Accounting entries in MIGO At depot

Dear Guru's
What will be the documents at the time of migo in Depot. WIll there be part 1 and part 2 entries .
Regards,
CS

Hi All,
   The Document that will be created while creating the MIGO in Depot are as followes
Itm Acct no.   Description                                    Amount in  INR
001 xxxxx      Trading Goods                                  00000.00
002 xxxxx      GR/IR Clearing Account                    00000.00-
003 xxxxx      Freight Clearing                                  0000.00-
004 xxxxx      Insurance Clearing                                  00.00-
005 xxxxx      Customs Duty Clearing                        0000.00-
Other then this BED, AED, ECS, & SECess Excise will be passed on to the Customer. There are no seperate entries for Part1 & Part2 in depot. Every things are taken at J1IG itself.
Hope this will solve your problem
Pherasath

Similar Messages

  • Process flow of excise duty from procurement to sales accounting entry with amount.

    Dear Expert ,
    Kindly any one help the process flow of excise duty calculation from procurement to sales accounting entry with amount.  for example.- if material amount is Rs. 10,0000 and excise duty is 8% , edu ecss 2 % , and sec ecss 1%. I want know the accounting entry on- MIGO, J1IEX, MIRO, F-43  AND , PGI, BILLING DOCUMENT, J1IJ , TR6 CHALLAN, J2IUN.
    Regards
    Akshaya

    Hi,
    In case of
    A. Procurement : there are two types of procurement viz. Local and Import
    LOCAL
    1. MIGO
    Inventory A/c Dr
    To GR?IR
    2. J1IEX
    CENVAT Receivable (Basic) A/c - Dr
    CENVATReceivable (Ecess) A/c - Dr
    CENVAT Receivable (S & H) A/c - Dr
    To CENVAT Clearing
    3. MIRO
    CENVAT Clearing A/c - Dr
    To Vendor A/chrough
    4. F-43
    No excise entry through SAP direct posting but through manual posting in case using TAXINN procedure.
    5. TR6 Challan
    PLA Payment  (Basic) A/c - Dr
    PLA Payment (Ecess) A/c - Dr
    PLA Payment (S & H) A/c - Dr
    To PLA on Hold A/c
    IMPORT
    1. MIRO
    ECS+SECS on Cus+CVD A/c Dr (consists of ECS on custm+cvd and S & H on custm+cvd)
    CVD Clearing A/c Dr (consists of Additional Duty CVD and CVD)
    Customs Clearing A/c Dr (consists of Basic Customs)
    To Customs Vendor
    2.  MIGO
    Inventory A/c - Dr
    To GR/IR A/c
    To Customs Clearing (consists of Basic Customs)
    To ECS+SECS on Cus+CVD (consists of ECS on custm+cvd and S & H on custm+cvd)
    3. J1IEX
    CENVAT Receivable (Basic) A/c - Dr
    CENVATReceivable (Ecess) A/c - Dr
    CENVAT Receivable (S & H) A/c - Dr
    To CVD Clearing
    4. F-43
    No excise entry through SAP direct posting but through manual posting in case using TAXINN procedure.
    5. TR6 Challan
    PLA Payment  (Basic) A/c - Dr
    PLA Payment (Ecess) A/c - Dr
    PLA Payment (S & H) A/c - Dr
    To PLA on Hold A/c
    Sales
    1. PGI
    COGS A/c Dr
    To Inventory
    2. Billing Document
    Excise
    ED Suspense A/c Dr
    To Liability for BED
    To Liability for ECS
    To Liability for S & H
    Customer
    Customer A/c Dr
    To ED Suspense A/c
    To Revenue
    To VAT / CST
    Hope your doubts are clear.
    Regards,
    Tejas

  • RG23A Register / Cenvat Clearing A/C Entries at MIGO (161 Movement) -URGENT

    Hi SAP Gurus,
    We have one confuration problem. Following accounting Entries are created in back ground when we are posting MIGO against movement type 161 / 101.
    Cenvat Clearing Cr
    RG23A Register Dr
    Ecess Register Dr
    Hcess Register Dr
    These entries are correct in case of goods receipt movement type 101.
    We have to unassign movement type 161 for above entries.
    Kindly help in correcting configuration.
    Matter Urgent.
    Ishu
    Note-
    Incase of movement type 161 goods receipt there should not be any excise accounting entry while MIGO. In case of movement type 161 The excise accounting entry is created when we post J1IS/J1IV.

