Billing problem in depot sales

Hi,
    We was into the depot sales project.We have done till excise duty.
That means,first we are created a sales order and then outbound delivery for that.So based on the outbound delivery number normally we do billing.
But here after outbound delivery we are in to assigning excise duty tothe delivery.In j1ij we have given and done all the things its working fine by FIFO method.It will first show the first procurement.We will select and this process got over.RG23D table is filled up with the values.
But after this i gone for doing billing in VF01.But when i give the delivery number,it shows the condition typea and values but it didnt show any thing about excise duty which we are giving,So can anyone plz help me in this issue.
Whether any configuration we want to do,or any thing we want to do internally.

Hello Mahesh,
  Please note the depot invoice is created after creating depot excise invoice in J1IJ. System will copy
the excise values to invoice (billing) based on the routine 356 assigned to all your excise condition types.
Also please note that Depot pricing procedure should not be classified under classify condition under
CIN customizing.
Depot sale process:
Sales Order
Delivery
Depot Excise Invoice
Billing.
Best Regards
Muralidhar

Similar Messages

  • Billing problem for cash sales document

    Hi all ,
    Greetings
    we are customizing for cash sales. Required Three configuration setting are done for sales document i.e
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    2. Lead Time 0
    3. Immediate delivery must be switch on
    and order and delivery is done at the same time while creating the order. But while creating the billing for that order through vf01(billing type BV),  We are getting an error "DOCUMENT DOES NOT CONTAINS ANY ITEM WITH OPEN QUANTITIES".
    For the order, Output Type is RD03
    can any one help on this?
    Regards,
    Pramod

    Hello Pramod,
    In the copy controls from order to billing VTFA - check for the item category BVN - the billing quantity should be marked sa "A".
    Also check in the VOV7 for item category BVN - the illing relevance should be "B".
    Let me know if it works.
    Thanks
    Shobhit

  • Problem in billing(Depot Sales)

    Hi,
        We was into the depot sales project.We have done till excise duty.
    That means,first we are created a sales order and then outbound delivery for that.So based on the outbound delivery number normally we do billing.
    But here after outbound delivery we are in to assigning excise duty tothe delivery.In j1ij we have given and done all the things its working fine by FIFO method.It will first show the first procurement.We will select and this process got over.RG23D table is filled up with the values.
    But after this i gone for doing billing in VF01.But when i give the delivery number,it shows the condition typea and values but it didnt show any thing about excise duty which we are giving,So can anyone plz help me in this issue.
    Whether any configuration we want to do,or any thing we want to do internally.

    Hi
    Mahesh
    Please chk in the sales order pricing whether excise duty and other duty components are flowing or not?
    Check u have maitain UTXJ with corrrect tax code or not?
    Have u made necessary CIN setting in J1ID for that materail, palnt and excise duty rate or not?
    Thx.

  • Depot sales excise to billing problem

    Hi,
    We was into the depot sales project.We have done till excise duty.
    That means,first we are created a sales order and then outbound delivery for that.So based on the outbound delivery number normally we do billing.
    But here after outbound delivery we are in to assigning excise duty tothe delivery.In j1ij we have given and done all the things its working fine by FIFO method.It will first show the first procurement.We will select and this process got over.RG23D table is filled up with the values.
    But after this i gone for doing billing in VF01.But when i give the delivery number,it shows the condition typea and values but it didnt show any thing about excise duty which we are giving,So can anyone plz help me in this issue.
    Whether any configuration we want to do,or any thing we want to do internally.
    Routine 356, which transfer this from j1ij to billing is not happening, Since it is direct procurement of traded items , excise duties need to be passed on to customer directly, Here I hope there is no point of calcualting the excise duty, Since the excise duty would have inventorised.
    UTXJ condition record are maintained.

