Accounting document not generated  during billing

Hi All,
Our issue is as following :
Standard sales order created with 53 line items, delivery and billing completed where as the accounting document not automatically released.  The error message is maximum no. of line items for FI Document (999)  has been exceeded.
For this Sales orders had we made two separate billings then this problem could have not occurred. 
Now how can I split the billing document in to 2.  (either by deleting the existing one  and recreating 2 separate billing docs ?)  Invour case all  the 53 material delivered in one delivery order.
Please suggest the corrective solution...
Thanks in Advance..
Thanks and Regards
Somayaja phani

In your case you have two options. one is post accounting entries manually into systme for this you no need to reverse delivery. second you have to reverse delivery and reprocess in two dirrerent documents.
padma

Similar Messages

  • Accounting document not generated afrer billing

    Dear All,
    i m creating sales process starts from order-PGI-billing with WBS element for account assignment but after vf01 no accounting document is generated.Please help to resolve the problem
    Regards
    Vivek

    Dear All,
    One of the reasons is ... we are wrong when give sign to the tax category in maintain master data general ledger for account revenue. please give sign "*" on Tax Category in master data general ledger and then run again the transaction in SD (Billing Process).
    Hopefully it will help....
    Thanks & Regards,
    Didin

  • Accounting document not generating in billing

    Hi,
    When try to clearing accounting document through VF02 it showing *"check value field assignment for condition FREE"
    when I am double click this log it showing message
    Check value field assignment for condition FREE
    Message no. KE/AD243
    Diagnosis
    When condition "FREE" (application "V") was transferred to the value field "VVDIC" in operating concern "CPLG" in Profitability Analysis, the following became apparent:
    u2022     The condition can take both positive and negative values
    u2022     The flag "Transfer values with +/- signs" has not be set in Customizing for value field assignment.
    Inconsistencies in the data could occur as a consequence.
    System response
    It is not possible to post the document in Profitability Analysis.
    Procedure
    Set the flag "Transfer values with +/- signs" for the condition "FREE".
    You should set the flag "Transfer values with +/- signs" selectively for individual conditions if:
    1. The conditions can take both negative and positive values (for example, in the case of conditions that describe a transfer price surcharge or a loss deduction).
    2. The conditions appear several times in a billing document and thus cause a debit posting as well as a credit posting (this is the case, for example, when creating or cancelling reserves).
    By activating the flag "Transfer values with +/- signs", you balance the positive and negative values in a condition. You can thereby guarantee that the sum of the negative and positive condition values is displayed as the correct total value in the value field assigned to the condition.
    Caution when in the production system!
    If you have already used condition "FREE" to post data in the production system, then the sign in Profitability Analysis may differ from the previous sign as a result of the flag "Transfer values with +/- signs" having been activated. See the F1 Help documentation on the field "Transfer values with +/- signs" or the OSS note 52849. If deviating signs occur, it makes sense to move condition "FREE" to a new value field! Contact your system adviser or SAP.
    The +/- signs are handled as follows for the flag "Transfer values with +/- signs":
    Billing document(normal) "trans.with signs"  "trans.w/o signs"
    Debit posting                   negative        positive
      (such as sales deductions)
    Credit posting                     positive        positive
      (such as revenues)
    Credit memos/returns    "trans.with signs"  "trans.w/o signs"
    Debit posting                   negative        negative
      (such as revenues)
    Credit posting                     positive        negative
      (such as sales deductions)
    Maintain Condition Assignment to Value Fields - SD Condition

    Hello,
      The error message KE/AD243 generally appears due to incorrect customizing in the tcode KE4I.                                           
    Since you mention that this issue cannot be reproduced in your testing environment could you please check if there is a difference in customizing in this tcode between your testing and PRD environment for assignment of value field VVCDI to condition type FREE ? The +/- transfer flag could be the problem.                                      
    As of Release 4.6, the system checks the value field assignment during the transfer of billing documents to the Profitabilty Analysis.          
    To prevent an inconsistent update of data in CO-PA (see notes 33178 and 52849), the system checks whether the flag 'Transfer with the appropriate plus/minus sign' is set in the Customizing ( 'KE4I' ) for condition types of which there are several on a billing document with different plus/minus signs. So if the flag is not set, error message KE/AD243 is issued.                                                      
    You can bypass this logic by using  note 626529. Also check if this is present in your testing environment. You may only use this modification if the +/- sign handling of the affected conditions occurs in a CO-PA user exit. If you have not implemented an own +/- sign handling in an exit the modification results in a data inconsistency in CO-PA .                          
    I hope that the information are helpful.
    Regards
    Claudia
    If you are satisfied with the answer, please give Reward Points.

