Automatic Clearing Cenvat

Dear SAP Experts,
At the Time of MIGO Cenvat Clearing Account " Assignment" field gets updated based on Purchase Order Number and Item
Sl No,
But During Miro Assignment Field is Updated with "0000".
So when we do Automatic Clearing of F.13  our cenvat clearing account is not getting cleared,
Any suggetion please,
regards
Naresh Kumar

Hi,
Please make sure whether part2 posted?
Regards,
Sattuj

Similar Messages

  • How to clear cenvat clearing account automatically

    Hi all
    will any one help me in making me understand as to how the cenvat clearing account can be automatically cleared.
    What exactly i mean is -
    When we do MIGO, the cenat clearing account is automatcially credited  and RG 23 A is debited.and
    When we do MIRO, the cenvat clearing account is automatically debited and vendor is credited.
    if this is the case, i find that the cenvat clearing account which is getting credited in MIGO and debited in MIRO is still showing as OPEN ITEMS when i view the cenvat clearing general ledger account in transaction code - FBL3N .
    How should i make the Cenvat clearing account to automatically get cleared and should show the line items cleared automatically, with out going through the t code f.13 etc.
    Thanks in advance
    Regards
    Rishikesh

    Hello
    Check if this is of help.
    Also check MM/FI integration for 23 transactions. Check if a/c assignment is set.
    CENVAT Document
    Definition
    An accounting document that the system automatically creates when it generates a Part II entry.
    Use
    Customizing
    Specify which document type you want the CENVAT documents to use, in Customizing for Logistics – General, by choosing Taxes on Goods Movements ® India ® Basic Settings ® Maintain Company Code Settings.
    Day-to-Day Activities
    When the system generates a Part II entry for an incoming excise invoice, it creates a CENVAT document to debit the excise duty to the excise duty account, and credit it to the CENVAT clearing account:
    The excise duty is cleared from the clearing account when the accounting clerk enters the vendor invoice.
    When the system generates a Part II entry for an outgoing excise invoice, it creates a CENVAT document to debit the excise duty to the excise duty account, and credit it to the CENVAT suspense account:
    Reg
    assign points if useul

  • AUTOMATIC CLEARING OF CENVAT ACCOUNT

    Hi Fnds,
    I am using F.13 for automatic clearing. In OB74, i have given Acc. Type as 'S' , given acct. number,
    Criterion 1- EBELN-Purchasing Doc.
    Criterion 2- EBELP-Item
    Criterion 3- MATNR-Material
    Criterion 4- XBLNR- Reference.
    Still the items are not automatically matched and set-off when i run F.13
    I checked the items. They got the same reference, same amounts, same currency. Still they remain without getting set-off against each other and turning green to indicate ready to be posted.
    Pls advice
    Thanks
    Varsha

    Hi
    After execuring F.13, see the "error log" appearing at the end of the output.
    This may give you a clue.
    Sometimes, the error log may not appear in test run, but may appear in production run.
    Regards

  • Automatic clearing of cenvat clearing account

    Hi all,
    While clearing cenvat clearing account thru F.13 it is not clearing.
    we have maintained cenvat clearing G/L with sort key-014
    in OB74 ZUONR is maintained.
    in IMG-Logistics - General-Tax on Goods Movements-India-Account Determination-Specify G/L Accounts per Excise Transaction
    also the cenvat clearing a/c is maimtained as offsetting a/c.
    Then why it is not clearing.
    Thanks
    shivaji

    Hi Sivasankar,
    Can you be brief on "Have your ABAPer and set Substitution user exist which populate PO number in assignment field at the time of MIRO".
    Which "Substitution user exist" we has to ask the ABAPer to use, can you help us by giving the User Exit details or let us the process which we can explain to our ABAPer's to understand. 
    I am also facing the same problem from long time and i also posted the same, but i didn't get any reply from the Form. Because my client not cleared this CENVAT Clearing account from April 2009.
    Regards,
    R.K

  • F.13 Automatic Clearing for cenavt clearing account

    I want to do automatic clearing (f.13) for Cenvat Clearing Account
    I have maintained EBELN as a criteria in OB74 & for Cenvat clearing G.L.Account Sort key as 14 (Purchase Order)
    If I dsiplay Cenvat Clearing Acct, for Document Type ED system display's the P.O. Number as Purchasing Doc; But for RE document system does not display P.O. Number & Auto clearing does not happen
    Can you any one guide how to clear this cenvat clearing account automatically
    Regards
    Sandeep

    Hi,
    is your GL account defined as 'Automatic postings' by FS00? Please, check and remake your process.
    Regards