    Hi Ishu,
    U must have selectred Excise Invoice in MIGO transaction.  SElect "No Excise Duty" in MIGO and post the excise invoice in J1IS.  Then u will get the correct entries.
    Also u need not deassign movement type involving excise
    Award points if useful
    chintu

  • Accounting Entry for Depot Excise Invoice

    Hi Gurus
    We make a STO from factory to depot. I have posted the depot excise invoice via J1IJ but Im unable to see the accounting entry for the excise invoice..
    Im able to see the acounting entry for excise invoice for factory sales thru J1IIN..
    Pls advise
    Rgds..Vinz

    Hi Vinz,
    I would like to explore more for ur info.
    When u create Excise invoice at Factory Using J1iin, accounting entries flow to the system. When u transfer it to Depot, u credit the Excise amount using MIRO and post it to RG23D ( Depot Register)
    The value of the excise for which u have taken credit from ur factory would be passed on to customer now.
    If you notice carefully, when u take credit of Excise entry in RG23d No accounting entry flows in the system, only value & qty gets updated to Register.
    Generally, while deciding the selling price from depot  u consider Basic price + Excise duty. since u are passing on the excise benefit to customer, using proforma excise invoice (transaction J1IJ)
    So there is no wuestion of accounting entries.
    Hey CIN Gurus.. correct me if i am haveing any misconcepts regarding this.
    Hope this is clear to you now..
    Reward if helpful..

  • MIGO Accounting entry

    Sap gurus,
    The additional excise duty  is coming in MIGO accounting entry .It shuld not come in case import purchase.
    Plz suggest the solution.

    20400134 THE COMMISIONER OF C 3700016680 V0 1,064.00-
    16020412 GR/IR CLG-CVD 3700016680 V0 47.00
    16020411 GR/IR CLG-CUSTOM 3700016680 V0 60.00
    16020412 GR/IR CLG-CVD 3700016680 V0 150.00
    16020412 GR/IR CLG-CVD 3700016680 V0 260.00
    16020411 GR/IR CLG-CUSTOM 3700016680 V0 150.00
    16020412 GR/IR CLG-CVD 3700016680 V0 147.00
    16020411 GR/IR CLG-CUSTOM 3700016680 V0 250.00
    And i posted the goods receipt. the special excise duty also creadited that shuld not have to come in GR. Plz suggest what settings i have missed out. .
    GR aacounting entrei in that you can find the GR/IR CLG-CVD (Special excise duty)
    9 23040101 TRADING PIPE JPB 3700016680 1,645,607.00
    6 16020402 GR/IR CLG-RM-IMP 3700016680 1,635,000.00-
    0 41025051 TRD PUR PIPE JPB 3700016680 1,635,000.00
    0 41040101 COST OF GOODS PUR 3700016680 1,645,607.00-
    6 16020411 GR/IR CLG-CUSTOM 3700016680 460.00-
    0 41025051 TRD PUR PIPE JPB 3700016680 207.00
    0 41025051 TRD PUR PIPE JPB 3700016680 400.00
    0 16020412 GR/IR CLG-CVD 3700016680 147.00-
    0 16020410 GR/IR CLG-FRT(IMP) 3700016680 10,000.00-
    0 41025051 TRD PUR PIPE JPB 3700016680 10,000.00
    Quick respose will highly apprciable.

  • Doubt reg: MIGO   GR/IR Reclass accounting entries

    Hi ,
    When MIGO is done , we have the below accounting entries.
    Stock a/c - Dr
    GR/IR clg a/c - Cr
    On month end when we run F.19 , if MIGO is done and MIRO is not done,
    the accounting entry is
    GR/IR Adjustment a/c DR
    GR/IR clg a/c - Cr
    Is this correct?
    Because the purpose of running F.19 is to reclassify the balances in GR/IR clg a/c to
    GR/IR Adjustment a/c.
    But as per the above entries, the GR/IR clg a/c, is credited twice.
    Please explain, where I am getting the flow wrong.

