Billing Document fails on Transfer to Accounting
Hi Gurus.
I have created a Sales Order for a BP with Direct Billing.
The Billling Document created is failing to Transfer, when I review the Billing Document I see it has an error on Middeware Connection Status: "C": "Error Constructing Tax Data for mBDoc"
I do not specialize in Tax configuration. How do I correct this so that my Bdoc can get created.
Many Thanks in advance
Panduranga
Hi
Please can you tell us how did you resolve the error , we have around 50+docs stuck with same error
Could you please share the answer with detailed screenshots
regards
devendra
Similar Messages
-
Billing document fails to transfer
Hi all! For some reasons, the billing document created in CRM failed to transfer to the ECC system. It ends up with error 'No revenue account determined for bill doc 9xxxxxxxx Item 10 Condition Type xxxx'. However, when I checked the configuration (for Enhanced Revenue Determination), the conditions are in place. When I checked the Account Determination Analysis message for the invoice, it also shows that the condition record does not exist. This is really weird. Does anyone has any idea what else I can look at?
Cheers!
SFHi,
This error generally occurs when there is no G/L account assigned to the condition type which is used in the pricing procedure.
Pls goto spro path:Customer Relationship Management -->Billing -->Integration -->Transfer of Billing Documents to Accounting -->Transfer to Accounts Receivable (FI-AR) and Accounts Payable (FI-AP) -->Assign Revenue Accounts for Sales Transactions OR Assign Revenue Accounts for Service Processes (depending on which scenario you are using).
Check for the organisation that is determined in the transaction whether G/L accounti s maintained for that particular cond type displayed in the error message.If not maintain it and transfer the invoice document.
Regards,
PP -
Output to be blocked for Billing documents, if not released to Accounting
Hi SAP Gurus,
We have a requirement, where the Billing documents should not be issued output, if they are not released to accounting.
The system should not allow the user to issue output for billing documents, if not released to accounting.
Regards,
sree.Standard routine 62 should be able to suffice your requirement.
Provided output determination in billing doc should happen from output condition record (VV31).
If you manaully assign assign output type in billing doc, then system will overlook the requirement.
In addition to that if your output type is assigned with requiremrnt routine 62 in your output procedure.
Then till your release tke billing doc to accounting, you will not be able see output type determine in billing doc.
If you have doubt, whether the output type is getting determined properly or not.
Then output(header/item) screen in your billing doc(VF02), in menubar select Goto - then choose Determin. Analysis.
It will show message that due requirement 62, output determination didn't too place.
Regards
JP -
Billing document not released to Financial accounting
Hello all,
when I want to release a billing document in transaction VF02 into accounting, I get only a message:
Document xxxxxxxxx saved (error in account determination)
And no accounting document has been created. DO you please know possible reason?
thanks in advance
hanaHi Hana,
Go to VF02 --> Enter your billing document number --> Enter --> (In menu) click at "Enviroment" --> select Acc.determ.anslysis --> Select Revenue account.
On next screen you will your condition types
Ope them one by one and analyse which condition type didnt get the record.
That record you have to maintain it in T-code VKOA, Once you maintain the entry then release the billing document.
Hope this helps.
Regards,
MT -
Billing document not passed on to accounting
Hi all,
No sales tax is maintained in the sales order and the invoice is also created.User wants to send the Credit memo only for the tax.He put a manual tax condition type in the credit memo and enter the value for that.When the invocie is created for the credit memo.system gives the follwoing error.Please let me know how to fix this problem
Tax statement item missing for tax code T1
Message no. FF805
Diagnosis
No tax item exists for tax code T1 in a G/L account item. A possible
cause is an incorrect transfer of parameters by the application to the
Accounting interface.
Procedure
enter an OSS message
Please help.
Regards
ManoHi
System will not allow to post Manual tax condition without tax code.......... you can do following
1. make your manual condition type automatic and give one access sequence with with conditio table which must have billing document type (because it will only access in that credit memo) make condition record with tax code for that condition type 100% of your tax value (use FROM - TO) in your pricing procedure for your condition type.
otherwise use work arround, make condtion type category "A" discount or surchage and remove D, now system will post the condition amount to your G/L,
Regards
Shambhu Sarkar -
Billing Document is not released to Account -Error
Hi,
I am getting the below error while releasing the billing document into accounting.kindly help me
Error Log
0900000165 000000 Document 0900000165 saved (no accounting document generated
0900000165 000000 Enter a true account assignment object with revenues
Long txt
Detail
Diagnosis
You made an account assignment for 420100, a revenue
element, in controlling area 9000 to a cost center or
profit center.
