Business area in migo and miro

hi,
i activated business area financial statement in ob65.and i make gl field status and posting key field status business area is optional.and i assigned business area to plant in OMJ7.
while doing migo and miro business area is not taking for gl a/c.
is there any further settings required for this .please give me the solution to resolve this issue.

Hi
Encountering the same issue ...any suggestions pls
Have activated BAFS in OB65 and assigned Plant Division combn to Business area in enterprise structure. But still business area is not getting defaulted in MM and excise utilization transactions
Thanks and Regards

Similar Messages

  • Non Cenvatable material - Value not matching in MIGO and MIRO

    Dear SAP experts!
    We have the following problem.
    We are using TAXINN.
    We create a Purchase Order for a raw material, which is non cenvatable for a particular vendor.
    When we carry out Goods Receipt, we change the Material type from Raw Material to Non Cenvatable in the Material Type in the Excise Item Tab and post the BED and AED values, the values are getting inventorized correctly.
    And MIRO posting is also happening correctly. Both, MIGO and MIRO values are tallying. i.e, The total value is sum of Basic PriceBEDAED+CST.
    But, if we change any of the BED or AED value at the time of posting GR in the excise Invoice tab, then we are facing problem.
    Value during MIGO posting is correct. That is the total value is sum of Basic PriceBEDAED+CST.
    But, During MIRO posting, the value of BED and AED is not getting picked.
    The value during MIRO shows only Basic Price+CST and not BED amount and AED amount.
    Can any one tell me, where it is going wrong.
    Your response is highly appreciated.
    Thanks and Regards,
    Muthuraman.K

    you have to used non deductable condition type in Taxinn to post tax to inventory
    that is
    JMIP IN: BED inventory % say 8%
    JAIP IN AED inventory % Say 4 %
    JMX2     IN: A/P BED inventor  100 %
    JAX2     IN: A/P AED inventor  100%
    and the above condition should be assigned to proper Classify Condition Types
    TAXINN     JMIP     BEDINVENTP BED Inventory Percentage
    TAXINN     JAIP     AEDINVENTP AED Inventory Percentage
    TAXINN     JMX2     BEDINVENTT BED Inventory Total
    TAXINN     JAX2     AEDINVENTT AED Inventory Total
    And also u will have to assign condition type JMX2 and JAX2 in Maintain Excise Defaults
    this will solve your issue

  • Why req MIGO and MIRO in third party scenario

    Hello All,
    In third party scenario why we req to do MIGO in ref to PO.
    In 3rd party we create sales order with item cat TAS.
    We got the PR
    with ref to PR we create PO.
    then we do MIGO  and MIRO
    also If vendor is delivering the goods why we do the Delivery and PGI and then Invoice
    Why not Invoice with ref to sales order.
    regards,
    abhijit

    Hi
    In Third Party sales, the Item category is TAS ,if the Vendor directly supplies to the end customer.
    In Item category TAS, "Billing Relevance" is "F", i,e. Order related billing as per invoice quantity.
    If the Item category of the Third Party item is TAS, then Schedule line category is CS in standard. If you will go to CS, you will find , the "Delivery relevance" field is blank and there is no "Goods movement" also. That means no Delivery takes place against the Sales order, so no goods issue.
    This clearly indicates, we do not create any Delivery and no goods receipt takes place in third party sales process, when the vendor directly sends the goods to the customer.
    Once the goods are send to the end customer, Vendor creates an invoice and sends to the ordering company. Now, ordering company goes for Invoice verification ,what the vendor has sent to him. We only go for MIRO here and not MIGO.
    After that, the ordering company, creates the Customer invoice with reference to the Sales order(placed by its customer) and sends it to its customer.
    Complete process:
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    > aginst the PO, Vendor delivers the goods to the customer ABC and charge the ordering company,sends invoice for the same to the ordering company XYZ -
    > Ordering company XYZ does Vendor's invoice verification and creates a Customer invoice with reference to customer's(ABC) order and sends to the customer ABC.
    Some times Vendor sends the goods to the ordering company and then ordering company delivers the goods to its customer.
    Vendor does not deliver directly to the end customer in this case.
    In this case Item category is TAB and Schedule line category is CB.
    Here, Billing relevance is "A" - (Delivery related billing) in the Item category TAB, that means here Delivery takes place and Billing is created with reference to the Delivery created to the customer.
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  • Business area wise profit and loss account urgent

