Billing document not reversed

Dear Guru's
I am not  SAP consultant.
Pls help me, previously i had reversed one  billing document through Vf11 ,then reversed VL09 delivery and cancelled the Sales order.But now billing document not reversed.Again go to reverse throuh VF11 Getting error as No billing documents were generated. See log
Message no. VF032
Swamy

Hi malaini,
thanks for your's reply.in this regards already i had reversed particular delivery , also sales order and deleted.But only think is now stock was not reversed and billing & accounting posting didn't reversed.customer balance is shown debit wrongly.pls advice.
Swamy.

Similar Messages

  • Billing Document not generated.....

    Hi Gurus,
    When i am creating a Billing Document VF01....after completion of VL01n...the system shows an error Billing Document not generated...
    Please help me
    Rewards will be given

    To resolve the error, you can analyze account determination in the billing document. Process:
    Goto T.Code: VF02 & Enter Invoice number
    Next (On the top most strip) goto Environment
    Next (Select Environment) go to Account determination
    Next (In Account Determination) select Revenue Account Determination (first option)
    This will list all the condition types in the Billing document & analyze each condition & check for which G/L accounts is not determined.
    Possible errors:
    1. VKOA not maintained for required combination
    Solution: Maintain the combination in VKOA.
    2. Account Assignment of Customer / material not maintained in Customer / Material Master (If maintained in combination in VKOA).
    Solution:
    Option 1 (Standard solution):
    step 1: Cancel Billing Document --> Reverse PGI --> cancel Delivery --> Cancel Sales Order
    step 2: Maintain Customer master / Material Master correctly.
    step 3: Recreate sales Order --> Delivery --> PGI --> Invoicing.
    Option 2:
    Force the Account Assignment Group of Customer / Material through Debug in change mode of Billing document, which will release Billing Document to Accounting.
    3. Account Key not maintained in Pricing Procedure:
    Impact: This may create accounting document, but if condition type, which are to be posted to account, but do not have account key maintained in pricing procedure, it will not be post the relevant condition type to G/L account.
    From FI Side, you require to check that all the G/L account has been maintained through T.Code: FS00. G/L account being Master data has to be created in each client ot uploaded through LSMW / SCATT / BDC.
    In Billing Document in change mode (in the first screen where we enter Billing Document number), on the top most left hand corner, take a dropdown on Billing Document & select Release to accounting. Here you can get the under mentioned possible message:
    1. G/L account not found
    2. Cost Element not maintained for G/L account.
    In both the above cases, FI consultant requires to take corrective action.
    Regards,
    Rajesh Banka
    Reward suitable points.
    How to give points: Mark your thread as a question while creating it. In the answers you get, you can assign the points by clicking on the stars to the left. You also get a point yourself for rewarding (one per thread).

  • Billing document not relevant at delivery header level

    Hi,
    In one of regular scenario i got the Billing document not relevant at delivery header level in processing tab.
    can plz advice me that what's the cause for this ?
    I am using item category tan at both sales order and delivery level.
    Thanks
    Bhushan

    Hi Bhusan,
    Go to: VOV7
    Select Item Cat. as "TAN" and Double Click.
    In Tab: Business Data, Check the entry for Field: Billing Relevance.
    Entry must be "A - Delivery-related billing document"
    Another check:
    Go to: VTFL
    Select Delivery-Billing Combination.
    Go to Item (left-hand tree structure).
    Select Item cat. as "TAN".
    Here, in Field: Copying requirement, Check entry as "004 - Deliv-related item"
    Hope this may resolve the issue.
    Best Regards,
    Amit

  • Billing Document not posted to accounting

    Hello All,
    Billing Document not posted to accounting & throws error , if trying to release in VFX3:-
    Document number 1001003528 in company code 0952 in fiscal year 2010 is affected
    Message no. FF099.
    Please advice.
    Regards,
    Vikas

    Hello Vikas;
    Maybe you are trying to post FI document which does not correspond to SAP standard.  
    Check if your document has 2 line items with the same tax code AA and tax        
    condition MWS (one tax rate 0% and 30 %, for instance). It must be either different   
    tax codes and or tax conditions.   
    Hope it can help.
    Ruy Castro

  • Reasons for billing documents not being created ?

    I am trying to create a billing document from a delivery (VF01). When I enter document number and save, it says 'no billing documents genereated, see the log'. Where to see the log and what do you think could be the possible reasons for billing document not being created ?
    Thanks in advance,
    Krishen

    Hi,
    In VL02 transaction, Its the 2nd button on the toolbar With an `!` mark on the icon along with triangle. CLick that button. It will display the errors bcz of which delivery is not created.
    In VL01, goto EDIT-> LOG.
    The explanation of errors is usually pretty detailed.
    Best regards,
    Prashant

  • Billing Document  getting reversed thru VF11 but not the accounting documen

    Hi All,
    I am using this transaction VF11 to reverse the billing document and its corresponding accounting document.But only the billing document is getting reversed but not the accounting doc. For eg The message im getting is
    Document 92029379 saved (no accounting document generated)Message no. VF050
    Will definitely reward points if helpful...
    Regards,
    Sushma.

