Accurals & Account Keys in Subcontracting Pricing Procedure- Urgent

Hello,
I have given the Accural: FRN  in the Subcontracting Procedure for the Freight Condition Type with a account that is related to the Process Stock account in OBYC.
While i check the Accounting entries after doing GR the Freight amount is posted to the same G\L account (Process Stock account ) with debit & Credit entries.
For Eg: 125058 Process Stock 100+
            125058 Process Srock 100- 
While Posting the freight vendors invoice (by selecting Planned Delivery Costs tab) the the same G\L account is showing two times with Debit entry it does not allow me the to post the invoice (Error: Balance in Transaction Currency)
Please suggest me if i am missing anything.
Thanx & Regards,
Kumar Rayudu

Hi,
The account keys ERL , ERS, DIFF which are related to revenue and sales deduction in your pricing procedure are defined in transaction VKOA. Here the account key, chart of accounts, your sales organization and G/L accnt combination are maintained.
Whereas all the tax codes G/L accounts get picked from transaction OB40 , So in your pricing procedure where ever you see tax account keys, make sure you go to OB40, input your tax code and then you will see all the G/L accounts against each respective account key. This is nothing but the calculation of tax on sales / purchases.
Hope this will solve your query.
If it does, please dont forget to reward points for contribution.
Regards
Ravi

Similar Messages

  • Account Key & Accural in Pricing procedure

    Hi SAP,
    What is the difference of Account key in SD & Accural Key in MM  pricing procedures.
    regards,
    Santosh Kumar

    no

  • Tax Condition type : Account keys in SD Pricing procedure .

    Dear SAP Gurus,
    In the configuration of the taxes (Service, Ecess & H & Ecess)
    The tax codes are defiined and the condition type JXX has been defined with the account keys .
    Then the taxes are automatically posted to the accounts .
    But in the SD pricing procedue for the same condition type the account key defined is EXD .
    But where is this account key going to post the value of the condition type JXX ..
    Please explain the use of the account key in the Tax Conditon types in the pricing procedure.
    regards,
    Amlan Sarkar.

    Hi,
    The account keys ERL , ERS, DIFF which are related to revenue and sales deduction in your pricing procedure are defined in transaction VKOA. Here the account key, chart of accounts, your sales organization and G/L accnt combination are maintained.
    Whereas all the tax codes G/L accounts get picked from transaction OB40 , So in your pricing procedure where ever you see tax account keys, make sure you go to OB40, input your tax code and then you will see all the G/L accounts against each respective account key. This is nothing but the calculation of tax on sales / purchases.
    Hope this will solve your query.
    If it does, please dont forget to reward points for contribution.
    Regards
    Ravi

  • Account Key & Accruals in Pricing Procedure

    Hi,
    When i Maintianed both account key and accruals in my pricing procedure, system is taking the transaction key mentioned for accruals. And when i maintained without account key also system is picking the transaction key from accruals.
    When i maintianed only account key & i deleted accrual, then posting is not happening to seperate account.
    What is the purpose of Account key & how it differ from accrual.
    Regards,
    Prabu

    Hi Priyanka,
    thanks for your reply again, could you please clarify further,
    For frieght i maintianed FR1 for account key and FRE for accrual, after goods receipt when i check the accounting document, posting happened to the accout that i mentioned for accrual (i.e FRE).
    Stock account 510 +
    GR/IR 500-
    Frieght Account : 10-  (this is the account i mentioned for FRE)
    Now where can i see the postings for account key.
    Regards,
    Prabu

  • About Account Key of MM Pricing Schema

    Dear Experts,
    I found that in MM pricing schema, there are column called Account Key. I try to specify 1 pre-defined account key (FRE) to my condition type in the schema. However, this account key does not work because the GL account in MIGO transaction is assigned by GL account i defined for movement type 101 (i did it by simulation tool in SAP SPRO). Please let me know the setting sothat this account key work.
    By the way, I also have related question about this account key: I want to add 1 condition type in my pricing procedure, the value will be post during MIGO or MIRO, but its value will not affect to Goods amount (expected FI posting will be: Dr GL account, Cr Vendor account) . As I know, for freight or customs charge, the value will affect Goods amount.
    Thanks in advance,

    Hi
    The account key you have mentioned  or any account key which is pre_defiend or customised are generally used ot have accraul posting corresponding to a particular condition value. This accrual key is linked to a G/L account in the OBYC transaction and is different from the G/L account you have used.
    101 acct, that is your Inventory account - BSX - is an Inventory or Stock account, while for the accrual keys you normally assign a clearing account. Have a word with your FI guy and re_assign the key with a different account.
    Second  case if your value is getting added In MIGO/MIRO than that is correct only, you can not stop it getting added for the conditon unless until you activate the Statistical indicator Indicator  for the condition type in the calculation schema.
    Regards