  • Accounting Document not generate after Billing

    Dear All,
    Billing Documents are saved but after accounting document are not getting generated.
    we are getting the following error
    *Balancing field "Business Area" in line item 001 not filled*
    and billing doc are not releasing to accounting
    we have checked in document splitting also all the setting are correct
    request to guide on the above said issue
    Regards
    Kiran

    Hi,
    Check with your FI Guy, whether Business Area is made mandatory for Accounting Document Type (For e.g. RV) of Billing. Is there any validation maintained for the same in OB28.
    If Yes then check whether Business Area for all the line items are entered or not in VF02?
    To do so double click on the line item and under "Item Detail" Tab, under "Account Assignment" Sub screen, check Business Area.

  • After cancelling the  billing document accounting document not generated

    hi,
    we released the billing and accounting document generated but customer needed changes in the billing values so we cancel the billing document but accounting document not generated(reversal accounting not happen)....in document flow it shows in cancel document in blocking state ....we try to release in VF02 but it throws the error "Client 200 does not contain an active application area" . but the other sales order we test in qulaity server the scenorio is working fine...............for specific one sales order creating problem now.....
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    Thanks
    Muthuraman.D

    Dear all,
    I have noticed this problem in my company system.
    Problem descripion:
    - you creates an invoice and the system doesn't post it for any reason
    - then you create the cancel of the invoice, BEFORE forcing the posting of the invoice
    --> user creates Cancel, Cancel is not posted as well.
    --> from now it is impossible to post both invoices: if you try to post the Invoice after the cancel creation, the VF02 recongnise that a CANCEL exists and do not allow for the posting
    --> standard VFX3 doesn't signal this kind of not posted documents situation.
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    But in this case VFK3 was not able to detect the invoice was not posted: it was not in the list.
    So the 2 ways must be:
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    2) other possibility: add a further check in interface between SD and FI in order to check if original invoice is not posted to FI  and in this case block the cancel creation, as instead standard SAP does.
    Could you please give me an idea on how it would be better proceed?
    Thank You very much.
    Raffaella

  • Billing Number Range problem ( accounting document not generated)

    Hi All,
    I have created some billing types and for them I have assigned some internal number ranges. Now when I create a billing document it is getting saved with the proper number range but no accounting document is getting generated.
    Also when I try to release the invoice I am getting an error which says " *Incorrect doc.no.: 10000009. Select document number between 0090000000 and 0099999999* "
    K I N D L Y     suggest  as U R G E N T.
    Regards,
    Danny.

    Dear,
              Billing Number Range problem ( accounting document not generated) is not an error because when you create billing document then accounting document not generated. Accounting done after posting of that billing document with VFX3 or VF02 T.Code by account department.
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    Regards,
    Sandip Shaktavat

  • Accounting document not generating for excise invoice.

    Dear all ,
    my issue is
    accounting document not generating for excise invoice
    we are creating accounting document in J1iin
    with refferance to billing document but the accounting docuemnt is not generating
    the accounting document for billing document is generated
    so why the accounting document for excise invoice is not genrating its showing the correct amount in BED ,cee and HE Secc.
    please help
    regards
    Subrat

    IMG -> In Logistics u2013 General -> Tax on Goods Movement -> India ->  Account Determination -> Specify Excise Accounts per Excise Transaction
    Check if the following is maintained or not
    DLFC       CR Credit      PLAAED PLA AED account
    DLFC       CR Credit      PLAAT1 PLA AT1 Account
    DLFC       CR Credit      PLABED PLA BED account
    DLFC       CR Credit      PLACESS PLA cess account
    DLFC       CR Credit      PLAECS PLA ECS Account
    DLFC       CR Credit      PLASED PLA SED account
    DLFC       CR Credit      RG23AED RG 23 AED account
    DLFC       CR Credit      RG23AT1 RG 23 AT1 Account
    DLFC       CR Credit      RG23BED RG 23 BED account
    DLFC       CR Credit      RG23ECS RG 23 ECS Account
    DLFC       CR Credit      RG23SED RG 23 SED account
    DLFC       DR Debit       MSUSP CENVAT suspense account
    Also IMG -> In Logistics u2013 General -> Tax on Goods Movement -> India ->  Account Determination -> Specify G/L Accounts per Excise Transaction
    Check if for all Excise group u2013 DLFC u2013 Company Code combination GLs are maintained or not (especially in production client)