  • Reference field for Automatic Clearing - STO

    Hi All,
    This pertains to automatic clearing of line items in Cenvat Clearing Account for STO transactions.
    Our client is using J1IIN for creating outgoing STO Excise Invoice at sending plant. The accounting document posted will have Billing Document Number in its reference field.
    The accounting entry will be:
    Cenvat Clearing A/c Dr.
    Cenvat Payable A/c Cr.
    In the receiving plant an incoming excise STO invoice is posted in J1IEX. In the accounting document, the reference field is filled with the excise invoice number generated in J1IIN.
    The accounting entry will be:
    Cenvat Receivable A/c Dr.
    Cenvat Clearing A/c Cr.
    Since the reference fileds are having different document numbers, clearing the open items in Cenvat Clearing Account using automatic clearing has become difficult.
    Need inputs on how to get a common text (either Billing Document Number or Outgoing Excise Invoice Number) entered in reference field for both the Excise Invoices in J1IIN and J1IEX, so as to make this automatic clearing work fine . . . .
    Can anybody help in this regard..??
    Regards,
    Ravi Kumar

    Hi
    In OB74  we have following options for defining rules
    COA      A/Type     Frm No      To No         Criter 1      Criter 2      Criter 3      Criter 4      Criter 5
         D     1     9999999999     VERTN     VERTT     VBEWA
         D     A     Z     ZUONR     GSBER     VBUND
         K     A     Z     ZUONR     GSBER     VBUND
         S     0     9999999999     ZUONR     GSBER     VBUND
    From the above we can have options for
    1. For all accounts or selected one account , we can have upto 5 criterias for our decision to vlear
    2. We can have COA level decisions also
    3. We can have Account type level decisions - Vendor, Customer & GL accounts - one or many and can many rules defined.
    4. apart from the above you have the option to clear the criteria order of the field for account type definitions level
    Please go through the settings - SPRO-GL/AP/AR- Business Transactions- Open items processing- auto clearing 
    whether this helps u to understand the logic

  • Automatic Clearing - Open Item GL Account

    Dear Friends,
    We have created the Bank Clearing Account as an open item management account. The account would be credited while making the payment to the vendor thru automatic payment run and debited once the payment has been cleared from the Bank. We would like to do the automatic clearing of the open items like GRIR account. Could you please advise what maintenance is to be done on the Config side and which T Code is to be used.
    Thanks for the help!
    Regards

    Dear Raj,
    Bank clearing accounts is used to for Bank Reconciliation purpose . If you like to automate this process you have to configure Electronic Bank Statement process. You can check the below links
    http://wiki.sdn.sap.com/wiki/display/ERPFI/ElectronicBankStatement
    http://www.sap-img.com/financial/customizing-an-electronic-bank-reconciliation-statement.htm
    Note: There are so many posts with regards to Electronic Bank Statement process, you can search from the forum also.
    Thanks and regards
    Praveen.J

  • GL account automatically cleared by the bank statemetn document

    Hello all,
    I would like to ask you a question.
    We have done the payments by payment run to the vendor , FI document 2000008482  has been created, Then we received the bank statement which created the document 101481822 and the GL account used for this payment  2435000022 was automatically cleared by this bank statement documents 101481822
    Usually they do manual clearing by f-03 but for the accoutn 2435000022  its automatic
    I have 2 questions
    1. where in customizing you set up this option that the GL account is automatically cleared when posting bank statement
    2. if they need to reverse payment document, how this could be possible? as if they want to reset the clearing docuemtn, they would have to reverse the bank statement document
    thanks for your feedback, its reallt apprecited
    regards
    Hana

    You should feel happy if the system clears the payment document. This what the behavious is expected.
    When you made the payment it goes to bank sub account, then when you upload the bank statement, then the system expects to clear based on the cheque number etc.
    However, if you do not want you can still stop them from clearing and then entry only gets posted. But again, you will be doing the same job what the system is doing by using F-03 or F.13
    Please check your posting type against the posting rule
    SPRO ==> Bank Accunting ==> Business Transactions ==> Electronic Bank Statement -==> Make Global Settings for Electronic Bank Statement ==> Posting Rules
    Thanks,
    Ravi

  • Billing document cancellation (VF11) the cancelled doc. is not getting automatically cleared against the actual billing doc.

    Hi All,
    In case of billing document cancellation (VF11) the cancelled doc. is not getting automatically cleared against the actual billing doc. no. Each time user has to clear the doc. manually. We have observed this issue after recent patch updation dated 22nd Feb’2014. Till 21st Feb’2014 the cancelled doc. has been cleared automatically against their respective billing documents.
    Please guide.
    Thank you.