    Hi Sushma ,
    It depends Upon ur Config settings .
    Regards
    Peram

  • Billing document not cleared when processing Payment cards in Sales order

    Hi,
    I am having an issue with Payment card processing (credit card). We are using SAP R/3 4.7. When I use manual authorization, the status of billing document still shows "A" incomplete. The status shows authorization successful but not settled in billing document.The accounting document when billed shows not cleared.We are not using any interface for credit processing. The authorization check is done outside of the system manually. We are planning to use manual authorization for all such transactions. I am not sure if any specific config is to be done or am I misssing something.
    Any inputs in this regard would highly be appreciated.
    Thanks!
    Sanjay

    Hello Sanjay,
    Please also check to see if the field VBAP-ABFOR is filled for the line item (This is the Form of payment guarantee). Without this field filled the billing does not know that the item will be covered by payment cards.
    VBAP-ABGES (Guaranteed (factor between 0 and 1)) should also be filled with 1.
    I hope this helps.
    Best regards,
    Ian Kehoe

  • Reg: Billing document not released to Accounting -Error

    Hi Gurus,
    I am facing a problem in Billing.I am creating a billing document and while saving the document it shows up the error " Credit Control area 1200 not assigned to Company Code 1000".
    I have checked the enterprise structure and everything regarding Credit Control Area exists in the system.
    I am able to create the billing document and release to accounting for the same company code for different payers.
    But this error occurs unique to a particular Customer's Billing Document alone.
    Please do provide me a solution to this error.
    Regards,
    Sarosh

    Hi Ravi
    Check in the enterprise structure wheather you have assigned correct credit control area to the (sales orgn+ dist channel + division) to your sales area . or not
    Secondly check in VD02 wheather you have assigned any wrong credit control area or not
    Regards
    Srinath

  • Field FKSTA- Billing status of delivery-related billing documents not getting updated

    Hi Experts,
    I have a requirement wherein I need to fetch the FKSTA - Billing status of delivery-related billing documents into the datasource 2lis_11_VASTI. I have checked a lot of threads on this topic but have not found a concrete solution yet.
    I have checked the settings in vov7 and vov8 and everything seems to be in place. I have also checked in table VBUP, when I filter based on field FKSTA = 'C', it shows me the outbound delivery document nos. But when I use the related sales document, it shows me blank values. VBUK as well doesn't show any values for field FKSTK.
    I would like to know how and where I can identify the 'billing status of delivery- related' document.
    I can see in VBUP table that if I enter the sales document no. related to the delivery document, it does not show the correct status.  I believe that the statuses should ideally get updated to the underlying VBUK and VBUP tables. Is there any way to update and align them?
    Is there a workaround, a similar field that i can use for datasource enhancement that will give me the correct values?
    Appreciate any help I can get on this as it is urgent.
    Thanks,
    AM

    Hi,
    You are correct that stauts is updated in table VBUK and VBUP.
    However, a sales order does not determine a billing status for delivery related billing, field
    VBUP-FKSTA is only determined for delivey.
    So, it is correct behavior that VBUP-FKSTA = BLANK when searching VBUP with
    VBUP-VBELN = sales order number.
    Just because of above reason, you will not find billing status field in VA03 -> goto header/item;
    you could only find billing status field for delivery in VL03N -> status overview.
    It seems that you are trying to find out sales orders that have been fully deliveried and fully billed, am I right? As far as I know, there is no directly table/field/tcode that could meet your requirement.
    You could consider following workaround:
    firstly, get a list of deliveries that have been fully billied(search VBUP with VBUP-FKSTA = C or search VBUK with VBUK-FKSTK = C);
    Secondly, using these deliveries to search table VBFA to find out related sales orders.
    Hope this helps.
    Best regards,
    Crystal

  • Billing Document not gettting generated in Intercompany Billing Scenario

    Dear Experts,
    I am trying to create Intercompany Billing Document with Billing Type IV, but unable to create the same. I have done all the necessary config. I am getting error as Sales Organization is not defined.
    I have created normal billing document i.e. Invoice for End Customer but now i want to bill the supplying company code. So when i try to create Invoice wrt Delivery Doc., I get the above error i.e. Sales Org. not defined.
    I have also maintained ordering company code as internal customer and maintained it for Supplying Company code.
    Am I missing something plz let me know.
    Thnx in advance
    regards,
    Sagar

