Accounting documents in J1iin

Hi guys
When an Excise Invoice is Generated in J1iin system will generate Accounting document. How the system is picking the GL accounts for Modvat postings?
Regards
Prakash

Dear friend,
   The account key post only to the GL accounts from commercial invoice. and CIN has its own gl account to maintain the accountsof accounts which is then cleared with cenvat suspense account and Cenvat clearing account during utilization.
Commercial invoice amount are posted to GL accounts through Account key.
Cin - Excise amount are post to the gl account maintained in Tax on goods movement only when you do a excise invoice.in J1iin
regards,
Sudhir

Similar Messages

  • Accounting document in J1IIN

    Hi ,
    How to restrict system to create accounting document in J1IIN in Export Under NON BOND. Please guide me about any USER EXIT  available for bypassing accounting document.
    Thanks & Regards,
    Hemu

    HI
    Can you be more clear.
    Normally if select as NOBOND while creating while creating excise invoice for exports, when you save the excise invoice system creates an accounting document as in local sales.
    Do you want the system to create or not to create.
    regards
    Prashanth

  • 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

  • J1IIN reversal accounting document not reflected in SD document flow

    Dear Experts,
    I have created a billing document and then posted excise through J1IIN. When I reverse the Billing through VF11 there are two accounting documents generated(one for billing and other for Excise reversal). But the Excise reversal accounting entry doesnot update the table J_1IEXCHDR for which again i have to post a reversal for Excise through J1IH. So in order to remove the extra accounting entry for Excise reversal during VF11 we have applied Note No:-  551932 due to which the extra accounting document for reversal of Excise is not getting generated but the reversal of Excise made through J1IH doesnot get reflected in the SD document flow.
    Please let us know how to get this entry in SD document flow.
    Thanks & Regards
    Edited by: Aniruddha B Mahalle on Feb 13, 2012 2:45 PM

    Hi Vikas,
    Cancelling J1IIN excise invoice will by default take me in the transaction J1IH what i wanted to know is that can the J1IIN cancellation of excise invoice be shown in the SD document flow. If yes then please let us know the note number to be applied to it.
    Thanks & Regards
    Edited by: Aniruddha B Mahalle on Feb 16, 2012 8:07 AM

  • Accounting document for Excise Invoice

    Hi,
    Accounting Document generated for Excise Condition types.We do not want to generate Accounting document for Excise Invoice.
    We have marked the Excise Condition types JEXP,JECP,JA1X as Stastical in Pricing procedure & also not assigned the Account Keys for the same.
    How to make other settings for non generation of Accounting document for Excise Invoice.It's a Domestic scenario.
    Please suggets.
    Thanks & Regards,
    Hemant PAtil

    Hi,
    Instead of creating the Excise Group i have created the Sub Trasaction type (DS) ETT Type DLFC.
    In SPRO Specified the Excise Account per Excise Transaction DLFC & DS.
    Also Specified G/L Accounts per Excise Transactions.
    Excise Grp (P2),ETT (DLFC),Company Code (MU51),Chart of Accts(XXX),all the G/L Accounts kept BLANK.
    While creating the Excise Invoice thor.J1IIN,if i put Sub Transaction type DS then the system gives the following error.
    Excise modvat accounts not defined for DLFC transaction and  excise group
    Message no. 8I402
    Please suggests.
    Thanks & Regards,
    Hemant Patil

  • No accounting document at the time of MIGO in STO

    Hi,
    I am doing the following process in STO.
    1.Create PO ME21N
    2. In VL10B  to create a delivery
    3. VL02n do the Post goods issue with movement type 641
    4. In VF01 create the billing document where you will stock transfer price and Excise duties involved and this procedure is defined by SD people.
    5. In J1iin you will create excise invoice
    6. Now we are doing goods receipt (MIGO) and capture and post the excise invoice.
    But at the time of last step no accounting document is generating,only cenvat clearing a/c is generating.
    So how can we get the a/c document at the time of MIGO.
    Regards

    Hi,
    It will not offset the cenvat a/c because the accounting entries triggerred are different
    When u post a invoice thru J1iin
    Excise expense a/c Dr
    Excise payable a/c Cr
    This a/c will get offsetted when u pay the monthly excise liabilities thru utilisation.
    When u do GR and during that time the cenvat entries get posted as follows
    RG 23 A Part II a/c Dr
    Cenvat utilisation a/c Cr
    This a/c will get offsetted when u utilise this cenvat towards payment of the above duties.
    So when u perform GR for STO the a/c entries for stock does not get updated but it gets updated when you perform PGI during delivery.
    Hope this clarifies u.

