Billing documents not exist in SAP
Dear All,
User gets billing numbers in SAP, they do not exist afterwards.
what could be the reason. pls help.
TIA
kogi
looks like they are not getting committed to the database..problem is caused by update terminations in the billing document creation ...there could be multiple reasons why this happens...
could be because of number range, currency,etc.,
but to figure this out starting point can be to look at the update terminations..they are displayed in transaction SM13.
Similar Messages
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Billing document not existing in SAP
Hi,
As per my understanding, number ranges are assigned internally by the system for the billing document. Then how is it possible to miss one number inbetween.
EG: i have a billing document with number 12,14,15, what happened to billing document number 13. Please clarify under waht all sitaution a number is misssed though the number rangea are perfectly set.
This is a high priority issue for us. request your help.Hello Prithika,
There are a number of reasons why gaps in invoice numbers may occur:
1. Object RV_BELEG is buffered. In this case the performace is improved
but this gaps are produced.
2. Update terminate/shortdump occures while billing document update.
- the number is set in to the invoice at the beggining of the program
If an interruption of the process happens after the assignation of
this number, the number has run in the range and cannot be recovered.
Update terminations in transaction VF01 and VF04. The billing
document number is reserved prior to the update. After a possible
update termination, it cannot be used again. Update terminations are
displayed in transaction SM13. At present, there is no possible
solution.
3. Incorrect userexit, eg.in Program RV60AFZZ, USEREXIT_NUMBER_RANGE.
Please check the following notes in order to solve this incidence:
175047 Causes for FI document number gaps (RF_BELEG)
19050 Gaps in document number sequence for billing docmt
23835 Buffering RV_BELEG / Number assignment in SD
As you might need to answer to the auditor on the gap of the invoices,
report RFBNUM00 from note 175047 will help you to display
document number gaps to the auditor if in your country the FI document
numbers must be assigned continuously. You use this report to document
the number gaps and the auditor will accept it.
We know that in different countries you have to explain document gaps
to Legal Authorities. For this reason there is report RFVBER00 to
document gaps occured due to an update termination.
As I already stated above report RFVBER00 does only list update
terminations that are not older than 50 days (or according to what time
is maintained in your system). So it could be that this log has already
been cleaned up. It is necessary that these update terminations are
documented before the 50 days expire.
Or a second possibility is that the gaps occured NOT due to an update
termination. Gaps without update terminations be (easily) explained.
They can be (only) detected via report RFBNUM00. Report RFBNUM00 display
these document number gaps for the number range object RF_BELEG.
Thanks,
Alex -
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
SwamyHi 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. -
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,
VikasHello 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 -
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
BhushanHi 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 -
i have created my web-dynpro application in development. and sent to quality . whenever i will execute my dynpro in quality i got one message
ERROR: ICF service node "/sap/bc/webdynpro/sap/zqm_cto_arr_general1" does not exist (see SAP Note 1109215) (termination: ERROR_MESSAGE_STATE)
whenever i saw sicf transaction my web-dynpro is not seen . my dynpro application name is more then 15 character. what i will do . please give me valuable suggestion.....Hi Ashok,
for your requirement the application is not exist in particular place. It means, the webdynpro application is saved at different package or different location.
Please change the webdynpro component name and save it in particular request in package, then transport it to quality ..(development server )
then go to SICF t.code .. sap->bc->webdynpro->sap->find out your application and activate the service of your webdynpro application.
Now test it ... this solution might helpful to you .
Regards,
Naveen M -
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 givenTo 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). -
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,
KrishenHi,
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 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!
SanjayHello 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,
SaroshHi 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 -
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 not getting created.
Hello SAP gurus,
I have a situation where billing document is not getting genrated. Its a delivery related billing and i have checked following.
Sales order is complete
Delivery is complete
No billing blocks at header or item level
GI is also done.
However when i see in delivery go to --> item --> processing tab and see at item status against billing document it shows blank(niot relevant for billing ) which i believe is not correct , it should either be A(not yet processed) , B(partially processed) or C(Fully processed) as the case may be.
Also same staus under delivery ->goto -> header-> processing in overall status section.
Want to know how these status are updatd from. Are there any standard programmes which can update these statuses.
Or can anyone suggest anything else which i can check.
Thanks in advance.