    Hi Abhijit,
    the customer for the internal invoice will be determined from the "delivering" sales organisation (as mentioned above). You need
    to create a customer with exactly the same address of the sales organization. Assign this customer no. to the delivering sales organisation (as mentioned above). Is your delivering plant in US? That's what I understood according to your explanation in the thread.
    Your example
    Sales organisation: 2000 Canada --> Cust.No. 5000 Canada
    Delivering plant 3000 US --> Sales organisation 3000 --> Customer 5001 US
    Customer: 6000 Canada
    Sales order
    Customer 6000
    Sales organisation for sales order: 2000 Canada
    Delivering plant: 3000 US
    Delivery & Invoice to the customer (normal procedure)
    Internal invoice
    Sales organistion 3000
    Customer 5000 Canada
    --> The System needs to have assigned the billing sales organisation for the plant in US. Did You assign
    the sales organisation? Futhermore the customer no 5000 (assigned to the sales organisation 2000) needs
    to be maintained in the sales area of 3000 for the internal billing.
    (the internal invoice is maybe complicated caused by tax requirments - internal invoicing between Canada und US)
    hopefully this helps you.
    Regards
    Reini

  • Billing document not posing (express document "update was terminated")

    Dear All,
    I am getteing error message while doing billing document  (express document "update was terminated")
    I tried billing document for 9 customers but only this error message getting 2 customers. this is the supplementary invoice(correction invoice)
    what is reason for this error, where is the problem.

    Hi,
    Thanks for response. number range assigned. because i have posted 10 customer invoices with supplementarty concept. i got error only for two customer. Invoice correction request number is generated but billing document number is not generated and it is giving error message as express document "update was teriminated" by author (only for two customers).
    So problem something else not in number range. pls suggest me on this.
    govindaraj

  • 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
    Mano

    Hi
    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

  • RMCVNEUF....billing document not updating

    The business recently made a change to the Item Categories that update LIS/SIS. They want us to load all historical documents with this Item Category to our SIS structures and DW. There was a change made to RMCVNEUF to allow for us to search all billing documents where Item Category = NLC, allowing us to use the statistical updating program to load only the historical documents wanted.
    As a test, I found on NLC document and run it thru RMCVNEUF. I have checked the Redetermine Update Group check box. I get a message back saying: Data from billing document 9000878658 was not updated
    Message no. M2210
    Diagnosis
    Data from documents used as a basis is required for the processing of billing documents.
    System Response
    The data in the billing document 9000878658 will not be updated
    System Response
    Ensure that all sales orders and delivery notes are processed before the billing documents.
    NLC item category is now configured in SPRO to be statistically relevant. Why would this not update using RMCVNEUF? Config was changed on 4/16/10 to allow for NLC to update. It seems any document created with this item category prior to that date will not be updated using RMCVNEUF? Any ideas? Not sure of a better/easier way to get only the documents we want to load to SIS and then DW.
    Thank you
    Theresa

    Note 142349 says
    Summary
    Symptom
    If in the statistical setup of the sales information system you select option 'Redetermine update group', the following error messages may occur:M2206, M2207, M2208, M2209, M2210, M2211.
    The documents specified in the messages may be displayed correctly during an update simulation.
    Additional key words
    OLI8, OLI9, RMCVNEUL, RMCVNEUF
    Cause and prerequisites
    During the redetermination of the update group in the reorganization, information from preceding documents is written to the intermediate tables MCVSRFK (document header) and MCVSRFP (document item), which are relevant for the determination of the update group of the subsequent documents.
    Solution
    To fill these intermediate tables, the reorganization of sales orders must be performed before the reorganization of deliveries or the reorganization of sales orders and deliveries must be performed before the reorganization of billing documents (in each case with option 'Redetermine update group'.
    Note
    After the successful reorganization the above-mentioned help tables should be deleted with report RMCVNEDE to avoid uneccessary data collection and the increasing loss in performance during the following reorganization runs.
    thanks
    G. Lakshmipathi

  • Billing document not getting saved

    Hi Gurus,
            I am facing a problem with th billing doument. When I try to save the Billing through VF01, it is going to the screen and showing the line items in it. And when we save, it is generating a billing document number.But it is not getting saved.And when go and see in VF02
    it is showing a message <b>Express document "Update was terminated" received from Author----
    "</b>.
    How to resolve this.PLS help me out in this.
    Thanks in Advance
    Regards
    VASU

    Hi Vasu
    Check whether number range assignment has done.  Most probably, you would not have done that.
    Incidentally, I had also faced similar problem sometime back and after lot of study, I could come to a conclusion that it is because of non assignment of number range.
    Thanks and dont forget to reward if this helps you.
    G. Lakshmipathi

  • 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,

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