  • Unable to create Accounting document for my Outgoing excise Invoice

    Dear All,
    I am implementing sales from Factory. I am unable to creat accounting document for my Outgoing excise invoice.  When I click the Utilization button, The excise invoice type is selected Deemed.
    1. How to control which Which Excise invoice type should be selected in J1IIN.
    2. For Deemed exports will system not genererate Accounting document for Excise Invoice?
    3. Where to view the excise invoice document types (Like Billing and order types)
    Thanks & Regards

    For deemed export sales,
    -Accounting documents will not get generated. (ref: Excise Acct Determination in CIN settings, you will not find Excise Tranraction type:ARE3 for which G/L account will not be assigned)
    -Excise Invoice type will be automatically triggered based on configuration : Excise Group / Series Group detetermination.
    - For Deemed Exports , only Quantity will get updated in RG1, but not the value. thats the reason, accounting document will not get generated.
    - This excise invoice is created, for - to update the RG1 registry / ARE3 creation.
    hope it clears
    regards,

  • Accounting Documents

    Hi Guru's,
    After Billing, two Accounting documents will be generated. Where do we configure for these documents to be generated and how?
    Som times only one Accounting document is getting generated And the other document is not getting generated. Why?
    Thanks in advance
    Regards
    VASU

    Hi Vasu,
    After Billing document 1 Accounting document gets generated if you have maintained all the settings for Account determination. To start with you have to assign the Account determination procedure to the Billing type using T-code VOFA. Please refer the following path for Account determination>IMG> Sales and Distribution> Basic Functions> Account Assignment/Costing--> Revenue Account Determination.
    The 2nd accounting document gets generated only when you prepare a Excise Invoice against the Commercial Invoice using T-code J1IIN.
    Hope the above information helps you.
    REWARD if it helps you!!
    Regards,
    Ajinkya

  • Accounting document in sap

    Hi all,
    I have created a proforma invoice (billing document), in the excise invoice, the excise transaction is Letter of undertaking.
    The accounting document should not create in this case, but a acccounting document (GL accounting document SA) is getting generated for the billing document as the reference.
    Please help me.
    Thanks

    Dear, thenmozhi
    please check the billing document type for that particular pro-forma invoice, accounting determination procedure might assigned there.
    I think, you are doing Excise invoice J1IIN with ref to Pfo-forma  invoice. and after posting to FI of commercial billing and excise invoice, you are watching in vf02 accounting documents get generated with pro-forma invoice document no. my client's scenario is also same,  it is normal, not any error. and there is no wrong in your process.
    Thanks.

  • For BSID- Accounting Document Number corresponding PO Number is required

    Hi Gurus,
                 I have got a requirement to develop a report similiar to 'FBL5N' . I am getting the details of open and cleared items of a customer from BSID and BSAD tables respectively. My requirement is also to fetch the corresponding PO number of the LINE items displayed in the report.
                Can any one suggest how can I fetch PO number with Accounting document number(BSID-BELNR)  or (BSAD-BELNR).
               Your efforts in this matter are deeply appreciated and <<removed_by_moderator>>.
    Thanking You,
    ZIa.
    Edited by: Vijay Babu Dudla on Jan 28, 2009 11:07 PM

    If you have fields BSID-VBEL2 and BSID-VPOS2 are populated with the sales order, than access VBKD with the Sales Order to get the Customer PO (VBKD-BSTKD)
    Or
    First, You need to get the Billing document. Access BKPF with the BSID-BELNR to get the AWKEY where AWTYP = 'VBRK'
    Now, you can go to SD document flow with the billing document to find out the Sales Document. Access VBKD with the Sales document to get the Customer PO
    Regards,
    Naimesh Patel

  • Error while creating a billing (no accounting document gnerated)

    hi gurus,
    while saving a billing document in vf01 error pops up no accounting document generated and when i go to account determination analysis in billing  tax condition is missing
    kindly help me out
    thanks

    hi
    then goto VF02 and from the menu Environment--Account determination analysis-revenue acccounts
    find here whether any assignment is missing
    check u r VKOA settings whether the g/l ACCOUNT HAS  assigned or not for that tax condition type
    regards

  • Generate accounting document for cancel of credit memo

    Hii Guy,
    Need your help to solve this problem.
    My user have perform VK11 to cancel of credit memo. in the sales order document flow, the status is OPEN.
    my user cannot perform creating of accounting document for this cance of credit memo. what are the tcode to generate accounting document ?