  • Accounting document not generating for excise invoice-please help

    Dear all ,
    my issue is
    accounting document not generating for excise invoice
    we are creating accounting document in J1iin
    with refferance to billing document but the accounting docuemnt is not generating
    the accounting document for billing document is generated
    so why the accounting document for excise invoice is not genrating its showing the correct amount in BED ,cee and HE Secc.
    please help

    Dear G. Lakshmipathi,
    As uknow i am getting problem when i am creating the debit memo
    so is there any specific ETT for debit memo is there .because we are not maintaining delivery type to billing type here in CIN setting
    so its not goods removal through sales . so what will be transaction type for this.
    how to check the error that why the accounting document is not generated as no error log is also comming.
    so please help me in this regards.
    Thanks with Regards
    Subrat

  • Accounting document not generating

    hi friends,
    when i put internal order in sales order profit centre changes, delivery done,billing done , perhaps it generate acounting document regarding excise only ,and not revenue,
    does any one knows why is it so.

    Hi,
    Go to VF02 and press the release flag by giving the relevant billing document number then you will get the error for what reason accounting document not generated.You can also give in side the billing document and there in enviornment Account Determination analysis and revenue Account Determination there you will get clear picture for the reason.May be some setting missing in VKOA.

  • Accounting document not generated

    Hi ,
    I have created credit memo request in VA01.
    i have generate biling documnet (credit memo) VF01 but accounting document not generate.
    it is giving error message when i am trying to release manuvally.
    "Reason code SE is not defined"
    Message no. F5596.
    please help what can i do for posting accounting document.
    Thx
    k.Satish

    Hi,
    You're welcome. You can read about reason codes here:
    http://help.sap.com/erp2005_ehp_03/helpdata/EN/01/a9b999455711d182b40000e829fbfe/frameset.htm
    Regards,
    Eli

  • Accounting document not generated for cancled credit memo

    Hi,
    its related to rebet
    den cancled credit memo.but accounting document not generated.
    after that created new rebet and accounting document generated..so in document flow status showing open for cancled credti memo. how to delete or clear this? or how to cancle this?
    kindly help me on this,
    Thanks,
    Regards,
    Minesh Soneji

    Error message:
    validation user has got error " Doc.Date<=Post.Date and  Postind Date <= Current date"
    kindly help me on this..
    global docs creaetd.........................................completed
        global invoice created... ...............................completed
             accounting document created.............not cleared
                 cancle of credit memo ......................open
                     global docs created........................cleared
                          accounting docs created ........cleared.
    i need to remove this status cancle of credit memo , status is open, there should be accounting docs...
    kindly help me on this..
    this is related to rebet.
    thanks,
    minesh soneji

  • Error in Posting Excise Invoice - Accounting document not generated !

    Hi,
    We have done the GR using MIGO-Only Part I, captured in the Excise Invoice using J1IEX and these two transactions are OK.
    While we are trying to post the Excise Invoice, the system is displaying the following error:
    Accounting document not generated!
    Message no. 4F186
    Please guide.
    Please note that we are running the transaction in the Pre-production server for the very first time.
    Also would like to know what all reports I should run related with Excise. Someone told me that I should run the T Code J1I5 & J2I5 to update the RG23 register the next day of the transaction the entry related with excise is not updated on the same day. I think the updation of register should be automatic 
    Regards,

    Hi,
    I am repeating my Process/Question:
    We have Created a Purchase Order with Tax Code (JMOP) related with Excise (Cenvatable).
    We did the Goods Receipt (MIGO-> Only Part 1)
    We did the Capture Invoice (J1IEX).
    Till here every thing is OK.
    While Posting the Excise Invoice (J1IEX), the system is giving the follwoing error:
    Accounting document not generated!
    Message no. 4F186
    On Simulation window, the System is displaying the following CENVAT Posting:
    24820020           Dr.      1,058.00
    24820000           Dr.      105,840.00
    24820010           Dr.      2,117.00
    13113920           Dr.     109,015.00
    But when we click on the Post CENVAT Button, the system is displaying the message "Accounting document not generated !" and exits.
    Please guide.
    Please note that we are running this Transaction on the Pre-production Server; On the Development Server it is working fine.
    Regards,