    Hi Gopi,
    Please chheck SAP Note No. 1259505. It explains two ways in which SAP releases cancellation documents to FI.
    OSS NOte 1259505 lists the possible causes from SD side &
    OSS Note 309208 lists the possible causes from FI side.
    Regards,
    Kavita

  • Automatic clearing of open items

    hi,
    we have customers with 'dummy-invoices' in our system.
    There is a document in FI with a value of 0,01 Euro on the customer.
    this document is an open item and never will be cleared.
    is there any possibility for automatic clearing of such open items ? program SAPF124 does the clearing
    only when there is a second document, right ?
    reg, Martin

    Hi,
    Clearing is always against counterpart; that's the concept of this funcionality.
    Regards,
    Eli

  • EBS: Automatic clearing of customer open items

    Hi Experts,
    I am setting up the electronic bank statement with format MT940 structured with field 86.  As part of the scope, business is requesting to ensure that customer open items gets cleared automatically when the bank statement is uploaded through transaction FF.5.  Because bank statement contains entries relating to payments by customers into the bank account.
    But here the problem is that customers will provided ONLY the name.  They do NOT provide either the invoice reference number (XBLNR) or our accounting document number (BELNR).
    I have searched a lot and found out that I can use the BAdI FIEB_CHANGE_BS_DATA to get the SAP customer number from the customer name given in Notes to Payee fields of MT940.  Kindly correct me if I am mistaken.
    Now from the derived customer number, I need to find out the related open items which match with the amount given in MT940.  So, how does the system know which open items can be cleared for the given amount.  Because the paid amount (by the customer) can be for an individual invoice or for a couple of invoices together.  Do I need to use the enhancement user exit FEB00001 to specify the system to use fields "Distribute by age" and "Automatic search" field in transaction F-32 ?
    Or is there any other better way of achieving this objective of automatic clearing of open items.  Asking our customers to provide the invoice reference number is not an alternative since it has already been tried a lot for long without any result.  So, business has requested for the set up in our system to ease this process of automatic clearing of open items.
    Thanks you so much for your time to help me on this.  I will be waiting for your kind responses.
    Regards,
    Sridhar

    Hi Experts,
    I got this resolved by using the enhancement FEB00001.  If the field "Distribute by age" is activated through this enhancement, then system will be able to match the paid amount and the combination of open items for automatic clearing.  If there is no exact match, then automatic clearing through FF.5 is not possible as indicated in SAP Note 124655.
    There is no more necessity to use BAdI FIEB_CHANGE_BS_DATA.  Complete relevant logic can be maintained directly in the enhancement itself.
    Have a nice day.
    Regards,
    Sridhar

  • EBS Customer open items automatic clearing within tolerances

    Hi Experts,
    We have already implemented Elecronic Bank Statements automatic uploading functionality.  As part of this process, customer open items need to be cleared automatically. 
    As per the standard process, SAP will be able to clear off the open items ONLY if the collection amount (reflected in MT940) is exactly equal to the invoice amount (reflected in the open item).  But general practical situation is that customers may under / over pay.  For example, if the customer invoice is for USD 100,005 the actual payment from the customer could be for USD 100,000.  In this case, it is normal business practice that open item will be cleared off rather than keeping balance USD 5 in ledger and chasing the customer.
    So tolerances are already set up both at GL account level (Trans OBA4) and customer level (Trans OBA3) with blank tolerance group with permitted payment difference of USD 15.  And no tolerance group is assigned to the customer master.  Also account determination is maintained for the differences with nil reason code.
    Inspite of all these settings, I am getting an error message indicating that the difference is too large for clearing while trying to upload this bank statement.  Here the difference is only USD 5.
    My doubts are:
    1. Does the standard EBS program RFEBKA00 considers the permitted payment difference tolerances set in transaction OBA4 and OBA3 ?  I don't need to post the differences with reason code.  That's why account determination is maintained with blank reason code as well. 
    2. SAP Note 124655 (Point No 3) says that entering reasons for differences is not possible in the standard system through EBS.  Does that mean clearing of open items WITHOUT reason code is possible ?
    3. SAP Note 549277 (Point No 5) says that even though Note 124655 specifies certain functionalities as not supported in standard system, they can be achieved by customer through user exits.  Does that mean it is possible to code in the user exit saying that system should consider the payment difference tolerances for clearing off of the open items ?
    Could you kindly let me know your experience with these questions.  I will be very glad to hear from you.  Thanks for your time.
    Warm regards,
    Sridhar