    Hi Mahesh,
                       First check the J1ID and check the pricing procedure and condition records.To reduce the master data we will use UTXJ condition.
    Regards
    RV

  • Values of excise invoice in to the sales Document/Billing document in depot

    Hi all,
    I have configured Depot sales (For Imports) successfully; I have created sales order (VA01), Delivery Document and PGI (VL01N), Excise invoice for delivery at depot (J1IJ) and Billing Document. But BED, SED, AED and CESS values are not coping in to billing document (I have not yet maintained UTXJ condition record so far) Is it necessary to maintain UTXJ condition record.
    Please Can any one explain me in detail from where exactly BED, SED, AED and CESS values will be copied into the Billing document I mean, values will be picked from Condition record(UTXJ) or Excise invoice(J1IJ) which is created with reference to source document(J1IG).
    Thanks and regards
      Swamy HP

    Hi swamy
    If u want a differenciate pricing for two different customer.. Thatmeans when u create normal invoice for normal customer it should pick up normal pricing procedure.
    If u are raising Cin invoice to customer then it should pick up Cin Pricing Procedure.
    For this  u have to create two pricing procedures
    one for normal
    one for Cin
    and u have to create two different Customer Pricing procedure and Document Pricing Procedures.
    U have to create two order types and delivery and billing types
    IF u done all these then u will make differenciate between customers.
    Because v have created this process
    Any quries revert back to me.
    Regards
    Srinivas.

  • Problem in J1iG (Depot Sale)

    Dear Friends,
    In Depot sales, after creating P.O for 50 qty , we raised MIGO for 25 qty. Then J1IG is created with ref to material doc no.-MIGO, here it is picking the toatl base value amount from P.O not from MIGO. Due to this the entire calculation is going wrong.

    Hi Krishna
    Please ensure you have customized:
    ---> Stock transport processing, in Customizing for Materials Management (MM), by choosing Purchasing -> Purchase Order -> Set Up Stock Transport Order
    ---> The copying control for copying stock transport order NL to excise invoice JEX
    ---> Make this setting in Customizing for Logistics – General, by choosing Taxes on Goods Movements -> India -> Business Transactions -> Outgoing Excise Invoices -> Assign Billing Types to Delivery Types.
    The item category NLN (standard transport order) so that it is relevant for billing
    You do this in Customizing for Sales and Distribution (SD), by choosing Sales ® Sales Documents ® Sales Document Item.
    Also check the links
    http://help.sap.com/saphelp_47x200/helpdata/en/95/3ca425110511d4b5ae006094b9ec21/frameset.htm
    Thanks
    G. Lakshmipathi

  • Price for excise invoice in depot sale

    Hi Friends
    Actually i am doing stock transfer order from manufaturing plant to depot plant. we know that generally pricing wont be applied in stock transport order, so from where pricing triggers in the billing & excise invoice in depot sale.
    Please advice and reply as soon as possible.
    Thanks in advance.

    Dear,
    in pricing procedure determination select sales area through which u r doing STO, Document pricing prosedure as  I and customer pricing procedure as 1 assign your pricing procedure ande pricing condition.
    Make sure that In VOFA for Billing type IV document pricing procedure should be I.
    create conditon record.
    At the time of Billing for STO choose billing type as IV system will aumatically copy all the value in billing.
    Hope it will solve your problem
    thanks,
    Rahul

  • Rajesh/Sadhu= Pricing Proc. Difference between Factory and Depot Sales ?

    Hi,
      What is the diff. between the Pricing Proc of Factory and Depot Sales ?
      CIN Version.
    Regrds,
    Binayak
    Message was edited by:
            Binayak Ghosh

    Hi,
    We was into the depot sales project.We have done till excise duty.
    That means,first we are created a sales order and then outbound delivery for that.So based on the outbound delivery number normally we do billing.
    But here after outbound delivery we are in to assigning excise duty tothe delivery.In j1ij we have given and done all the things its working fine by FIFO method.It will first show the first procurement.We will select and this process got over.RG23D table is filled up with the values.
    But after this i gone for doing billing in VF01.But when i give the delivery number,it shows the condition typea and values but it didnt show any thing about excise duty which we are giving,So can anyone plz help me in this issue.
    Whether any configuration we want to do,or any thing we want to do internally.
    Routine 356, which transfer this from j1ij to billing is not happening, Since it is direct procurement of traded items , excise duties need to be passed on to customer directly, Here I hope there is no point of calcualting the excise duty, Since the excise duty would have inventorised.
    UTXJ condition record are maintained.