  • Accounting Document Not Generated  for SD Billing

    Hello SAP Champs,
    Please let me know if you have any thoughts or solution for the below issue.
    Background:
    We have company code 3000 that was created three years back. In the month of November, 2007, we have activated Controlling in this company code. Now business is trying to cancel an Invoice that was posted prior to Controlling activation (for company code 3000).
    The transaction used is VF11.  The result is a cancellation document has been created in the  system but no accounting document was generated.  The error message is "Account XXXXX requires assignemnt to CO object".
    However there is no issue with the account determination or account assignment setup. In fact all other Invoices(that were generated after controlling is made active), account assignment works just fine.
    We are trying to see if there is any standard procedure or mechanism to resolve this issue.
    Question -  Can we manually create the accounting document for the cancelled invoice? I tried creating one(using FB01) but it was not recognized by the invoice and I'm not seeing it in the document flow. We have the same document number for Invoice and Accounting document.   Please let me know if I'm missing anythiing here or is there a better way to resolve this.
    Thank you in advance for your help. Points rewarded for sure.

    You can map Sales Order number to either 'Assignment' or 'Reference' fields in accounting document using Copy control function in SD. Please use transaction VTFA, this needs to be maintained for combinations of billing type and sales document type. Please ensure these fields are not currently used in your system for other information.
    Following fields can be mapped to 'Assignment' or 'Reference'.
    A Purchase order number
    B Sales order number
    C Delivery number
    D External delivery number
    E Current billing document number
    F External delivery no. if available, otherwise delivery no.
    If you currently use 'Assignment' or 'Reference' fields for other details, you can use user exit EXIT_SAPLV60B_008.
    Thanks
    Venkata Ganesh Perumalla
    Edited by: Venkata Ganesh Perumalla on Oct 4, 2010 11:52 AM

  • Accounting document not posted from billing document SD module

    Dear Sir,
    I am encounting a weird issue in SD module, that is when I am saving the billing document the system will generate accounting document automatically from my ID but when the same process will perform from the other ID having same rights and previligies then system prompt the folllowing message .
    "Tax code C1 does not appear in any G/L account item"
    It means the system allow a specific user to post accounting document with reference to billing document but not allowing to post from any other ID.
    Apparently this issue related to basis module. we have checked in the basis area as well . still unable to get ane resolution for this issue.
    Best Regards,
    HASEEB KHAN
    MM,PP,SD CONSULTANT

    Hello Haseeb,
    In that case, I would suggest you check Change Message Control for Taxes follow following path in SPRO:
    IMG - Financial Accounting (New) - Tax on sales/purchases - Basic setting - Change Message Control for Taxes
    Check corresponding doc to it and go through different Application Area, particularly, FF
    Also refer SAP Note 495737 - Customizable messages in FI_TAX_SV_BSEG_BSET_GROSS
    Hope this can assist you in understanding
    Thanks & Regards
    JP

  • Accounting document not cleared when billing document is cancelled.

    Hi,
    In ECC 6.0 when we cancel a billing document through vf11 in vfo3 we find the status as accounting document not cleared.
    The general process is manually going to f-23 and clear customer line items of that invoice. After doing this the status become accounting documet is cleared.
    My requirement is how to cancel the billing document without getting this message (accounting document not cleared) and not clearing the customer line items manually.
    Can it be done through user exit/enhancement or by copying requirement vofm.
    Please suggest.
    Thanks
    Edited by: sumesh on Jul 29, 2009 6:33 PM

    They directly want the accounting document to
       be cleared when billing document is cancelled.
    Though you can achieve this with the help of ABAPer, why dont you consider having a Posting block for your billing type so that as and when the billing documents are generated, you can release it via VFX3 in bulk or VF02 for individual billing document release to FI.
    In order to achieve this, go to VOFA, select your billing type and execute.  There you can see a field "Posting block" where maintain a tick there and save.  With this control, first of all, you can ensure that before releasing F2 billing documents to FI, it is not cancelled.
    thanks
    G. Lakshmipathi

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