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

Similar Messages

  • STO Accounting entries for indirect costs

    Hi experts,
    I have following scenario:
    Plant A
    Quantity Update
    Plant B
    Value/Quantity Updatae
    Then I create STO from plant A to Plant B. Include Indirect costs. No accounting entries is getting generated at goods issues nor goods receipt. System allows me to introduce invoice for indirect costs through miro. However, it doesn't propose the values as it happens in purchase orders.
    Is there anything in custominzing I am missing.
    Thanks.

    But that's not the standard behaviour (i know it's strange, I made that error myself in the past).
    Remove the K, and the system will make the posting to the cost element defined in OKB9.

  • Accounting Entry at the time of STO with Variance

    Hi All,
    We have below scenrio:
    There are two plants Plant A and B,
    We are manufacturing Material at Plant A with 100 price per unit but when we are doing Stock Tranfer Order at Plant B 110 price per unit
    So I want to know what will be the accounting entry in SAP.
    Regards,
    Vivek

    the accounting entries in the STO process with in the company code.
    Supplying plant account +Debt (BSX)
    Receiving plant Account _Credit (BSX)
    If you maintain Std. Price for your Material in receiving Plant and if there is any price diff. bet. Material at Issueing plant and Receiving Plant....then the Price Diff. Account ( Transaction event Key- AUM ) will be triggered.
    for Cross Company Code or Inter company code
    At the supplying plant
    stock account Debit _ BSX
    Cost of Goods Sold Credit + GBB-VAY
    At Receiving plant
    stock account Debit - BSX
    GR/IR Clearing Credit WRX
    Regards,
    Sumeet Sortur

  • Accounting entry view needs to be restrcited for STO transactions

    Hi
    There is Stock Transfer scenario at my place. Stock transfer (from one plant to another) is done after adding some profit margin to the cost of material. Note: My different plant represents different profit centers
    Ex: STO is done from plant 1000 to plant 2000. Cost of material is Rs.100 and profit is Rs.20. Hence STO is done at Rs. 120
    Entry posted:
    Stock Plant 2000 (Profit center 2000) - Rs. 120
       To Stock Plant 1000 (Profit center 1000) - Rs 100
       To Profit Margin (Profit center 1000) - Rs. 20
    Now i want that this account entry should not be view by plant 2000 (whose profit center is 2000). Reason is that the management don't want that receiving plant should know about the profit.
    So let me know if i can block the view of accounting entry for plant 2000 for STO transaction only. Plant 2000 should be able view rest all accounting transactions like Purchase from third party, sales, etc.
    Note: For STO transactions, we have created separate PO (Document type) as ZSTO.
    Please help
    Edited by: Deepak Agrawal on Sep 8, 2011 5:58 PM

    Hi,
    You can simply take authorization of GL involving in plant desired. Please ask your BAsis guy to revoke activity 03 against object F_BKPF_BES for authr group of GLs from desired users. It will meet your requirment.
    Regards

  • STO-Accounting entries

    Dear all,
    We have a requirement in our client place. Till now they were following the sto process in the such a  so that the accounting entries happened in the following way:
    1. Me21n- Create STO purchase order
    2. VL10B
    3. VL02N
    Accounting document
    Inventory(plant1) A/c Dr
       To Inventory(Plant2) A/c Cr
    4. MIGO(No accounting document)
    Now the client wants:
    1. In the sending plant the accounting entry should be:
    COGM A/c Dr
      To Inventory A/c (Plant2)
    2. In the receving plant the accounting entry should be:
    Inventory A/c Dr(Plant1).
       To COGM A/c Cr
    How to go about the above said configuration? Please suggest.
    Thanks & Regards,
    AR

    But that's not the standard behaviour (i know it's strange, I made that error myself in the past).
    Remove the K, and the system will make the posting to the cost element defined in OKB9.

  • Which accounting entries will getupdated in STO and Subcontrtaction?

    Hi
    Can anyone tell me which are the accounting enties will get updated at the time of GR for the below to processes
    1.  For Subconatracting
    2. STO (Plant to Plant transfer)
    Best Regards,
    Sairam.