    Hi Rudra,
    When MIGO is done , the below accounting entry is posted
    Stock a/c - Dr
    GR/IR clg a/c - Cr
    Now, when you run F.19, then, based on whether the MIGO is done and IR is not done and IR is done but MIGO is not done, the entries would get posted.
    Please remember, the entries are only mirror entries of GR/IR Account and no posting is made to GR/IR Account.
    Note the scheme of entries below:-
    Delivered but Not Invoiced:-
    GR/IR Adjustment A/C..Dr
    To Provision Account (GNB)
    Invoiced but not yet Delivered:-
    Claims A/C...Dr(BNG)
    To GR/IR Adjustment A/c
    The GR/IR Adjustment Account and GR/IR Account can be clubbed together in the FSV, so the effect gets nullified.. and the actual Claim or liability is shown in the specific GL's like provision (GNB) and Claims(BNG).
    The entries also gets reversed the next month.. so this reclassification is for reporting purpose only. And then it is business as usual..
    Hope this helps you..
    Regards,
    SAPFICO

  • Account entries at tie of migo and miro

    Dear Gurus,
    please let me know about the account entries at time of MIGO and MIRO.
    thanking you in advance
    Best regards,
    Raghu
    Edited by: Csaba Szommer on May 22, 2011 3:20 PM

    Dear,
    During MIGO Goods receipt,
    Inventory stores a/c - Debit entry of value 'x'
    GR/IR clearing a/c - Credit entry of value 'x'
    For MIRO,
    Vendor a/c - Credit entry of total invoice value
    GR/IR clearing a/c - Debit entry of value 'x' & Few other entries
    Regards,
    Syed Hussain.

  • Accounting Entry not released at MIGO

    Hi Gurus,
    I'm facing the below error at MIGO, so accounting entry not released..
    " Field Order is a required  field for GL Account XXXXXX"
    Pls suggest me.
    Regards,
    Yatheendra

    Go to that GL account
    Check the field status group. the field status group assigned now expects a mandatory in field internal order
    to avoid this change it to a field status group where in internal order is not required.
    to see the field settings:
    a. go to FS00
    b. give gl account and coycode
    c. go to tab create bank/interest
    d. double click on the field status group
    e. choose additional account assignments from the list of field categories
    f. nw check the field internal order
    hope it helps
    Regards
    anantha

  • Accounting entries in STO ??

    hii
    I want to know the exactly STO process with CIN accounting entries in manufacturing plant and in DEPOT plant .
    In manufacturing plant RG1 register will get updated ??
    ANd In DEPOT plant , RG23D register will get updated ??
    Explain me with accounting entries in Manufacturing plant and DEPOT plant for STO process.
    Thanks

    Hi
    A similar answer I had already given
    RG1 is updated ony in manufacturing plant not in Depo. In depo we update only RG23D
    Process Flow
    Step 1 - Creation of Stock Transport Order.
    In ME21N, mention the Issuing Plant. Please check the item tab Invoice and see the Tax juridiction code as IN00. Check and Save the PO. (No excise accounting entries)
    Step 2 u2013 Transfer Posting
    Do the transfer posting in MB1B with proper Plant selection and movement type 351. Refer the PO and adopt the details. Note the Material document number. (No excise entry)
    Step 3 u2013 Creation of Excise Invoice
    Create Excise Invoice for other movements in J1IS. Select the document type as MATD. See that the system is automatically creating the Invoice. Note the Excise Invoice Number and FI document number created by the system.
    (Excise duty payable credit and cenvat suspense account debit)
    Step 4 u2013 Print of Excise Invoice
    The Transaction code is J1IV. Save the document and take the print.
    Now the Material is reached at 2nd Plant. The activities at that Plants are :
    Step 5 u2013 Capturing of Excise Invoice
    Its an ordinary J1IEX transaction. Capture the Invoice against the stock Transport Order. See that Plant 2 is automatically appeared. Enter the required detail and save the document and note the internal number.
    Step 6 u2013 Goods Receipt
    It is also an ordinary MIGO transaction. Enter the excise invoice details, save the document and note the material document number.
    Step 7 u2013 Posting the Excise Invoice
    J1IED - (Here no cenvat accounting since it is a trading plant. Only there will be entry in RG23D register.) Your excise invoice is stored in register only)
    In step-3 the cenvat suspense account which was triggered need to be cleared manually.
    Legally Depo plants should not create excise invoice. It can pass on the excise invoice and value which they have recieved from manufacturing plant. it means in case if the material goes out from that place to another place or customer it will carry the invoice which was generated in Step-3
    Hope you are clear
    Regards
    Antony