System response
Cost centers and profit centers can carry revenues in the
R/3 System as statistics only. To ensure reconciliation
between FI and CO for revenue element 420100, a CO account
assignment object must record the revenues as a real value.
This object type is used for updating to the reconciliation
ledger.
In principle, it's possible for the R/3 System to
automatically derive this CO account assignment object, the
reconciliation object. However, all postings made in CO for
costing-based Profitability Analysis are logged in the
reconciliation ledger under "reconciliation object". In
this manner, the reconcilation ledger identifies the exact
values flowing into the operating profit. If you post
reconciliation objects during revenue postings to cost
centers or profit centers, you must do so while keeping the
interpretation of the reconciliation ledger reports in
mind. The sums of revenue postings to profitability
segments, cost centers, and profit centers cannot be broken
down further.
Procedure
o To avoid posting to reconciliation objects, make
account assignments to a real CO account assignment
object.
o If you want to post to reconciliation objects, you can
change this message to a caution or a note for future
users, or deactivate the message entirely. Use the
Implementation Guide under "Controlling: General" and
choose Change message control. Enter area KI and
message number 166. If you do not enter an individual
user here, the change is valid for all users.
Technical data
Tech. data details
Client
Group Number
Sales Document Number 0900000165
Item Number of the SD Document 000000
Schedule Line Number 0166
Counter in Control Tables 00
Message Identification KI
System Message Number 166
Output Type E
Message Variable 01 420100
Message Variable 02 9000
Message Variable 03
Message Variable 04
Please help me
Thanks
SupriyaHi Supriya,
The following step is missing in your configuration: So please check the following step:
Financial Accounting (New) - Financial Accounting Basic Settings (New) - Ledgers - Real-Time Integration of Controlling with Financial Accounting - Account Determination for Real-Time Integration - Define Account Determination for Real-Time Integration
The above step is used for:
You define account determination for the real-time integration of Controlling (CO) with Financial Accounting (FI).
You have two options for the definition of account determination:
Account determination without substitution (standard account determination)
The level of differentiation with which you want to trace the postings to Financial Accounting determines how many accounts you create and whether you assign transactions or object classes. You can assign the accounts as follows:
You specify an account for all reconciliation postings.
You assign an account to each business transaction.
You assign an account to each object class.
You assign an account to each transaction and to each object class.
Account determination with substitution
In addition to account determination without substitution, you can determine the reconciliation account using substitution. For this, you have to define account determination at least for the specification of the posting key. Furthermore, you can use substitution to refine account determination.
In contrast to when the reconciliation ledger is used, additional fields are available when real-time integration is used:
RCL_ICCF-BEKNZ
RCL_ICCF-RSEGMENT
RCL_ICCF-SSEGMENT
These fields are only filled by the system when real-time integration is used.
Caution
If you deploy the following functions, you may not use the additional fields in account determination:
You still use reconciliation posting instead of real-time integration.
You use real-time integration but you still have the reconciliation ledger activated so that you can use the reconciliation reports from Cost Element Accounting, such as CO/FI Reconciliation in Company Code Currency.
These functions use the reconciliation ledger data, which does not contain the additional fields.
For more information about defining account determination, see Define Adjustment Accounts for Reconciliation Posting.
Please let me know if you need more clarification
Thanks & Regards,
Venkataraju Khottari -
Billing document not getting released to accounting - pricing error
Hi,
My client is facing problem in posting the billing document to accounting. Its showing " Pricing error"
I have checked on the item conditions, there is no error. I checked the document flow and went to delivery. There is an item quantity split according to batch because of which one item - higher item in the batch is having ZERO quantity and the other items (which are also the same as higher level item in the batch) are having pricing not equal to zero.
Now the client wants to release the billing document to accounting. What should I do so that the query gets resolved.
Please help.
Regards,
Pavi RanjanMandatory pricing condition ZPRP is missing. This message is coming when we do the account determination analysis for the items with quantity ZERO. ZPRP is a standard pricing condition type (created by copying PR00). For other items, the same is determined.
Basically the thing is that item has been split due to batch in the delivery document. Therefore the items are coming like this in delivery:
SNo Material batch Quantity
10 ABC batch split 0
11 ABC 100
12 ABC 100
Here the order is for item ABC with quantity 200 but in the delivery there are three lines for the same item.
When billing is created for the delivery, mandatory pricing condition ZPRP is getting determined for item 11 and 12 but not for 10.
Due to this, there is pricing error in the document and therefore it can not be posted to accounting.
Regards,
Pavi Ranjan -
Billing Document not getting release to Accounting. (VF01 and VF04).