  • Account key and Accurals in Domestic Pricing Procedure

    Dear all,
    Can any one Guide me on Domestic Pricing Procedure.
    Please suggest ur valuable inputs on This.
    1)What is da use of account Key in Domestic Pricing Procedure ? which account keys need to be maintained for which are all condition types ?
    2) When it is required  to maintain account keys ( What is da Purpose )?
    3)What is da use of accurals in Domestic Pricing Procedure ? which accurals keys need to be maintained for which are all condition types ?
    4) When it is required  to maintain accural keys ( What is da Purpose )?
    Best Regards
    Javeed ahamed

    As Suggested by you similar to Frieght can we meet the Following below requirements
    a) Does can we have an account key and accrual key for Discounts Which can be capture on MIRO? Does it add on material Cost ?
    b) Does can we have an account key and accrual key for Packing and Farwarding which can be capture in MIRO ? Does it add on material Cost ?
    c) Does can we have an account key and accrual key for Octroi ? Which can be capture on MIRO? Does it add on material Cost ?
    Waiting for your Valuavle Suggestion.
    Yes u can have the accounting key and accurak key for all those conditions in which u have marked the accurak key in condition ( M/06).
    ALL the costs will be inventoried during whether u use accuarl and accounting or not. they are just use to flow the cost to different gls.
    The acconting entries will be
    during gr
    Inventory  account  +ve  100 rs
    GR/IR account          -ve    80 rs
    purchase account   +ve    80 rs ( in obyc  key  EIN)
    Frieght account       +ve    20 rs ( in gl defined in accounting key)
    fright clearing account  -ve 20 rs ( in gl defined in accural key)
    Purchasing offset account  -ve 100 rs( in obyc defined in purchaisng offset account).

  • Account document not created Message no. VF062 for the pricing procedure

    When I tried to create an invoice I came across this problem of Account document not created Message no. VF062.
    I created a pricing procedure with base price,BED,EDU CESS,HIGH EDU CESS ,VAT,CST.
    Condtion record was set for each pricing condtion type.
    Sale order>delivery->invoice
    When invoice was stored i get the message accounting document not created.
    After that i changed the condtion class of (BED,EDU CESS,HIGH EDU CESS ,VAT,CST.) from D-tax to B-price.Now the invoice is stored without the messag(accounting document not created).What will be the problem associated with this

    i changed the condtion class of (BED,EDU CESS,HIGH
           EDU CESS ,VAT,CST.) from D-tax to B-price
    Whaterver condition types you have with condition class as D, I am sure, you should have assigned some Account Keys in your Pricing Procedure.  Ensure that those Account Keys are appearing in OB40 as otherwise, you will face this issue.
    G. Lakshmipathi

  • Depot pricing procedure issue

    We are trying to configure Depot Sales. I have done stock transfer from manufacturing plant to Depot. GR was done based on replenishment delivery and excise document entry . now when i am doing sales from depot the excise amount that i captured at plant through j1iin has to be passed to depot. We have set 356 routine and EXD accounting key in depot pricing procedure ZJDEPO for JEX2, JEEC & JA1Y condition type.
    After release to accounting of billing document generated in depot, the excise entries calculated on base price at depot is getting posted. Our requirement is to pass the same excise duty amount that we paid while removing the material from factory to be passed to the customer.
    Correct me if there is any mistake in my pricing procedure. Please suggest how i can pass the same amount to the customers.

    i have already done all settings for depot & the excise values are flowing from plant to depot using alternate calculation type 356. but the values captured in JMOD , JECS & JA1X financial condition records gets transferred to depot. the base price in stock transfer pricing procedure is 40000 and the base price set at depot is 36000.
    so the excise calculated at plant is 4000, 40, 80. in depot after doing J1IJ the same values are getting passed for jex2, jeec & ja1y. but for jmod, jecs & ja1x the values are 3600, 36, 72 which is posted in accounts after release to accounts.so please suggest how to pass the correct excise amount to accounting.

  • Why do we need account key in SD revenue account determination?

    Hi,
    Why do we need account keys in SD pricing procedure and revenue account determination? If we dont use account keys wht will be the problem in priding procedure and revenue account determination?

    hello, friend.
    account keys allow you more flexibility in assigning revenues, costs and other financial data to different GL accounts.
    let us take, for example, surcharges and discounts.  surcharges are extras charged to the customer for maybe freight, penalties and other services.  discounts could be header or item related, and can take many forms (volume discounts, customer discounts, customer group discounts, etc.).
    in SAP standard, condition types in pricing procedures that are surcharges (i.e. freight)  are assigned to account key ERF.  discounts are assigned ERS.  when you do account determination, it can look like this:
    condition type KF00 (freight), account key ERF, post to GL account 600010.
    condition type K007 (discount), account key ERS, post to GL account 700010.
    however, your company might want the different surcharges to be posted to different GL accounts.  let us say your company wants you to define additional freight surcharges KF01 and KF02.  the company also wants you to post these to separate GL accounts.  so now, you define additional account keys ZF1 and ZF2.   you then assign these to the condition types in the pricing procedure, and then do account determination as follow:
    condition type KF01, account key ZF1, post to GL account 600020.
    condition type KF02, account key ZF2, post to GL account 600030.
    these are just some impact of account keys.
    hope this helped you.
    regards.