VivekHi,
The Status in the table is updated by some settings
1. Check in the VOV8 whether the Billing document maintained or not in the field DELIVERY-RELATED Billing
2. If the document is maintained then check whether the COPY CONTROLS maintained or not from DELIVERY TO BILLING in VTFL
3. As also suggested check the Billing Relevance field in the VOV7 for your ITEM CATEGORY.
Mainly the issue is due to not maintaining the COPY CONTROLS from Delivery to Billing
you can get more details information on this issue when you try to create the Billing manually from the Delivery document in VF01.
It will give the Error Log
Pleaes check and revert back if any of the above are not apt
regards,
santosh -
Incoming payments(card payment) in biller direct not updating in SAP.
Hi Friends,
we are using the FSCM Biller direct for customer incoming payment. we have maintained the payment method (incoming) and credit card number in customer master.
every think is displaying in biller direct like open items and clear items. But we received a payment from customer through credit card and its updating in portal, but its not updating SAP. it's in inactive mode when i am trying to clear the open items. giving the message that this amount is already done in biller direct.
so please suggest me how the open items are cleared when the payment are received through biller direct.
thanks in advace.
Regards
Ram
<MOVED BY MODERATOR TO THE CORRECT FORUM>
Edited by: Alvaro Tejada Galindo on Mar 25, 2009 4:36 PMHi
thank for your reply. I have not posted in SAP. customer has paid the payment in Portal and i have selected the payment for the line item. Now that line item is coming in progress condition (not in processed).
in SAP that line item is not active. If i will select the line item system will give the message that is line item is processed in biller direct.
please tell me the process of biller direct payments in SAP and then only in portal the payment line item will be go to the process item (now its in in process condition). is their any upload for the payment document in SAP.
please suggess me Standard payment process through Biller direct. then i will compare the present senarious.
thanks in advance.
regards
Ram -
Billing Document not released to Accounting -Issue
Hi,
While releasing the billing document,it is not releasing to accounting and giving the below error log.
Thanks
SupriyaDiagnosis
When condition "ZSCM" (application "V") was transferred to the value field "VV139" in operating concern "AFCO" in Profitability Analysis, the following became apparent:
u2022 The condition can take both positive and negative values
u2022 The flag "Transfer values with +/- signs" has not be set in Customizing for value field assignment.
Inconsistencies in the data could occur as a consequence.
System Response
It is not possible to post the document in Profitability Analysis.
Procedure
Set the flag "Transfer values with +/- signs" for the condition "ZSCM".
You should set the flag "Transfer values with +/- signs" selectively for individual conditions if:
1. The conditions can take both negative and positive values (for example, in the case of conditions that describe a transfer price surcharge or a loss deduction).
2. The conditions appear several times in a billing document and thus cause a debit posting as well as a
credit posting (this is the case, for example, when creating or cancelling reserves).
By activating the flag "Transfer values with +/- signs", you balance the positive and negative values in a
condition. You can thereby guarantee that the sum of the negative and positive condition values is displayed as the correct total value in the value field assigned to the condition.
Caution when in the production system!
If you have already used condition "ZSCM" to post data in the production system, then the sign in
Profitability Analysis may differ from the previous sign as a result of the flag "Transfer values with +/-
signs" having been activated. See the F1 Help documentation on the field "Transfer values with +/-
signs" or the OSS note 52849. If deviating signs occur, it makes sense to move condition "ZSCM" to a new value field! Contact your system adviser or SAP.
The +/- signs are handled as follows for the flag "Transfer values with +/- signs":
Billing document (normal) "trans.with signs" "trans.w/o signs"
Debit posting negative positive (such as sales deductions)
Credit posting positive positive (such as revenues)
Credit memos/returns "trans.with signs" "trans.w/o signs"
Debit posting negative negative (such as revenues)
Credit posting positive negative (such as sales deductions)
Maintain Condition Assignment to Value Fields u2013 SD Condition
Maintain Condition Assignment to Value Fields u2013 MM condition
Procedure for System Administration
Thanks
Supriya -
Hi everyone,
When I am creating the billing document,I am not able to create billing document and getting the following error.
"Error info... 8I 308: Error updating table J_1IEXCHDR"Dear Prabudh,
It appears that system is not able to update Excise invoice header detail.
Check if the data already exists in the table for the combination of Excise Transaction Type, Year, Internal Excise Document Number.
Also, check your entries for Excise Transaction Type, Year, Internal Excise Document Number.
Regards,
Naveen.
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