  • Depot Sales - Goods issue not done for the delivery

    Hello Experts,
    I am trying to capture a Excise Invoice in the Depot Sales Process TCode - J1IJ.
    I am getting the follwoing message - GI not done for the Delivery.
    Process which we are following here is
    Depot
    SO - Delivery - Picking - Packing - J1IJ - Shipment creation - Shipment Planning - Loading Start - Shipment Start (Will do PGI) - Shipment end (Will create invoice & Excise Invoice).
    Excise invoice is captured during MIGO at Depot.
    Can you please suggest..
    Thanks & regards
    Mahesh

    Hi mahesh
    Change the process to following manner
    Depot
    SO - Delivery - Picking - Packing - Shipment creation - Shipment Planning - Loading Start - Shipment Start (Will do PGI) - Shipment end -J1IJ(Will create invoice & Excise Invoice).
    u r problem will be solved.
    Regards
    kedasu.a

  • Depot sales

    Hi All,
       Please provide me the solution on the following.
    Use of routine 356 in depot sales pricing procedure
    (ii) Steps involved in depot sales (right from the STO i.e. plant to depot & from depot to cust)
    (iii) Excise transaction type for scrap sales
    (iv) Where do we define ETTs
    (v) Scrap sales excise invoice is created through which t.code
    (vi) In system landscape client 800 called as
    (vii) Use of different payment terms at company code data & sales area data in XD01
    (VIII) MTO & MTS for single material code is configured. At VA01 system not considering un-restricted stock and while doing MRP Run requirements are get generated for sales order total quantity
    Regards
    Chowdary