Dear All,
I am facing an Urgent Issue. The User is Generating Invoices using VF01 and VF04. The Invoices is getting generated but not getting released to Accounting. When the User goes in VF02 or in VFX3 and then releasing the Billing Document. The Account Detemination is correctly maintained and G/L is also getting determined.
Please could you advice what may the Issue. Your Urgent Help is appreciated.
Thanks.
Farhan.Dear Alan,
Yes I got the error message by pressing SHIFT + F4. Invoice Generated but no Accounting Document Getting Generated. A Balance has occured in Transaction Currency AED with the following details.
Technical data
Tech. data details
Client
Group Number
Sales Document Number 0004803850
Item Number of the SD Document 000000
Schedule Line Number 0050
Counter in Control Tables 00
Message Identification VF
System Message Number 050
Output Type W
Message Variable 01 0004803850
Message Variable 02
Message Variable 03
Message Variable 04
Detail
Diagnosis
A balance has occurred in transaction currency 'AED' with
the following details:
Exchange rate '00', amount ' 8,600.00-' and
currency key 'AED'.
The data in the transaction currency were transferred from
the calling application.
System response
Your data cannot be processed in FI.
Procedure
The error is probably in the calling application.
nical data
Tech. data details
Client
Group Number
Sales Document Number 0004803850
Item Number of the SD Document 000000
Schedule Line Number 0702
Counter in Control Tables 00
Message Identification F5
System Message Number 702
Output Type E
Message Variable 01 00
Message Variable 02 8,600.00-
Message Variable 03 AED
Message Variable 04
Group Type
Group Type
Same error I am getting when I am releasing the Billing Document to Accounting in VFX3.
But When I generate the Invoice using VF01 its getting released to Accounting.
Please advice why the Issue is only coming in VF04 Collective Invoice and in VFX3.
Your Urgent Help is appreciated.
Thanks,
Farhan. -
Billing Document Not getting released to accounts
Hello experts,
We are facing a problem after migration from 4.6 to ECC. When releasing a billing document to accounting we rae getting a error "SYST: Tax jurisdiction code at lowest level not transferred".
We found a note #971515 for the error which said to create the report ZF_CREATE_TXJDP_IN_BSET and execute it.This report is also dumping.
Has anybody come up with this error. Can somebody suggest what this error could be and how to resolve it.
Thanks in Advance
ChethanaHi,
a)when revenue acc determination is not configured properly
b) when the required master data is missing either on customer or material side.
c) incase of any errors.
goto VF02 pute the invoice number
then select this menu path:
Environment->acc. determ. analysis->revenue account
If you browse the subsequent screen (like pricing analysis) you'll find the issue.
Alternatively:
Go to FS00 (Edit G/L Account) and assign a cost element to it in Edit Cost Element tab. Based on the name given to this G/L account you could correctly determine which category under which you could create it as a cost element.
Go to VF02, try clicking on the green flag and the system would throw an error.
Anaylze the error and try out transactions OKB9, VKOA to find out whether you have correctly maintained your entries.
Try running transaction FS00 and see whether the G/L accnt used for determination is valid in that particulat Company Code.
Sometimes the error could also be because the G/L accnt might required to be created as a cost element.
regards,
Siddharth. -
Billing document not transferrred to Accounting: Msg no. KE350
Dear All.
We're having an issue in SD Billing. Some billing documents error out when released to accounting.
This is due to a material on the billing document, which is set up as FERT but they are also checked field 'Do not Cost' on the material master. As our accounting group does not want to cost these materials.
So we turned off the 'Determine Cost' checkbox on the item category. Seems ok, no VPRS is calculated now in the billing document.
Still though the items error out when the billing document is generated and no accounting document is generated.
Message = Valuation with material cost estimate: error with product "xxxxx"
Any thoughts, or seen this before?
Many Thanks!This is failing because COPA valuation is active in your system and a product cost estimate is required for that material type. If you don't want to create a product cost estimate for this material then you must change one of the valuation settings in your system. Currently your system is set so that if a valution key is not assigned an error message is issued. That can be changed so that an error message is not issued if a costing key is not found. Another option is to assign a "blank" costing key to this particular material. In that case the costing key requirement is meet and the item will post.
