BSEG Offsetting Entries

I need to create a report of bseg line items, but I have to ignore the tax line items and the offsetting entries. 
Example:
Line 1    Offset or Total                   650.00-
Line 2    Invoice amt                       600.00
Line 3    Tax amt                             50.00
For this example, I only want to report on line item 2 for 600.00.  I need to ignore the 650.00- offset and the 50.00 tax items.
The BUZID field seems to always be populated with a 'T' for the tax lines, but I don't know how to distriguish the offsetting entries so I can ignore them. 
Any ideas would be welcome!
Kind Regards,

There is the account id field
M Material
K Vendor
D Customer
A Asset
S GL
If you only want the GL postings you could use this.
However have you seen BSIS and BSAS, open and cleared docs for GL postings
BSIK & BSAK open and cleared docs for AP Postings
BSID & BSAD open and cleared docs for AR Postings
Also these tables are not as big, so the report will run quicker.

Similar Messages

  • Open item management - offsetting entry

    hi all,
    i do not understand the sentence below of the word offsetting entry.
    can have the double entry example of what does it mean by offsetting entry.
    thanks
    set up accounts with open item management if offsetting entries are to be assigned to the postings made to these accounts. postings to these accounts represent incomplete transactions.
    set up accounts without open item management if no offsetting entry is to be made against a posting to this account.

    Hi
    There are certain entries , that have offsetting entry, ie - for evry debit there is a credit and vice-versa.These accounts are maintained on open item basis.One example will make u clear
    GR/IR clearing account is an account that is maintained on Opem item basis.
    when u received the goods against PO the entry is
    Dr - Inventory account
    Cr - GR/IR clearing account
    Now this GR/IR clearing account need to be offset othetwise it will be shown in books of accounts unless and untill it is offset by a offsetting entr (here Dr entry as it is already credited)
    After doing the invoice verification the entry wud be-
    Dr - GR/IR clearing account
    Cr - Vendor account
    Now the account is offset and cleared.It will not come to the ooks of account if it is totally cleared
    Similarly bank sub accounts(clearing accounts) are also treated in same way
    If there is no offsetting entry for that, then there is no ned to maintain the account on open ietm basis
    Hope it will make u clear
    Regards
    Anup
    Points are welcome

  • Defining Accounts for Automatic Offsetting Entry

    Dear all,
    From IMG: I Access the activity using the following navigation option:
    Financial Accounting (New) ->Accounts Receivable and Accounts Payable ->Business Transactions -> Postings with Alternative Reconciliation Account -> Other Special G/L Transactions -> Define Accounts for Automatic Offsetting Entry
    I'd like to ask a question: If I can define more items in column Account type/sp.GL ind? where I can do it?
    Thank in advance
    Minhtb

    Hi
    Based on Business Transactions u can assign the Alt Gl MRecords.  Like Down Payments, Payment Requests etc.,
    Shammi
    assign points if it is helpful

  • Offsetting entry and account determination

    Hi friends,
    The question I'm putting across might sound silly. I have tried a lot to understand these on my own but I still don't feel confident on my own understanding. Hence I'm seeking your help.
    Can you please explain me the meaning of Offsetting Entry in SAP in layman language ? Could you also provide me some examples?
    It would be great if you can answer the following questions as well-
        1. What is the purpose of the T/E key PRD and why is T/E key PRD required for movement type 101.
        2. For movement type 251 and posting string WA01, the account modifier is VBR. The G/L account assigned for GBB-VBR is 50100000 for valuation class 3000. Does it mean that a GI for sales of a material of valuation class 3000 will ONLY hit 50100000 and will not hit any other G/L account?
    Thanks a lot for your help.
    Rana

    Hi Prabu and Praveen,
    Thanks a lot for your response. Let me express what I understood and please correct me if I go wrong.
    For mv.ty. 101, BSX and WRX are triggered to hit the assigned G/L accounts. Since offsetting is done to WRX for BSX, hence we don't need a GBB T/E key to make another offsetting entries.
    But for 251 movement, the inventory account is credited and the COGS account is debited. If I look at the account determination, I see that G/L 50100000 is hit by GBB-VBR. So where is the other entry? Per my understanding, there should be an entry to BSX as well for 251.
    Waiting for your response.
    Thanks!
    Rana
    Addition- I checked the account grouping for movement type 251 but I didn't see any T/E key associated with it apart from PRD. So, if GBB-VBR makes the offsetting entry to a G/L account then where is the original posting?
    Edited by: Rana Dutta on May 15, 2009 4:57 AM

  • Offsetting Entry for Inventory Posting

    Hi ,
    While Working on Automatic Postings - Offsetting Entry for Inventory Posting
    can any one explain me what are all General modification ,valuation modification entries made ?
    What are all General Valuation Class applicable for GBB Entries & give me the G / L account details where the entries will be posted
    Please give me solution on this
    Thanks & Regards,
    Pioneer

    Refer belo link this may give some idea
    http://d.yimg.com/kq/groups/54256/740187646/name/SAP_FI_MM_SD_integration_20090615.pdf

  • Special G/L Type - Free Offsetting Entries

    Hi Expect,
    I want to know about the Free offsetting Entries with Examples.
    Can you help me???