    Hi,
    You check an invoice for a subcontract order in the same way as for a standard purchase order. Additional account postings do, however, occur if a price variance has occurred. These postings are shown in the following example.
    Postings for a Subcontract Order
    In this example, a subcontract order was created for the end product "ASSEM-1". The components COMP-1 and COMP-2 were provided to the subcontractor.
    Purchase order
    50 pieces of material ASSEM-1 were ordered. The subcontract price is $10/piece (total value = $500).
    The following components were provided to the subcontractor:
    15 kg of the component COMP-1
    5 pcs of the component COMP-2
    Goods receipt
    The subcontractor delivers 50 pieces of material ASSEM-1.
    At goods receipt, a consumption posting for the components provided to the subcontractor is automatically made. It is valuated at the price from the material master record, for example:
    15 kg of the component COMP-1 at $20/kg = $300
    5 pcs of the component COMP-2 at $30/pc = $150
    The goods receipt is valuated with $950. This is calculated as follows:
    The subcontract price (50 pcs * $10/pc = $500) and
    Value of the components ($300 + $150).
    Invoice receipt
    The vendor (subcontractor) sends you an invoice for the subcontract work. However, the price is $10.50/pc. Therefore the invoice is 50 pieces ASSEM-1 * $10.50/pc = $525.
    Posting Schema for Moving Average Price Control
    In this example, the following postings are made at goods receipt and invoice receipt, if the material (end product) is valuated at moving average price.
    Postings
    At goods receipt
    At invoice receipt
    Vendor account
       525 -
    GR/IR clearing account
    500 -
    500 +
    External service account
    500 +
    25 +
    Stock account: end product
    950 +
    25 +
    Change involving stocks
    950 -
    25 -
    Stock account: comp.
    450 -
    Consumption account
    450 +
    Posting Schema for Standard Price Control Without Price Differences
    For materials (end products) with standard price control also note that
    No price differences are posted if the total of the external service value (for example, $500) plus the "material to be provided" value (for example, $450) varies from the value at standard price (for example, $1000). Posting of a price difference is not required because each posting line has its own offsetting entry.
    No posting lines are created on the stock account or on the stock change account when an invoice is received.
    In the above example, the following postings are made for a material with a standard price of $20.
    Postings
    At goods receipt
    At invoice receipt
    Vendor account
       525 -
    GR/IR clearing account
    500 -
    500 +
    External service account
    500 +
    25 +
    Stock account: end product
    1000 +
    Change involving stocks
    1000 -
    Stock account: comp.
    450 -
    Consumption account
    450 +
    Posting Schema for Standard Price Control With Price Differences
    However, if you wish to generate a price difference posting in those cases where the manufactured material is managed at standard price and the standard price varies from the receipt value (externally performed service + value of components + delivery costs), you can configure this in the Customizing system of Inventory Management.
    In the above example, the following postings (including price differences) are made for a material with a standard price of $20.
    Postings
    At goods receipt
    At invoice receipt
    Vendor account
       525 -
    GR/IR clearing account
    500 -
    500 +
    External service account
    500 +
    25 +
    Stock account: end product
    1000 +
    Change involving stocks
    950 -
    Price difference
    50 +
    Stock account: comp.
    450 -
    Consumption account
    450 +
    Reg STO please inform in details entries in case plant to plant or between co-codes?
    BR
    Diwakar

  • STO - Inter company accounting entries

    Hi,
    Could you pls brief, how the accounting entries comes for intercompany sto scnerios. i refer the help.sap, where i found as below
    Durig PGI
    Stock A/c - Cr. - BSX
    Change involving stocks- Dr. - which transaction key will come???
    http://help.sap.com/saphelp_470/helpdata/en/4d/2b90dc43ad11d189410000e829fbbd/frameset.htm
    rgds
    Jay
    Edited by: Jayakumar Raju A.S on Jan 25, 2011 6:17 AM

    Hello CB,
    At the time of PGI, following accounting entry should get generated;
    Stock A/c - Dr  (Receiving Plant)
    Stock A/c - Cr (Supplying Plant)
    Freight Clearing A/c - Cr  (Supplying Plant) - If configured

  • Which accounting entries will update in STO?

    Hi,
    Can anyone explain me which are all the accounting entries will get updated from SD point of view.in Stock tranport order.
    Best Regards,
    sairam.

    hi
    in the delivering company these will get updated:
    sales account
    receivables
    Cost accounting
    Profitabilty accounting
    Customer accounts
    in the receiving company:
    purchase accouting
    payables
    vendor accouts
    reward points if helpful
    suresh

  • Accounting entries after PGI for STO Within same Plant

    Dear Members,
    We have activated STO within same plant in OLME->PO->Setup STO -> Set up stock transfers between Storage locations
    Cycle is PO ->VL10B->VL02N ->PGI ->GR
    We are using newly created delivery type ZNL ( copying NL ,Using 641 )
    Which is working fine
    Now the thing I am observing here is this
    a > When we have not assigned any pricing procedure  in  Determine Schema for Stock Transport Orders
    after PGI no accounting document was generated
    But our requirement is to add freight cost that is why we added a pricing procedure ZRM200 (copying RM2000)
    Here we are observing after PGI accounting document is generated
    Postings are ( Material cost 500 Eur i.e 100 Kg @ 5.00 Eur in PGI )
    RM stock a/c       500 Cr.
    RM stock a/c       800 Dr.
    Freight clearing   300 Cr
    And it does not matter whether P101 is in ZRM200 or not (Same posting with or without P101)
    Now my question is it correct system behavior ?
    And requirement is postings should only be like this ( i.e without including transfer posting price)
    RM stock a/c       300 Dr
    Freight clearing   300 Cr
    Can it be possible to achieve ?
    Many thanks in advance
    Edited by: redriver on Dec 29, 2011 2:35 PM