    hi
    i sto process: vao1-vl01n-vf01-j1iin it foe sd process ofter mm people doing migo- j1ig ,  it means when u create the migo document stock can transfer to depo plant and storage location . ofter j1ig can capture. its for closing the sto
    foter depo sales: va01-vl01n-j1ij-vf01.
    it si for depo process .
    i n sto can use deferent  process so based on your requirment .
    in use of 356 ; routine
      INCLUDE FV64A356                                                   *
    data: begin of t_rg23d occurs 0.
            include structure j_1irg23d.
    data: end of t_rg23d.
    APPL COUNTRY SPECIFIC
    form frm_kondi_wert_356.
    For depot sale : picks the excise value from RG23D
    This formula when in the billing or proforma document, picks up the
    excise value posted for the delivery if the excise has been posted.
    In case the excise is not posted, then it continues with the excise
    value calculated in the system . It shows the calculated value in
    the sales order also
      TABLES : J_1IRG23D.
      DATA : tline type i,
             ZKOMV LIKE KOMV,
             LAND1 LIKE T001-LAND1,
             KALSM LIKE T005-KALSM.
      DATA : result type f.
      DATA : zvbrp like vbrp .
      if komk-vbtyp = 'M' or komk-vbtyp = 'U'.
        billing document or proforma document
        read table t_rg23d with key vbeln = komp-vgbel
                                    posnr = komp-vgpos.
        if sy-subrc ne 0.
           refresh t_rg23d.
        endif.
        describe table t_rg23d lines tline.
        if tline eq 0.
        select * from j_1irg23d into table t_rg23d
            where vbeln  = komp-vgbel
            and   posnr  = komp-vgpos
            and   status <> 'B'.
        if sy-subrc ne 0.
           exit.
        endif.
        endif.
        if j_1iexcdef-j_1itaxcal is initial.
    get customisation parameters
          select single land1 from t001 into land1
               where bukrs = komk-bukrs.
         select single kalsm from t005 into kalsm
               where land1 = land1.
          select single * from j_1iexcdef
                 where j_1itaxcal = kalsm.
        endif.
    get the condition names
          clear xkwert.
    get the excise value
          loop at t_rg23d.
            case xkomv-kschl.
              when j_1iexcdef-j_1icbedar.
                xkwert = t_rg23d-exbed + xkwert.
              when j_1iexcdef-j_1icsedar.
                xkwert = t_rg23d-exsed + xkwert.
              when j_1iexcdef-j_1icaedar.
                xkwert = t_rg23d-exaed + xkwert.
    *NCCD changes start
              WHEN J_1IEXCDEF-J_1ICNCCDAR.
                XKWERT = T_RG23D-NCCD + XKWERT.
    *NCCD changes end
    *ECS changes start
              WHEN J_1IEXCDEF-J_1ICECSAR.
                XKWERT = T_RG23D-ECS + XKWERT.
    *ECS changes end
              WHEN J_1IEXCDEF-J_1ICCESAR.
                xkwert = t_rg23d-cess + xkwert.
            endcase.
          endloop.
          exit.
      elseif  komk-vbtyp = ' '.
    saving the document, get the value from the internal table XKOMV
        read table xkomv into zkomv
           with key kschl = xkomv-kschl.
        xkwert = zkomv-kwert.
       elseif komk-vbtyp = 'H'.
        billing document or proforma document
        read table t_rg23d with key vbeln = komp-vgbel
                                    posnr = komp-vgpos.
        if sy-subrc ne 0.
          refresh t_rg23d.
        endif.
        describe table t_rg23d lines tline.
        if tline eq 0.
          select single * from vbrp into zvbrp where vbeln = komp-vgbel and
          posnr = komp-vgpos .
          if sy-subrc ne 0.
            exit.
          endif.
          select * from j_1irg23d into table t_rg23d
            where vbeln  = zvbrp-vgbel
            AND   POSNR  = KOMP-VGPOS
            and   status <> 'B'.
          if sy-subrc ne 0.
            exit.
          endif.
        endif.
        if j_1iexcdef-j_1itaxcal is initial.
    get customisation parameters
          select single land1 from t001 into land1
               where bukrs = komk-bukrs.
          select single kalsm from t005 into kalsm
                where land1 = land1.
          select single * from j_1iexcdef
                 where j_1itaxcal = kalsm.
        endif.
    get the condition names
        clear xkwert.
    get the excise value
        loop at t_rg23d.
          case xkomv-kschl.
            when j_1iexcdef-j_1icbedar.
              result = t_rg23d-exbed / T_rg23d-MENGE .
              xkwert = result * komp-mglme .
            when j_1iexcdef-j_1icsedar.
              result = t_rg23d-exsed / T_rg23d-MENGE .
              xkwert = result * komp-mglme .
            when j_1iexcdef-j_1icaedar.
              result = t_rg23d-exaed / T_rg23d-MENGE .
              xkwert = result * komp-mglme .
    *NCCD changes start
            WHEN J_1IEXCDEF-J_1ICNCCDAR.
              result = t_rg23d-NCCD / T_rg23d-MENGE .
              xkwert = result * komp-mglme .
    *NCCD changes end
    *ECS changes start
            WHEN J_1IEXCDEF-J_1ICECSAR.
              result = t_rg23d-ECS / T_rg23d-MENGE .
              xkwert = result * komp-mglme .
    *ECS changes end
            WHEN J_1IEXCDEF-J_1ICCESAR.
              result = t_rg23d-cess / T_rg23d-MENGE .
              xkwert = result * komp-mglme .
          endcase.
        endloop.
        exit.
        else.
    document other than the billing or the proforma
          exit.
        endif.
    endform.
    this for standerd routine at vofm
    5) __scrap scales excise invoice t.code j1iin__
    6) payment terms use based on customer ,  u can differentiate to the customer . it whole sale customers , retail customer s.
    7) in mto  u can maintain the  requirement type kek- so it means it is for special stock ,
    so material u can define with mrp views, u can maintain the schedule line  CP,
    This is mto, scenario,
    on MTS scenario  u can maintain  deferent requirement type ,
      U  CHECK THE setting in availabulity cheek
    8)With in CIN the account  determination is based on the transaction type. So normally you can have a single set of accounts for Excise utilization. In case you need alternate account determination for handling various scenarios you can define sub transaction types.  The sub transaction types and corresponding account assignments needs to be maintained in CIN customization
    Edited by: bojjasivasankarreddy on Dec 15, 2011 7:08 AM

  • Billing problem - who do you call to get results? No luck so far in 4 months

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        kphone123, you've reached the right place for assistance. Edging up requires that you trade in your old device. Once you return that device and its confirmed that it's in good condition, the equipment charge will be credited back to you.
    For more details regarding how Edge works, click here: http://vz.to/1mYDhk7
    LasinaH_VZW
    Follow us on Twitter @VZWSupport

  • Depot Sales-Excise values are not flowing from J1iJ to VF01

    Hi Gurus,
    In Depot Sales: while doing excise invoive from T-code J1iJ Go to delivery -RG23D selection select the delivery number XXXXX Excise Group 51 and series Group: 50 ENTER - select the line item and click on F6 and here we have to click on excise invoice Button for capturing the Input excise duties for taking the reference. And the excise values are shown here correctly.
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    What are the checks to be ensured to Get the values flow from J1IJ to VF01.
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    Hi!
    Am sure you would have captured the Excise at Depot with J1IG.
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  • Problem on archieving sales documents

