.
    The blw is the example of account determination ;
    GRPO - 25930004
    OTHR - 25930004  (SAME  NBR)
    DLFC- 14224023
    Like this the gl numbers are assigned , can we assign as per abv ?? as per understanding the Debit entries are flown frm GRPO and Cr entries frm OTHR and DLFC...
    so what's the benefit of keeping same gl nbr in GRPO and OTHR???
    As well,  if keep diff nbr agsinst OTHR compared to GRPO and what's impact? if i do return delviey it will hit on diff gl compared to GRPO nbr, in that case how to nullify?
    Jay

    Hi,
    Please explain in details which account are taking abt. for GRPO , OTHR and DLFC there are many accouts.
    And for accounting entries. the accounts are not taken from different Excise TT. for eg all accounts whether debit or credit will be taken from same excise TT for eg GRPO. the entries whether do debit or credit are dittermine from setting
    Logistics - General->India->Account Determination->Specify Excise Accounts per Excise Transaction
    here u give the accouting entries to be created and which gl accounts are pick from the Logistics - General->India->Account Determination->Specify G/L Accounts per Excise Transaction.
    so check this setting.
    eg for account entries..
    GRPO          CR Credit     CLEAR CENVAT clearing account
    GRPO          DR Debit     ONHOLD CENVAT on hold account
    GRPO          DR Debit     RG23AED RG 23 AED account
    GRPO          DR Debit     RG23AT1 RG 23 AT1 Account
    GRPO          DR Debit     RG23BED RG 23 BED account
    GRPO          DR Debit     RG23ECS RG 23 ECS Account
    GRPO          DR Debit     RG23SED RG 23 SED account

  • Account determination error - in creation of invoice

    Hello experts,
    i have an error in creation of invoice, after( pgi post goods issue)
    will you please help me out to solve this error.
    thanks & Regards,
    yogesh raina

    hello sir,
    After going throuth this path it shows no gl account in account determination chart
    as below
    Condition type     Message     Description
      ZPR0                                  123     Access KOFI not carried out (initialized field)
    Access     Message     Description
    10     123     Access KOFI not carried out (initialized field)
    20     121     No G/L account found in Account determination type KOFI
    30     123     Access KOFI not carried out (initialized field)
    40     121     No G/L account found in Account determination type KOFI
    50     121     No G/L account found in Account determination type KOFI
    60     123     Access KOFI not carried out (initialized field)

  • Account determination error in VF02

    Hai Guru,s
    In VF02 when i am going ton release the flag to accounting i am getting following error  "Posting keys for accounting determination for transaction EXD does not exist"
    I checked VKOA EXD a/c key availabele .This is Exise duty account key.....In pricing procedure also EXD assigned to respectine condition type.............
    where i did wrong.........which setting i missed........
    Thank u in advance
    Regards
    Anjan

    Dear Anjan,
    For Tax Conditions you have to maintain Account Determination in OB40
    Go to T-Code OB40
    Select the Transaction - EXD - & Double click on it...
    Mention required GL Account here...
    Your problem would definitely get solved.
    Hope this helps...
    Give Points if useful...
    Thanks,
    Jignesh Mehta
    Edited by: Jignesh Mehta on Sep 26, 2008 10:42 AM

  • Account determination error in Subcontract PO-MIGO.?

    Hi all
    While doing GR, i mgetting error i "Account determination for entry LDCA BSV 0001 ___ 5010 not possible".
    The above PO is subcontract PO .
    Thanks
    sap-m

    Hi,
    For subcontracting..maintain these keys..so that you will not get any problem..
    BSX, BSV, WRX, PRD, FRL
    Regards,
    Prasath

  • Account determination error in FI-MM

    Hi Gurus
    I trying to raise PO requisition in ME21N. Here I am facing couple of issues
    1) If I select the K in account assignment category I can't assign the raw material GL account in account assignment tab  as it falls under balance sheet item.
    2) I have saved the PO with out K in the account assignment category and proceeded to MIGO when the saving the document in MIGO the system showing the rejection as "account determination is missing for Valuation class and for COCD"
    and postings are not reflected.
    I want make sure that all the settings related to account determination are good in OBYC.
    Please advise here
    Kishore

    Hi,
    As you mentioned the below is the error message.
    "account determination is missing for Valuation class and for COCD"
    What is COCD ???
    Is it Chart of Account or else????
    Ravi Polampalli

  • Account determination error in FI doc during SD billing doc posting.

    hi,
    when I create one billing doc ref to s/o,
    I check account determination in condition type:
    G/L account no.: 110000
    Provision acc.   : 120000
    in FI doc,
    should debit 110000 and credit 120000
    but current status is credit 110000 and debit 120000
    Please help.
    Thanks.

    Hi,
    One of the following could be the reasons for the Account determination error.
    Please check.
    1.Incorrect account assignment group entered in the customer and material master
    Resolution:Maintain correct account assignment group in customer and material master,Eg.External Domestic,Z1 - External Foreign,Internal Foreign,etc,.
    2.GL account not extended to the respective company code.
    Resolution:Extend the required GL account to the company code.
    Regards,
    Sophia Xavier

  • Account Determination error in MIGO

    Hi Folks,
    I am getting the following Error while doing MIGO
    "Account determination for entry ABCD ___ 0001 ___ 3000 not possible"
    I have checked in OMWD and OBYC and all the setting looks ok .
    Kindly suggest..
    Thanks
    Sumit

    Check valuation class for material you are using.