    dear all
    According to business scenario we are going here purchase is made for business area AA purchase account is assigned to this business araea
    later in goods issue we are going to issue R/M for two different business areas.
    purchase one R/M  for business area AA and it is manufactured in two different business areas for production.say two different businesses  A1 manufacturing bricks & A2 is manufacturing of Tails.
    MIGO - They purchase R/M  cement GL account 800000  at company code level  Rs.  2000 and units 10 business area is AA
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    They purchase goods for business area AA and they issue goods for business areas A1 and A2 (my question is what is the impact on business area p&L account for this account )
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           For A2  Rs 1400  & 7 units
    When i generate  P&L account business area wise A1 & A2 it is not going to tally.
    so purchase account 800000 is not assigned to business area A1 and A2 it is assigned to business area AA.
    According to business scenario is the purchase is done in one business area AA then by goods issue it is issued to two different business areas.
    according to above example.
    please tell me what is the JV i want to pass to tally business area wise profit and loss account  ro
    i am not able to generate business area A1 & A2 wise P&L accounts  so purchase accoutn assign to business area AA
    regards
    babu

    It's possible in 4.7 and earlier, but not using the FI transactions.  Most places would build these in the report painter/writer, or in KE80.

  • Value difference for GR/IR Clearing Account in case of MIGO and MIRO.

    Hello Experts,
    One of our client has asked me about clarification regarding GR/IR Clearing Account shows different values when MIGO and MIRO posting. Scenario is that,
    SEZ
    Calculation of import Duty
    Input goods
    Material Base Value
           2,171,385
    Landing Cost
                 21,714
    For computing Customs landing charges need to be added
    BED @
    10%
               219,310
    Loaded in material cost
    CVD, @
    12%
               289,489
    Credit taken
    Customs Education Cess
    3%
                 15,264
    Loaded in material cost
    ADDL Duty
    4%
               108,686
    Credit taken
    Customs Duty
               632,749
    CVD
    12%
               219,310
    All duty
    4%
               108,686
    Cenvat
               327,996
    CST
           43,427.70
    2214812.7
    Hence Material cost in GR/IR should be Rs. 22,14,813
    Diff (2219092-2214813= 4279)
    Whereas it is taking Rs. 22,19,092
    My concern is that GR/IR Clearing Account consider only Material cost and non deductible tax amount i.e. CST which is loaded on material cost but system consider some different values, please check the above calculation. When user post MIRO in that case system automatically konck off GR/IR Clearing Account and post difference amount i.e. RS. 4279 to Inventory Account which is wrong. I dont know how system behaves in such manner.
    Please giude me on this issue as soon as possible.
    Regards,
    Vishal Jadhav

    Discussion moved. Please use Internationalization and Unicode for CIN related queries.

  • Update Ledger group in BKPF at the time of MIGO and MIRO

    Hi Friends,
    In our current implementation we have requirement to update a certain Ledger group, to restrict the postings in all ledgers, at the time of positng in MIGO and MIRO.
    Can you please let me know how we do this.
    Waiting for your reply,
    Madan Mohan

    Hi Santhosh,
    Thanks for your reply. But in the substitutions at header and line item level i didnt find the 'U300' userexit.
    Can you suggest me at what level i can find that user exit.
    Thanks and Regards,
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  • Returns to vendor agter MIGO and MIRO

    hI,
    I have made on PO, did MIGO and MIRO for the same (CIN)
    Now i want to send back the material to vendor in two scenarios
    1) After MIGO
    2) After MIGO and MIRO
    3) After payment has been done.
    Regards,
    Satyendra

    Hi,
    For First case you can use 102 mov type against material document to return material.
    For Second & Third cases
    1) Create a return po and check the return item field in the po detail.
    2) create a return goodds receipt with migo. 161 will happen automatically.
    3) create a credit memo thru. miro.
    4) crease a excise invoice for other movements thru J1IS (if material is excisable.)
    5) post a excise invoice thru J1IV
    Revert back if any doubts.
    Ashok
    Reward is useful.

  • Business Area, Profit Centre and Segment

    Hi,
    In my current business scenario shall I use Business Area, Profit Centre and Segment all together at a time or if I use Business Area and Profit Centre, Segment configuration is not required there. Kindly guide me these 3 activities and its exact purposes in the business.
    With regards,
    Samrat

    Hi ,
    We are using  ECC 6. In our business scenario profit centre is there. Under Document splitting there is a Business Area and Profit centre in config area.. Should we mention Segment field under document splitting. If we mention segment under Document Splittng inspite of Business Area, what are the problems may arrises ? Or if we mention all 3 (Business Area, Profit Centre and Segment field) in document splitting what may effect in other areas.
    Kindly guide me.
    With Regards,
    Samrat
    Edited by: Samrat Roy on Nov 2, 2008 4:42 PM

  • Difference between business area balance sheet and profit centre accounting

    Hi all,
    I want to know what are the differences between business area balance sheet and profit centre accounting.
    Please tell the merits and demerits of both.
    If, I want to get plant-wise profitability of a company then which method is more recommendable and why?
    Regards,
    Charu Mahawar

    hi,
    look to that interesting thread:
    Re: Business Area Vs Profit Center
    Andreas
    pls reward useful answers
    Thank you !