    Hi Experts,
    I got this resolved by using the enhancement FEB00001.  If the field "Distribute by age" is activated through this enhancement, then system will be able to match the paid amount and the combination of open items for automatic clearing.  If there is no exact match, then automatic clearing through FF.5 is not possible as indicated in SAP Note 124655.
    There is no more necessity to use BAdI FIEB_CHANGE_BS_DATA.  Complete relevant logic can be maintained directly in the enhancement itself.
    Have a nice day.
    Regards,
    Sridhar

  • Scheduling of Automatic Clearing (FPMA) of FI-CA Open Items in background

    Hi,
    I was trying to schedule daily runs of Automatic Clearing (FPMA) in background using SM36. I understand that running Automatic Clearing of Open Items on a periodic basis is a usual practice in the Utilities industry.
    However, SM36 is throwing an error message saying "Program SAPLFKKAKTIV2 cannot be scheduled (not of type 1 or J)", when I am specifying SAPLFKKAKTIV2 as the ABAP Program to be run on a daily basis.
    I shall be grateful if somebody can suggest a solution for this.
    Thanks and regards,
    Arijit Mitra

    Hi, i am using a program for schedule FPMA and in the output returns these error :
    FKKKO table : incomplete data.
    Missing Data : BLDAT or BUDAT or BLART or WAERS.
    I am using Mass Activity Type as 0004.
    Additionally , the Standard SAP program RFKK_MA_SCHEDULER in FICA,
    returns  the same errror.
    Can someone help me?
    Kind Regards
    Daniele

  • F.13 automatic clearing G/L Account in Amount in Local Currency

    Hi gurus:
    I need a lot of help with t-code F.13.
    I need clearing a lot of line items in one GL Account. every one has the same Assignment Number and has in local currency (CLP), but one of them is in USD.
    When i call the transaction, I fill the follow fields, but the system doesn't clear the items and shows follow message "B  No clearing (difference too large)" .
    Company code                    CMF
    Fiscal year                     2009
    Assignment                      2009
    Select GL Accounts        X
    G/L accounts                    21070016
    Clearing date                   30.06.2010    
    Clearing Currency               CLP
    Permit individual line items   X
    Include Suppl Account Assign X
    I tried with the follow configuration in OB74
    S     21070016     21070016     ZUONR     DMBTR
    But system cleared certain items, not everything.
    ¿How can I do a automatic clearing when i have documents with differents document currency? ¿Is it posible to do a residual items from F.13?
    Greetings and anticipated thanks
    Marco

    Hello Raj:
    Thanks for your reply. Look, the difference that I found between both t-codes is the field: Clearing Currency.
    I've executed many times with that field empty and CLP. But the result is the same "No clearing procedures were carried out".
    Also I've tried with different combinations of this checks:
    F124BVK - Special Processing (Clearing Currency from Assignment Field) (I dont know how to configure this)
    F124ALW - Expiring Currencies
    F124TOLEB - Consider a Single Line Item for Tolerances
    F124NKON - Include Supplementary Account Assignment
    What can I do now?
    Thanks a lot
    Marco

  • Automatic Clearing F.13

    What is the prupose of using F.13 . Is it the same as F-44 if we are using it to clear vendor items. When do we need to do this. Is it after making paying the open items. I went into F.13, then checked all vendors. I got a list of document numbers with the amounts. And bekow that got a log below that says "account selected but is not entered in tableTF123" what does this mean.
    Suppose we want to clear G/l items do we use the same transaction?
    ANother question does MR11 does the same clearing as F.13. For eg, if we run MR11 and clear GR/IR, wont it do the same in F.13 to that G/L account
    I am not able to clear vendor open items through F.13, though they exist. It is confusing. Can someone guide me through the whole process adn why do we use f.13, what all it does.

    Hi
    Manual Clearing of G/L , Vendor and Customer are done at F-03 , F-44 and F-32.
    Automatic Clearing of all these G/L , Vendors and Customers are done F.13.
    F.13 includes all the three F-03 , F-44 and F-32.
    regarding MR11 , Cancelling of Goods Receipt is done at MR11 but Clearing is done at F.13.
    For Example ,
    suppose that you have a goods receipt for a quantity of 12.You got the invoice receipt for a quantity of 10 only.then if you go to MR11 it will show the difference of quantity of 2.And you have the information that you will not receive the remaining quantity of 2.You will cancel the goods receipt of quantity of 2 using MR11.
    MR11 displays and cancels the goods receipt but doesnt clear.
    Clearing is done at F.13  Automatic clearing.
    regards
    Venkat
    Edited by: Venkat Dara on Dec 8, 2008 8:45 AM

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