  • Account determination error in sales order

    Dear all,
    Please help. Trying to release a billing document to accounting. Getting the error:
    Document 90000004 saved (error in account determination)
    Message no. VF051
    While analysing: going to Environment - Accnt determination analysis - Revenue accounts :- no condition types are coming under the procedure KOFI000. Checked settings in vkoa. All G/L accounts are mapped. There are invoices of the same document type, with the same condition types in production with correct account determination.
    On further analysis, found that  no condition types are coming  not determined in the sales orders. Yet there is no incompletion log. Quite baffled. The users are punching in cut over sales orders into production. Please help me rectify the situation.
    Thanks,
    Kasturi

    I hope you have incompletion log (OVA2) maintain for WBS element in your sales order.
    Like
    Table
    Fld Name
    Desc
    Screen
    Status
    VBAK
    PS_PSP_PNR
    WBS Element
    KKNT
    Based your requirement , say, 01
    VBAP
    PS_PSP_PNR
    WBS Element
    PKNT
    Based your requirement , say, 06
    Regards
    JP

  • Account determination error in Billing

    Dear Expert,
    I create one billing doc(1840000318) based on SO:1810000296. But in the posting status it is showing "Posting document not created(account determn error) in billing. I did not found any FI relavant docs for this billing in open item customer list.
    *Anyone can advice me why the FI docs not created automatically..???
    **Do you think there any missing configuration set?
    ***Or if I cancel the billing docs then it will okay or not ?
    Thanks & b.Rgds
    Bishnu

    Hi Bishnu,
    Check Points for Account Determination.
    1. Ensure Cutomer master (Xd02)Sales Area Data- Billing Tab-- Acc Assign Grp  ---Should be maintained
    2. Material Master -
    Sales Org-2----
    Acc Assign Grp..Should be maintained.
    3. In VKOA maintain
    Application- V Chart of Accounts--Sales Org ---Acc Assgn Gp Of Cust -Acc Assgn Gp of Material-Acc Keys (ERL,ERS,ERF)----& G/L Account.
    4. In ur Pricing Procedure i.e V/08... Maintain Reqt -2 corresponding to ERL,ERS,ERF. & Subtotal =9 in front of net total.
    Revert  for further clarification.
    Regards
    Amit Gupta

  • Account determination error in Invoice document posting

    Problem - When generating the invoice document to customer, an error is displayed - Document is saved (Account determination error). As a consequence of this step, the invoicing is not able to create FI document
    My Analysis-
    Account determination is done in G/L account assignment (VKOA screen)
    For my billing document, the system is not able to find the GL account (below are screenshots)
    In VKOA screen, I already defined the GL account determination using KOFI procedure.
    I initially defined in table 2 Cust.Grp/Account Key and it didnt work.
    So I defined in both the tables 1 as well - Cust.Grp/MaterialGrp/AcctKey
    But still system is not reading the tables and obtaining the GL account no
    Any advice on why its not working?

    Hi Nikhil,
    As per the screen shots i could observe that you didn't maintained acct asst grp of customer.
    check the acct asst grp of customer field in billing tab is maintained or not.
    other possible reason may be in your pricing procedure -check whether the accounting keys are maintained or not.
    This could solve your issue.

  • G/L account determination through material account assignment group

    Hi ,
           I would really appreciate any help on this . The scenario is .
    We changed the account assignment group of maetrial to 01 just 2 days back.
    We have old open sales order line up for this particular material . When I am trying to Bill these open orders , the system is not recognizing the account assignment grp change which happened 2 days back ,because of which I am getting a A/C determination error .
    This is a I/C order and we have PO linked to it. I am suggesting to back out everything (Do Invoice reversal,MIGO cancellation,PO cancellation , then cancel invoice ,delivery and sales order ) so that we can create a new cycle and  the system will recognize the account assignment grp change and determines  the G/L whwn it comes to acounting .
    1. Is this the right way
    2. Is there any other way by which I can make the accounting happen
    It was very obvoius that when I see the account determination analysis ,the system wasn't able to find the account assignment grp for the material .
    Thanks
    Sridhar

    Dear Sridhar
    First of all, I dont think, you will be able to change the Account Assignment Group of a material in sale order if any subsequent document is generated bcoz the said field will become uneditable.  Moreover, via MASS, this is not possible as the field name of Account Assignment Group for material (KTGRM) is not available in MASS.
    So the other option is via MASS, you can assign Reason for Rejection for existing orders.  To assign Reason for Rejection in bulk is run T.Code MASS, input [BUS2032]  as Object Type and execute.  There block he Sales Order Item Data and click on Fields and block the field MASSVBAP-ABGRU and execute.  Input the sale orders if possible otherwise leave it blank and once again execute.  Now you can assign Reason for Rejection in mass.
    Meanwhile, you have to create new orders for all those open items.
    thanks
    G. Lakshmipathi

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