    Nizamkz wrote:Hi,
    >
    > Hii Guy,
    >
    > Need your help to solve this problem.
    >
    > My user have perform VK11 to cancel of credit memo. in the sales order document flow, the status is OPEN.
    Are you sure its VK11???? I guess for the cancellation if billing document its VF11......
    Try to do the manual release to accounitng....by going to VF02 and pressing the Green Flag button after entering the cancellation document number. Or Else Try to reverse the posting with FB08.
    Thanks,
    Raja

  • Changing the field content of 'wrbtr' in accounting document during Post Goods Issue in VL02N

    Hi Experts,
         I have requirement ,where I need to  change the 'amount in document currency value (wrbtr)' in line item of a accounting document, which is created as part Post Goods issue through VL02N.
              I have already check BADI's below as follows:-.
    1) LE_SHP_GOODSMOVEMENT- No accounting document information flows in this BADI.
    2) AC_DOCUMENT - Field 'WRBTR' is not available in substitutable fields list.
    3) BTE-1050 - This BTE is not getting triggered while doing PGI.
            Please suggest any other possibilities to make the change.
    Thanks & Regards,
    Suganth.

    Hi Kartik,
                I have checked the enhancement you specified, but it didn't trigger during PGI. Can u please let me know is there any other possibilities to make the change.
    Thanks
    Suganth.

  • Enhancement for MB1C/MB1A before creation of an Accounting Document

    Hello everyone,
    Actually I want to get the material document number(MBLNR) before the creation of an accounting document when using the transaction MB1C or MB1A.
    I will have to use the value 'MBLNR' to update a field during the creation of an accounting document(the field SGTXT should be updated with the MBLNR).
    I have already tested the following BADI's which provide me the value of the material document number:
    - MB_DOCUMENT_BADI  (BAdIs During Creation of a Material Document)
    - MB_DOCUMENT_BADI_SAP (BADI for Creation and Changing of a Material Document)
    and I am using the BaDi 'AC_DOCUMENT' to update the required field with the material document number(MBLNR).
    The problem is that the BADI's 'MB_DOCUMENT_BADI ' and 'MB_DOCUMENT_BADI SAP' are call after the creation of the accouting document(after the BADI 'ACDOCUMENT') meaning that I can't used these BADI's as the value MBLNR is not available before.
    My idea was to export the value to memory ID before the creation of accounting document and import the value in memory ID in the BADI's 'AC_DOCUMENT' to update the field SGTXT.
    I am currently looking for other enhancements or BADI's which can help me to solve this issue.
    After much research on the internet, I did not succeed in finding a suitable hint which can help me.
    I would be grateful if someone could guide me(even a small hint will help me a lot as am I am new in the world of BADI's) on how to find a suitable way to get the document number(MBLNR) before the creation of an accounting document(before calling the BADI 'AC_DOCUMENT').
    Thanks a lot in advance for you help.
    Kind Regards,
    Bryan

    Hi
    I had a look through the program and found an enhancement spot ES_SAPMM07M available through out. Sadly i am not able to create a material document in my system some master data issue but there are various enhancement points in this enahcmenet and you need to debug on save and find the right enhancement point to export the value.
    Put a break point in the following includes which have only one subroutine in them
    MM07MFF9_F_SEGMENTE_BEWERTEN
    MM07MFF9_F_SEGMENTE_ERSTELLEN---> In this accounting item are created. If stops here and in debugger change the value if it works then there are various enhancement spot for the same.
    MM07MFF9_F_SEGMENTE_ERZEUGEN
    MM07MFF9_F_SEGMENTE_GENERIEREN
    Hope it helps
    Nabheet
    Edited by: nabheetmadan09 on Feb 1, 2012 3:49 PM

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