    Did you define spec. GL through OBXR (customers) or OBYR (vendors)?
    regards

  • Offsetting entry posting for 501/502 and 505/506 movement types

    Hi,
    In our configuration  the single account is defined for ‘ZOB’ account modifier group for ‘GBB’ offsetting entry transaction key for all the valuation classes. Goods movements using 501/502 or 505/506 movement types for the materi
    How can we  configur account for material consumption based on material types after defining new GL account codes.
    Regards

    Thank you for the lightning fast response and for the confirmation, Chris.
    Chris Cox wrote:
    …it's in Carbon, so Apple won't be interested in fixing it...
    …especially since it's in Tiger, three Mac OS X versions back. 
    Which leads me to a question regarding CS4 performance on a G5 Quad in Leopard vs. Tiger, which I'll post on the Photoshop forum…
    Thanks again. 

  • Automatic Generetion of Offsetting entry - Planning Functions

    Hi,
    I'm working on a project that will facilitate the users to enter planning data for the capital projects. I have a business requirement for plan transfers between individual projects.
    In my planning layout, I have Project ID, Sender/Reciever Project ID and the Net Transfer Amount. The problem with that is I need to enter this with the offsetting so that the reporting will be meaningful. 
    So, the user will have to enter the transfer like:
    Proj.          S/R Proj.         Net Transfer  
    10011           40078             15,000 USD
    40078           10011            -15,000 USD
    The above entries show that $15,000 is taken out of proj. 40078 to fund proj. 10011.
    Is there any planning function to produce the second line once the fist one is entered? Keep in mind Project ID and Sender/Receiver Project ID are two seperate info objects with the same master data table.
    I'd appreciate any help/suggestions,
    Thanks,

    Thank you all for the suggestions. Seems that it will take some coding to get what I want. Offsetting Entry function works fine but I have to input,in the parameter group, the sender-receiver relations for individual projects. It's not feasible considering that the number of projects may exceed 500. and there's no functionality that offers variables in the parameter group itself.
    The alternative solution in my mind is through copying the inital entry into a different version and then swapping the positions of Project ID and Sender/Receiver Project ID using an easy FOX formula.
    I've just posted a separate discussion thread for that and would appreciate your thoughts.
    Thanks,

  • Offseting entry to inven posting for finished product in sub  contracting

    When we post goods receipt in subcontracting inventory account is debited with finished product.What is the account name to which offsetting entry is made & how to configure this in automatic account determination.
    1) Same question was already asked and moved to T&P form.
    2) Basic question.
    3) Points will be unassigned.
    Edited by: Csaba Szommer on Apr 16, 2011 7:58 AM

    Hi,
    If Material has Price Control as "V" (MAP)
    (BSX) Stock A/c of Assembly - Dr
    (BSV) Change in Subcon Stock - Cr
    (FRL) Subcontracting Charges - Dr
    (WRX) GR/IR Clearing A/c - Cr
    (BSX) Stock A/c of Components - Cr
    (GBB-VBO) Consumption A/c of Components - Dr
    If Material has Price Control as "S" (Std. Price)
    If Material is having Price Control as "S" then Price Difference A/c will also in picture.
    This depends on configuration; SPRO > MM > Inventory Management and Physical Inventory > Goods Receipt > Price Differences for Subcontract Orders at Goods Receipt
    Price Differences for Subcontract Orders at Goods Receipt
    In this step, you configure for each valuation area whether price differences are generated for a Subcontract order at the time of a goods receipt if the manufactured material is managed at standard price and the standard price varies from the receipt value (externally performed service + value of components + delivery costs).
    Example
    Finished product: $400 (value at standard price)
    Subcontract order:
    o Ext. service : $250
    o Components : $100
    Posting schema without price differences:
    Stock account FERT : 400 +
    Stock change : 400 -
    GR/IR clearing acct : 250 -
    External service acct : 250 +
    Compon. stock account : 100 -
    Consumption account : 100 +
    Posting schema with price differences:
    Stock account FERT : 400 +
    Stock change : 350 -
    Price difference : 50 -
    GR/IR clearing acct : 250 -
    External service acct : 250 +
    Compon. stock account : 100 -
    Consumption account : 100 +
    And cost center is mandatory for subcontracting process
    the accounts for the BSX FRL and GBB-VOB needs the cost elements
    Thanks
    Diwakar

  • Offsetting Entries for Landing cost at MIGO

    Hello,
    I am doing MIGO for Import purchase order.
    But system post account document as follows,
    Material Account - Db- 110
    GR/IR Account - Cr- 100
    Purchase off account - Db - 100
    Purchase off Account - Cr - 110
    Landing Cost - Cr - 10
    Landing Cost - Db- 10
    We have purchase account active for company code accordly first four entris are correct, But I dont want offsetting entries to be generate for landing cost
    Thank you.