  • Path to tcode MIGO and MIRO???

    I can't find the path to tow tcodes MIGO and MIRO.Help me, please!!!
    Thank you for reading my post^^

    Hi,
    MIGO
    SAP Menu> Logistics-> MM-> Inventory Management> Goods Movement--> MIGO
    MIRO
    SAP menu-> Logistics> MM->Logistic Invoice verification-> document entry----MIRO
    Regards,
    Biju K

  • Purchase Order, MIGO and MIRO

    Dear All,
    Please guide me how to map the below scenario in SAP.
    We have to procure Material 'C' for that we have to get the Material 'A' from "X" Vendor. And it has to be delivered to "Y" Vendor. Then vendor "Y" uses Material 'B' and he does some processing and deliver Material 'C' to us. How to raise a purchase order, how to do MIGO and MIRO.
    Thanks & Regards,
    Kumar

    Hi Kumar,
    1. Raise the PO(1) against the X vendor (materila A). in PO give the delivery address as Vendor Y..( it is in PO itemdetail tab)...
    2. create one more PO(2) (as subcontract) with item cater as L and issue to Vendor Y....
    Item C should have BOM as mateila A...
    3. Now you receive the materila A at vendor Y as against the PO(1).... (vendor X deliver the materila directly to vendor Y)...
    Now for when you do migo for the PO(1), it will hapen for movement type 101 and in backgorund it create the 541movement type to vendor Y ( issue componet to sub contract vendor )
    4. Settle the Invoice of Vendor X in MIRO seperatly.
    5. receive the Goods from the subcontract vendor (y) throug MIGO
    6. do MIRo for PO(2)
    Hope you understoud this...
    REgards
    anand

  • Account entries at tie of migo and miro

    Dear Gurus,
    please let me know about the account entries at time of MIGO and MIRO.
    thanking you in advance
    Best regards,
    Raghu
    Edited by: Csaba Szommer on May 22, 2011 3:20 PM

    Dear,
    During MIGO Goods receipt,
    Inventory stores a/c - Debit entry of value 'x'
    GR/IR clearing a/c - Credit entry of value 'x'
    For MIRO,
    Vendor a/c - Credit entry of total invoice value
    GR/IR clearing a/c - Debit entry of value 'x' & Few other entries
    Regards,
    Syed Hussain.

  • Business area not reflected in MIRO additional details

    Hi all,
    There is problem regarding business area in MIRO, in follow on documents business area is not getting reflected for all the line items. Please see where the problem is, I have checked OMJ7 and business area is there for all Plant/Valuation area.
    Regards,
    Shweta.

    Division was not maintained for material thats why the problem occured.

  • How to fetch the Business area field value from MIRo into report

    Hi,
    I want to create a report for MIRO with payment details.
    How to fetch the business area field value in to report.
    What is the table name. I verified it is storing in structure. Which is the right table for fetching that value with reference to MIRO.
    After that, how to find the accounting document for payment and check details.
    What are the table names and field names. What we can get from PAYR table.
    With regards
    Lakki

    Dear,
    For Bussiness area
    RKPF-GSBER

  • MIGO and MIRO

    HI All,
    Can you please tell me in third party sales can we do MIRO with out MIGO, if so please tell the process, and wat are all positives and negatives that we will have if we do the same.
    Thanks in Advance..
    Ramki

    Hi,
    Everything is just a matter of controlling how you want, via Schedule Line Category in SD.
    SPRO> Sales and Distribution>Sales>Schedule Lines>Define Schedule Line Categories
    First findout which schedule line category you are using (or system is calling, from one of the related Sales Orders already you created and are concerned about now)
    For that schedule line category in the above configuration, just make changes accordingly in the field values for Item category and account assignment category.
    In Item category, for example, enter 9 - Service and Account Assignment category say C- Sales Order or M - MTO ...that must be told to you by FI/CO folks.
    Once you do this, you are all set.  This will create a PReq in MM automatically to procure services from vendor.  You will not do GR but, sap does it automatically for you once you post service entry sheet for the PO thus created from PR, when customer confirms about the services renderd by your vendor.  You may still tweak it if you don't want to enter services....For this, again you have to follow what I mentioned in the previous posting about account assignment category configuration. 
    Regards

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