    Hi Experts,
    I found a problem when archieving sales docs. (Object: SD_VBAK). Error was "Subsequent order (delivery) is not complete:00080xxxxx".
    Compared with the DNs of successful sales docs. & failure sales docs., found that the field "Intercompany Billing Status" under "Processing" tab of DN item was "A - Not yet processed" for the DNs of failure sales docs. while it was blank (Not Relevant) for the DNs of successful sales docs. Also, in Document Flow, the status for DNs of failure sales docs. was "Being processed" while the status for DNs of successful sales docs. was "Completed". However, those DNs of failure sales docs. were already fully picked, GI completed & fully invoiced.
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    Many Thanks,
    KH Fong

    Dear Fong,
         Our problem is to Archive the data, which we cannot do without completing to  processing cycle. What I would do is sit with Functional or BU showing them status "Not yet Processed". Ask them suggestion to complete the cycle to finish the archiving.
         They are best informed people about status. I feel no other would help.
    Thanks,
    Kolusu 

  • Stock Transfer Process for CIN Depot Sales

    Hi,
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    Thanx and Regards,
    Binayak

    Hi,
    In Addition to the above Reply,
    <b>Stock transfer invoice:-</b>
    Stock transfer PO-->ME27
    DELIVERY-->VL04
    PICKING PACKING GOODS ISSUE -->VL02N
    BILLING-->VF01
    EXCISE INVOICE --> J1IIN
    GOODS RECEIPT-->MIGO
    INCOMING EXCISE INVOICE--> J1IG
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    Santosh.
    <i><b>P.S. Mark All usefull Answers...</b></i>

  • Country India Version - Depot Sales - Certificate A

    Dear All
    We have following scenario in depot sales.
    Material is cleared at price Rs. 100 from the manufacturing plant. It is sold to end customer from depot at Rs. 150.
    We have to perform 2 steps from here.
    1. We have to pay differential excise on Rs. 50 to Government.
    2. We have to capture certificate A in depot RG23D & issue the same to end customer.
    We do not have any problem in point 2. We have a question in point 1.
    We have tried paying differential excise to Government with the following approaches.
    A. J1IS has part 2 effect & results in following accounting entries. (J1IS excise document can be printed.)
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    B. J1IH (other adjustments) also has part 2 effect & results in following account entries. (J1IH excise document can not be printed)
    Debit MODVAT clearing account & Credit Excise duty, Ecess & HSEcess on purchase account.
    C. Our FI team had requested us to check the possibility of simulating accounting entries of DLFC in here.
    We made it possible using "subtransaction type" in J1IS. But this results in one anomaly -> GL account for Excise duty, Ecess & HSEcess on sales are populated in accounting document, but t J1IS transaction populates part2 entries. (During DLFC transaction, RG1 is to be updated & not RG23.)
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    Regards
    Nikhil

    Dear All
    We have following scenario in depot sales.
    Material is cleared at price Rs. 100 from the manufacturing plant. It is sold to end customer from depot at Rs. 150.
    We have to perform 2 steps from here.
    1. We have to pay differential excise on Rs. 50 to Government.
    2. We have to capture certificate A in depot RG23D & issue the same to end customer.
    We do not have any problem in point 2. We have a question in point 1.
    We have tried paying differential excise to Government with the following approaches.
    A. J1IS has part 2 effect & results in following accounting entries. (J1IS excise document can be printed.)
    Debit CENVAT suspense account & Credit Excise duty, Ecess & HSEcess on purchase account.
    B. J1IH (other adjustments) also has part 2 effect & results in following account entries. (J1IH excise document can not be printed)
    Debit MODVAT clearing account & Credit Excise duty, Ecess & HSEcess on purchase account.
    C. Our FI team had requested us to check the possibility of simulating accounting entries of DLFC in here.
    We made it possible using "subtransaction type" in J1IS. But this results in one anomaly -> GL account for Excise duty, Ecess & HSEcess on sales are populated in accounting document, but t J1IS transaction populates part2 entries. (During DLFC transaction, RG1 is to be updated & not RG23.)
    Which of the above 3 is the most appropriate way of functioning? (In our opinion we have to chose between point 1 & point 2. Point 3 can not be considered because of the anomalies mentioned.)
    Regards
    Nikhil

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