  • Account keys

    Hi,
    How to create Account keys in SD pricing procedure, MM pricing procedure,please give guide lines step by step.
    Thanks in advance,
    Prabhakar

    hi,
    SD account Keys
    path : spro - img - sales and distribution - basic function - accounting assignment costing - revenue account determination - Define and assign account keys ( OK11)
    MM account Keys
    fico use Accoun keys T.Code  : OBCN
    this information more heplful u
    regards,
    ramu

  • Accrual key in Pricing Procedure

    Hi
    Can anybody explain the exact purpose of accrual key in the pricing procedure?
    What is the difference between Account Key and Accrual key.
    Regards
    SAP MM

    Hi,
    Account key
    Account key is mainly used for Frieghts.Account key enables amount to post to certain revenue accounts, for example freight charges. When you add freight related condition types, it will be added to separate G/L accounts, means this will not be added to material price.
    Accruals key:
    Accruals  mean accumulating,with the addition of the account key, the system can post amounts to certain types of accruals accounts. For example, rebate accruals which are calculated from pricing conditions can be posted to the corresponding account for rebate accruals.
    Hope it will helpful and then reward.
    Regards,
    Biju K

  • Procedure account key and accrual

    Dear all,
    1 What is the difference for account key and accrual in procedure M/08.
    2 I maintain both FR1 at account key and FR3 at accrual. During GR, I only see gl account for FR3 showing. Why not FR1 at account key?
    3 I see most of the condition with both account key and accrual also enter the transaction code. if system only picks 1, why need to maintain both?
    Thanks

    Hi,
    Account Key enables the system to post amounts to certain types of Revenue account(Frieght & Custom)
    With the help of account key ,the accrual  key can post amounts to certain types of accruals accounts in the system.
    Check related condition type in M/06 & see the Cond.category linked.
    Also see the (account key / accrual  key) which will have the transaction event key and will store the Purchasing documents value in posting that links( which one linked so you have posting) in OBYC setting
    Regards,
    Biju K

  • Regarding rounding off value in pricing procedure

    hi fi professionals,
    i have an issue regarding pricing procedure, pls help me out, its urgent
    i have a condition type, zrou(rounding off value)
    the fanda is- when i am creating po- my net value is suppose- 19.90.
    so my client requirement is- 0.10
    so i have given 0.10, then total value is- 20.00
    but this value is not pickin up in migo- accounting document
    it is picking 19.90 only.
    so what is the configuraion needed in omsy for picking up the total value in accounting doc.
    regards,
    susanta

    Hi..
    You would need to maintain a account key in the pricing procudure which would calculate the balance to make the total a rounded value.
    In FI perspective, you need to assign a GL account for that..
    Cheers
    Raghu

  • Accruals and account keys

    hi mates,
    Can you please explain in detail the difference between the account key and accruals in mm pricing procedure. I know the meaning of them(i want to know the difference between them if there is any).
    Thanks in advance.
    Edited by: sriramkadiyam on Jan 18, 2010 6:14 AM

    Hope u talking of the acc key and accr key in MM pricing procedure
    Accrual key plaus imp role in getting the GL accounts from OBYC for you condition type value to be posted.
    fr1, fr2 etc will be used
    and
    Account key are usefull to post value of cond type in GL accounts from OBYC only if purchase accounting is activied.
    FRE and EIN keys will be used
    hope this helps

  • DIFFERENT PRICING PROCEDURES

    Hi friends,
    I have faced one question in an interview that "how many pricing procedures" u have maintained in your current project.
    Please let me know what is the criteria to define different pricing procedures
    Thanks&Regards,
    Mahesh

    Hi,
    There are many situations where we need to define different pricing procedures.
    After defining them we are going to assign them to sales order types and billing document types.
    In a general case the correct answer for this is two.
    1)Document pricing procedure
    2)Customer pricing procedure.
    We are going to maintain them in "OVKK" T.Code.
    Pricing pricedure is assigned to sales and billing documnet types accounting to the document pricing procedure.
    The pricing procedure appeared here in customer master will be comin from this customer pricing procedure.
    But in your project it will be depends on your project requirement.
    Regards,
    Krishna.

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