    Hi,
       Go to M/06 and maintain the accruel flag for the landing cost condition type. Also, ensure that the condition category is B (Delivery Cost)
       Maintain the accruel key in the pricing procedure in M/08: No need to maintain account key..Maintain accruel key only
       Now, create a new PO and post the GR and check the accounting entries.
    Regards,
    AKPT

  • OBYC : Offsetting entry for stock posting (GBB) , VAX/ VAY

    Dear Sapients,
    Could you please tell me the difference of the account grouping VAX and VAY for GBB(Offsetting entry for stock posting)
    SAP helps says:
    VAX: for goods issues for sales orders without
    account assignment object (the account is not a cost element)
    VAY:for goods issues for sales orders with
    account assignment object (account is a cost element)
    But truly i still did not understand, could you pls explaing.
    In my current scenario system asked me to maintain an entry for VAY, when we are trying to reverse a delivery(inter company) created for PO.
    Thanks and Regards
    Ravi

    Dear Ravikanth
    Account grouping code <b>VAX</b> is relevant when the sales order item does <b>not</b> carry costs and revenues. If the sales order item carries costs and revenues, account grouping code <b>VAY</b> is used.
    Thanks
    G. Lakshmipathi

  • Accounts for Automatic Offsetting Entry

    Dear all,
    I don't know the purpose of Accounts for Automatic Offsetting Entry.
    Please give me a detail example. Anh tell me how to configure and choose transaction to this bussiness
    step by step
    Thank in advance
    Minhtb

    Hello
    Certain G/L items are created automatically. This reduces the manual entries required.
    During clearing, items for cash discount, payment differences, revenues from charges, exchange rates differences, and any necessary tax adjustments are amended automatically
    With all business transactions containing cross-company code documents, offsetting entries representing receivables and payables between the company codes involved are amended automatically.
    When posting down payments, you may have to post the tax from a general ledger viewpoint. No special line items for tax and tax clearing are generated for this in Contract Accounts Receivable and Payable. Only the tax code, tax amount, and account numbers for the tax account and tax clearing account are noted in the open item for the down payment. This information is sufficient for updating the general ledger.
    The accounts to be posted to must be defined in Customizing for the line items to be created automatically IMG structure for Contract Accounts Receivable and Payable ® Basic Functions ® Postings and Documents ® Document ® Define Account Assignments for Automatic Postings
    Reg
    assign points if useful

  • Define Accounts for Automatic Offsetting Entry

    Dear sir,
    Now, I have to define Accounts for Automatic Offsetting Entry,
    but I dont know what is it? Can you tell me its function and give me some examples and its account numbers.
    Thank you very much.
    Faithfully,
    Hangvt

    Hi,
    You can do the configuration for "Off set entry in t.code"OBYC" integration between MM and FI, Transaction key is "GBB".
    If you double click on GBB thenyou need to give chart of accounts and then you need to assign GL accounts based on Valuation Class for Material.
    Here you are settong off the debit to every credit and credit to every debit transaction like open items such as GR/IR a/c.
    Hope understood and reward me if you are cleared.
    Thanks,
    Vasu..

  • Offsetting entry for stock posting (GBB)

    Hi
    I want to know the practical application( where this comes) of posting entry for 'Offsetting entry for stock posting (GBB)' It will be appreciable if explained with example
    regards
    B Shar

    Following are the possible scenarios;
    o   Offsetting entry for stock posting (GBB)
        Offsetting entries for stock postings are used in Inventory
        Management. They are dependent on the account grouping to which each
        movement type is assigned. The following account groupings are
        defined in the standard system:
        -   AUA:     for order settlement
        -   AUF:     for goods receipts for orders (without account
            assignment)
                 and for order settlement if AUA is not maintained
        -   AUI:     Subsequent adjustment of actual price from cost center
            directly
                 to material (with account assignment)
        -   BSA:     for initial entry of stock balances
        -   INV:     for expenditure/income from inventory differences
        -   VAX:     for goods issues for sales orders without
                 account assignment object (the account is not a cost
            element)
        -   VAY:     for goods issues for sales orders with
                 account assignment object (account is a cost element)
        -   VBO:     for consumption from stock of material provided to
            vendor
        -   VBR:     for internal goods issues (for example, for cost
            center)
        -   VKA:     for sales order account assignment
                 (for example, for individual purchase order)
    -   VKP:     for project account assignment (for example, for
        individual PO)
    -   VNG:     for scrapping/destruction
    -   VQP:     for sample withdrawals without account assignment
    -   VQY:     for sample withdrawals with account assignment
    -   ZOB:     for goods receipts without purchase orders (mvt type
        501)
    -   ZOF:     for goods receipts without production orders
             (mvt types 521 and 531)

  • Offsetting entry

    hi all,
    can you plz clarify my doubt in my project after asset aquisation a customised transaction will be run and this will do a posting through bdc as account X cr and Ydr i have to know the offsetting entry for X how can i?

    Hi Seshu
    Best way to know this is to check your own system!
    otherwise please be more specific so that we can help you
    Asha

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