There are different ways to assign costing keys for valuation, so you will need to check to see how your system is set. Check transaction code KE4J. If you have settings in that table then keys are assigned by material type. If desired, you can deactivate the error message for the costing key so that the posting will not fail if a costing key is not found. (Controlling - Profitablity analysis - Mater data - Valuation - Setup valaution using material cost estimate - Define access to standard cost estimate)
Alternatively, you can maintain costing keys with t-code KEPC. This one is more flexible and preferred. Here you can create derivation rules for finding costing keys. Create one rule for finding a costing key by material and another rule for finding by material type (or what ever characteristics make sense for you). For the rule by material, assign a "blank" costing key to the materials that should not be valuated. This will satisfy the costing key requirement and you will not ger a valuation error.
thanks, -
Hi all,
The billing document information from CRM need to be posted into FI/CO module in R/3.
What configurations should I do for it or how is it transfered. Is there a middleware object.
Should I assign the publications "Billing Documents (MESG)" to the R/3 site to post the accounting information to R/3.
any inputs.. it would be of great help.
thanks
JothiHere is the answer, I am sharing as the help.sap.com does not have this info.
Need to assign the publication "Billing Documents (MESG)" to transfer Accounting information to R/3. -
How to block creating Billing document if no accounting doc generated
Hi,
In Brazil, after create Billing Document a new document called Nota Fiscal is also created.
But I can't allow creating Billing Document and Nota Fiscal if i have a problem during the releasing process of the Accounting Document.
How Could I to do for block the creation of those documents if i had a problem in releasing the accounting document ?
Best Regards.
Kleyson Rios.HI,
with out creating a billing document we can not expect accounting document details.
once u create a billing document then we come to know whether accounting doc is created or not. if not created then we hav top analyze why it is not created.
do one thing u have to check all configuration settings before creating a billing document.
Srini -
Restriction for release of billing document to accounting
Hi All,
Need you inputs for meeting the below requirement.
There is a requirement to control the release of billing document of a certain billing type to accounting based on certain users.
The posting block has already been ticked at the definition of the billing type so that the release to accounting does not happen automatically. The release to accounting then will be done manually by users through tcode VF02. Here the requirement is that only certain users need to have the authorization to release the billing document to accounting through VF02 i.e not all users who have access to VF02 will be able to do this activity of releasing to accounting. These users can however release billing documents of other types to accounting.
Is there any user exit wherein we can place an authorisation object for checking the user role?
Note: When relase of billing documents is done via VF02 the tcode VFX3 get called in background.
Regards,
RajkumarHi,
Try these ywo approaches- restrict the authorisation to VFX3 using basis roles. And try to fiddle with this field in vbrk using userexits- RFBSK. Try this exit
USEREXIT_FILL_VBRK_VBRP (Module pool SAPLV60A, program RV60AFZC)
Regards,
Saurabh -
Accounting document not posted from billing document SD module
Dear Sir,
I am encounting a weird issue in SD module, that is when I am saving the billing document the system will generate accounting document automatically from my ID but when the same process will perform from the other ID having same rights and previligies then system prompt the folllowing message .
"Tax code C1 does not appear in any G/L account item"
It means the system allow a specific user to post accounting document with reference to billing document but not allowing to post from any other ID.
Apparently this issue related to basis module. we have checked in the basis area as well . still unable to get ane resolution for this issue.
Best Regards,
HASEEB KHAN
MM,PP,SD CONSULTANTHello Haseeb,
In that case, I would suggest you check Change Message Control for Taxes follow following path in SPRO:
IMG - Financial Accounting (New) - Tax on sales/purchases - Basic setting - Change Message Control for Taxes
Check corresponding doc to it and go through different Application Area, particularly, FF
Also refer SAP Note 495737 - Customizable messages in FI_TAX_SV_BSEG_BSET_GROSS
Hope this can assist you in understanding
Thanks & Regards
JP -
Accounting document not cleared when billing document is cancelled.
Hi,
In ECC 6.0 when we cancel a billing document through vf11 in vfo3 we find the status as accounting document not cleared.
The general process is manually going to f-23 and clear customer line items of that invoice. After doing this the status become accounting documet is cleared.
My requirement is how to cancel the billing document without getting this message (accounting document not cleared) and not clearing the customer line items manually.
Can it be done through user exit/enhancement or by copying requirement vofm.
Please suggest.
Thanks
Edited by: sumesh on Jul 29, 2009 6:33 PMThey directly want the accounting document to
be cleared when billing document is cancelled.
Though you can achieve this with the help of ABAPer, why dont you consider having a Posting block for your billing type so that as and when the billing documents are generated, you can release it via VFX3 in bulk or VF02 for individual billing document release to FI.
In order to achieve this, go to VOFA, select your billing type and execute. There you can see a field "Posting block" where maintain a tick there and save. With this control, first of all, you can ensure that before releasing F2 billing documents to FI, it is not cancelled.
thanks
G. Lakshmipathi
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