  • Accounting Entries hit in Third party Sales Process

    Hi,
    Can anybody tell which accounting entries are hit when we create the following entries in third party sales process
    1.When Sales Order is created.
    2.When PR is Created
    3.When ME21N is done
    4.MIGO
    5.MIRO
    please provide your valuable suggestion..
    Thanks...

    Hi,
    1. When Sales Order is created.
    No FI Entry
    2. When PR is Created
    No FI Entry
    3. When ME21N is done
    No FI Entry
    4. MIGO
    (GBB-VAY) COGS - 3rd Party A/c - Dr
    (WRX) GR/IR Clearing A/c - Cr
    5. MIRO
    Vendor Account - Cr
    GR/IR Clearing A/c - Dr
    6. VF01
    Customer Account - Dr
    Sales Revenue A/c - Cr

  • Capture of excise invoice in MIGO for depot

    Hi,
            We have one depot plant as per regular process we do the GR with MB01  and then J1IG  for capturing of excise duty which update the RG23D entry,  now i want to know  what is the difference  if we do this in MIGO  so that both this can be done in same transaction I try in development server by first selecting the check box for capture excise invocie in MIGO   for the depot plant then made one entry in MIGO  but found that the field SHIPFROM in table J_1IRG23D  is coming blank when done with MIGO  so is there any differecne in thos two J1IG and MIGO create RG23D entry  aslo the vendor from which we are purchasing the material is also a trader who is passing the excise duties which they paid  and the same amount we have to split in MIGO  but I have not found the MRP indicator in excise ->misc. tab in MIGO.
    regads,
    zafar

    Hi,
      Can you help on this,  I am not getting the MRP indicator in MIGO  for the material,  what settings are required for this   the J1ID  the vendor is selected as first stage dealer.
    regards,
    zafar

  • MM automatic account assignment for MIGO (additional accounting lines)

    Hi MM Experts!
    I created a PO (only 1 material in it), and after that I did a GR goods receipt in MIGO for this.
    Movement type: 101
    When I did this the accounting lines looks like that:
    Itm PK Account    Account short text   Assignment...........................Amount
                                                                                    1 89 21411000   Vás. villamosenergia      XXXX...........................................3.000.000
      2 96 29700000   Tech.acct.purch.stoc 450000012800010...................3.000.000-
    I run the transaction OMWB, and did a simulation, and it ok:
    Inventory posting                   0002  -e-       SEVV  89 21411000    99 21411000 
    GR/IR clearing account          0002            SEVV  86 29700000    96 29700000 
    So the MIGO 101 movement type for GR goods receipt did a BSX (Stock posting) and a WRX (GR/IR clearing) accounting.
    I need the following:
    If I do a MIGO with 101 movement (GR goods receipt), not just this 2 accounting line created, but I need +4 additional line (these lines are special taxes).
    So if I do a MIGO I have to see:
    1 89 21411000   Vás. villamosenergia      XXXX...........................3.000.000
    2 96 29700000   Tech.acct.purch.stoc  450000012800010 ..3.000.000-
    3 89 53471000   T.........................................................................1.500.000
    4 96 46382100   K1......................................................................1.500.000-
    5 89 51420000   T2.........................................................................750.000
    6 96 47999421   K2.........................................................................750.000-
    Is it possible? How can I do it?
    I search in OBYC, but I canu2019t find appropriate solution.
    Thanks for the answers.
    Peter