    Not necessary to activate Purchase account
    Even for STO we use FRE. It is only a name and called as Purchasing freight account
    So check the pricing procedure at M/08 for freight condition and account key. I think it is FRE
    Check which GL account assigned at OBYC/Purchasing freight account(FRE).
    if the GL is same as your RM and if your need mainatain separate GL enter that GL here.
    Let us know result
    Srinivas

  • 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..

  • Accounting entries for intercompany billing process

    hi,
    can any body explain what it intercompany billing process and intra company billing process and STO processess.
    and their individual accounting entries of these three business with excise impact.
    regards,
    balajia

    > Total Questions:  494 (232 unresolved) 
    Perhaps you should reconsider the quality of your questions? In this one you seem to have put in absolutely no effort of your own, but I will put some effort into tracking down your next question for you...
    Please read the forum rules before continuing further.

  • Accounting Entry for Material has Standard Price

    Hi,
    If Material has standard price option, what is the accounting entry for the time of Direct Goods Receipt and from the production.
    Material Value is : Rs. 100/-
    Purchased value is : 90/-
    from production : 110/-
    Thanks in advance

    Hi,
    In STO, material posting with price valuated from issuing plant price. In your case, the transportation cost, you can capture to separate G/L account and pay to transport vendor.(In STO , one plant is vendor and another plant is customer, so a third party vendor involved for material transfer)
    OR else use separate own Custom Condition Type  with Special Condition Category instead of condition type P101 which have Condition Category "G", only responsible to pick  the internal price
    Regards,
    Biju K

  • Account entries

    Hi
    Can you please let me what are the account entries will hit .. while configure the below process
    1) Subcontracting
    2)Park Invoice
    3)Asset procurement
    4)3rd party vendor
    5)master data
    6)vendor data
    7)STO
    8) release procedure
    9)material returns,Scrapping
    10)consumable procurement
    Can you please let me know .. thanks
    Note : Please search forum before posting,Go through forum rules
    Edited by: Jeyakanthan A on May 26, 2011 10:33 AM

    Thxxx BSR
    We may configure the excise collection in two ways.
    1. If we configure cenvat suspense while doing billing document, the same suspense account should be debited while excise invoice generation.
    2. If we configure ED recovered a/c while billing document, excise duty(expenses a/c) to be configured to offset while creating excise invoice.
    Either way you can follow.
    would u pl clarify when should i go for 1 way & when 2???????????. & why there r these two ways?????????
    Thxxx once again

  • Accounting Entry getting passed in case of Make to Order Scenario

    Hi Experts,
    In Make to Order scenario, as per my knowledge, when the goods is recieved from Production Order the Accounting entry gets passed is Inventory A/c Debit and Cost of Goods Produced Credit.
    But how is Cost of Goods Produced, which is  an expense, gets crebited? I am confused, because the above entry will create a credit balance to an expense account. Can anybody clarify this please?
    Thanks and Regards,
    Sameer Joshi

    Thanks for the reply.
    Do you mean that at the time of PGI, when the entry is posted to COGS, the amount of COP will also get transferred to COGS and then the whole amount will be posted at PGI?
    Thanks and Regards,
    Sameer

  • 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

Maybe you are looking for

  • The person who stole my phone is using data on my account--can I find him or her and report to police?

    Yea, I left my phone on the Amtrak train when I got off at Birmingham Michigan, realized it within minutes, raced the train up the tracks to the next stop Pontiac it had already been cleaned and the phone was stolen.   Since then, though I erased the

  • How can i activate iphone 4 on ios6 without a sim card?

    how can i activate iphone 4 on ios6 without a sim card?i upgraded mu iphone to ios but the iphone is factory locked so i can not activate it with a sim card because i dont have the original sim card.is another way to do it?

  • Movement type for unplanned receipt

    We need to do a GR for unplanned items (meaning no PO is created.)  Is 501 the correct movement?  Our current configuration only requires a GL account but we also want to be able to enter the cost center.  Is there any reason why that shouldn't be co

  • Form settings using SDK

    Hi Friends I am doing on Purchase order form.i need to set visible some column of matrix visible and active (in table Format and RowFormat) with out using form setting inter face , means through code using SDK.Is it possible Thanks

  • How to use SPLIT statements in SAP

    I have a Variable which stores two field values like Purchase Order No and Date now I want to display this Value correctly from that Variable e.g VAR1 = PONO/Date How to print PONO on one line and Date on the other line from the VARIABLE VAR1.