    Hi,
    In 1st case, you have entry in Goods Receipt of inventory value debited(3.000.000 +) and GR/IR clearing(3.000.000 -). As all value flow from purchase order which with NET VALUE with pricing elements( condition type/types).
    As in 2nd case you wanted.....with addition of above accounting entries, extra 4 lines needed but what are the two amounts represents ( 1.500.000 &   750.000)?
    If so needed you should have two extra condition types in PO for amount representing 1.500.000 &   750.000.The condition types must be there in MM pricing procedure in M/08, maintain the  account keys  with a accrual key for each condition type. For condition types for both in M/06 , maintain condition category is must( do not keep blank, keep as B)& also select accrual check box in control data.In OBYC, maintain the  two different G/L accounts for two  accrual keys.
    Also activate the Purchase account management in the Company code in following path:
    SPRO> Materials Management> Valuation and Account Assignment> Account Determination> Account Determination Without Wizard> Purchase Account Management> Activate Purchase Account in Company Code
    After above setting, Create a PO and do goods receipt and check accounting entries.
    Regards,
    Biju K

  • Accounting entries for excise invoice for purchase returns in J1IS

    Dear Friends
    1) I  recorded an excise invoice for  goods receips in J1IEX . The  accounting entry is
    Input BED a/c   DR
    Input ECS a/c   DR
    Input H.css A/c   DR
    CENVAT clearing   CR
    2)  There were  some damaged  items and  same returned to vendor.  I  did  RETURN Delivery in MIGO.  The excise invoice  in J1IS  gives  error  " BALANCE IN TRANSACTION CURRENCY". Here I  used Ref document type - MATD 
    QUESTION : 
    What is the  Excise transaction type   for  ' other  outward movement'  in J1IS  to which I  should  assign the excise accounts   to reverse    (1) above.  Is it  OTHR  or  GPRO.
    Thanks 
    kamala

    Dear Mathews,
    It is not capital goods. Also  if I  do a JV in J1IH, the entry goes and is as below :
    Cenvat clrg   DR,   Input -BED /E.cess/ S.cess   CR
    But  J1IS  does not save, though I have  assigned  all  said accounts in  'Excise accts per excise  transation'   for OTHR. Also I read in wiki that  the entry for purchase return excise inv in J1IS is ' CENV CLRG  ....DR ,   CENV RECEIVABLE  ...CR ' .If so, then  do i creat new GL for Cenv Receivable ? What is its effect on  FORTNIGHTLY  UTILIZATION
    thanks for telling
    kamala
    Edited by: Kamala Surianarayanan on Mar 6, 2009 6:38 AM
    Edited by: Kamala Surianarayanan on Mar 6, 2009 6:38 AM

  • Accounting entries

    Hi All
    I have a problem while doing excise invoicing. At the time of GR incoming excise invoice is captured amd posted. The BED and SED accounts are deitted and CENVAT clearance account is credited..
    During MIRO when i refer same PO and do , the accounting entries dispyed while simulating are onle
    vendor account credited and GR/IR debited. here NO CENVAT CLEARANCE ACCOUNT DEDTED is showing.
    I think cenvat clearance is not happening. I am entering BED and AED values in MIGO item level.
    Pls suggest ur reponse , so i can correct this.Rewards assured for your time.
    Thanks in advance
    regards
    B Shar
    Edited by: Scorpio n on Feb 2, 2008 8:38 AM

    Hi
    I ve maintained the tax cide. Some assignment has to br done, the Cenvat clearance and debit at the tme of Invoicing (MIRO)  has to happen.
    regards
    B Shar

  • CIN Accounting entries

    Hi All
    I have a problem while doing excise invoicing. At the time of GR  excise invoice is captured. The BED and SED accounts are deitted and CENVAT clearance account is credited..
    During MIRO when i refer same PO and do , the accounting entries dispyed while simulating are onle
    vendor account credited and GR/IR debited.  here NO CENVAT CLEARANCE ACCOUNT DEBTED is showing.
    Cenvat clearance is not happening at the time of doing MIRO. I am entering BED and AED values in MIGO item level.
    Pls suggest ur reponse , so i can correct this.
    Thanks in advance
    regards
    B Shar
    Edited by: Scorpio n on Feb 1, 2008 9:12 AM
    Edited by: Scorpio n on Feb 1, 2008 10:22 AM
    Edited by: Scorpio n on Feb 1, 2008 11:16 AM

    Hi,
    When doing MIGO , if you select capture excise invoice, then only duties are captured and they r not posted to respective GL accounts.
    So either select Capture & Post Excise invoice in MIGO or goto j1iex,select post excise invoice wrt to GR.
    Then go to MIRO and work..
    Hope it works..
    Regards,
    Smitha

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