Cenvat clearing account is not coming in MIRO for Basic excise
Dear sir,
I have created the PO . After that i did GR for same at that I capture excise invocie& post it.
Accounting document is created for the same
here is accounting enrtry
cenvat Basic = 100 debit
cenvat edu cess = 2 debit
Cenvat Higher Ecess =1 debit.
Cenvat clearing account = 103 credit
when i go the miro
after simulating in miro i found
cenvat clearing account = 2 debit
but it should be 103 debit
why this is coming please help me...
Hi,
Generally it happens if CENVAT Clearing Account in not assigned in OB40 to the Tax Account Keys. But, as per you it has been maintained. So the following if you are using Tax Procedure TAXINN;
SPRO > Logistics - General > Tax on Goods Movements > India > Basic Settings > Determination of Excise Duty > Condition-Based Excise Determination > Classify Condition Types
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Cenvat clearing account is not cleared while posting AP invoice.
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If the tax code involves the Excise duty 100% non deductible, then the cenvat clearing account is not getting closed properly. please refer the below attachment and help me to solve this issue.
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Business area in Cenvat clearing Accounts.
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PO is already created. When Miro is done , Business area is entered which is a required field.
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Cenvat Clearing not coming in MIRO in case of Dealer Invoice
Hi,
This is a scenario of purchasing from dealer wherein the exact excise duty and VAT/CST is not known while creating a Purchase Order.
I did the following steps
Created PO with
One item of 5 quantity @ 1000 INR (Total Base Value = 5000 INR)
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Did Goods Receipt (with Capture Excise Invoice Only)
Selected MRP Indicator
In Excise Tab at Item Level
Changed Base Value from 5000 to 4485 INR
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Please give me ideas to resolve this issue
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Procedure TAXINN
Tax Code V3
Desciption Excise Nil and VAT 5%
Excise Duty JMOP 0
Set Off JMX1 100
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Hi,
I'm facing a problem while posting in MIRO, instead of CENVAT clearing account RG23A BED acocount is getting debited, here I'm giving you the screen shots for MIGO and MIRO accounting entries please assist me with some customizing tips.
MIGO
MIRO
material : TEST MAT
vendor : LAKSHMI GROUP
I've assigned 154001 G/L ac for RG23A BED and 191101 G/L for MODVAT clearing ac.
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Sairam.Hi Shiva,
thanks for your response as you said in std cenvat ac get debited but as you can see in that above screen shots of my accounting entries RG23ABED ac is getting debited what actually wrong. How can correct the wrong entries please suggest me some solution here I'm sharing the screen shot of Tax on Goods Movements-->Account Determination-->Specify Excise Accounts per Excise Transaction
please ask me for more information if you don't get my point on this problem
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All SAP gurus,
Is it possible to have plant wise CENVAT clearing accounts?
(all the plants are in single one company code).Hi
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I have seperate taxcodes plantwise and the plants are assigned to business places correctly.
Now I am testing in MIRO, the GL account for condition type JCV1 with FR4 account key..but I am not getting the GL as given in SM31 but the GL given in obyc-FR4 key.
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While clearing cenvat clearing account thru F.13 it is not clearing.
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Then why it is not clearing.
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shivajiHi Sivasankar,
Can you be brief on "Have your ABAPer and set Substitution user exist which populate PO number in assignment field at the time of MIRO".
Which "Substitution user exist" we has to ask the ABAPer to use, can you help us by giving the User Exit details or let us the process which we can explain to our ABAPer's to understand.
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Hi all
will any one help me in making me understand as to how the cenvat clearing account can be automatically cleared.
What exactly i mean is -
When we do MIGO, the cenat clearing account is automatcially credited and RG 23 A is debited.and
When we do MIRO, the cenvat clearing account is automatically debited and vendor is credited.
if this is the case, i find that the cenvat clearing account which is getting credited in MIGO and debited in MIRO is still showing as OPEN ITEMS when i view the cenvat clearing general ledger account in transaction code - FBL3N .
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Thanks in advance
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RishikeshHello
Check if this is of help.
Also check MM/FI integration for 23 transactions. Check if a/c assignment is set.
CENVAT Document
Definition
An accounting document that the system automatically creates when it generates a Part II entry.
Use
Customizing
Specify which document type you want the CENVAT documents to use, in Customizing for Logistics General, by choosing Taxes on Goods Movements ® India ® Basic Settings ® Maintain Company Code Settings.
Day-to-Day Activities
When the system generates a Part II entry for an incoming excise invoice, it creates a CENVAT document to debit the excise duty to the excise duty account, and credit it to the CENVAT clearing account:
The excise duty is cleared from the clearing account when the accounting clerk enters the vendor invoice.
When the system generates a Part II entry for an outgoing excise invoice, it creates a CENVAT document to debit the excise duty to the excise duty account, and credit it to the CENVAT suspense account:
Reg
assign points if useul -
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When I am trying to pass a down payment entry by debiting vedor and crediting bank with asset it is giving an error as follows.
Account 'Down-payments clearing account' could not be found for area 01
Message no. AU133
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Please pay attention at the possible causes of message AU133:
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ADC for Domestic Purchase not flowing in MIRO for particular MIGO Document
Hello Experts,
We've a scenario in which we pay ADC to domestic vendor. The procedure we follow is as below:
1. Condition record for JAOP with 0% rate maintained in FV12.
2. PO created with JMOP 10%, 2% ECS, 1% SECS & 4% VAT.
3. During MIGO (also excise invoice capture), AED value is maintained
4. After J1IEX, at the time of MIRO this ADC along with other duties flows in simulation
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AmitHi,
Have you maintained material price including AED price??
If yes then check whether you have maintained JAX1-100% or not?
I think this should be treated as a dealer purchase as you are maintaining 0% amount for JAOP.
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Piyush -
Hello friends,
When I am trying to create outgoing excise invoice The excise values in billing document are not flowing to outgoing excise invoice.Can someone guide me the exact patch number for the above issue?
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Veeranji_Functional ConsultantDear Veeranji
Go to IMG Path --> Logistics-General --> Tax on Goods Movements --> India --> Account Determination --> Specify Excise Accounts per Excise Transaction.
Here, ensure that you have maintained the following:-
ETT :::::::::: SubTra :::::::::::::: DC ind ::::::::::::: Account name
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: PLAAED PLA AED account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: PLAAT1 PLA AT1 Account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: PLABED PLA BED account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: PLACESS PLA cess account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: PLAECS PLA ECS Account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: PLASED PLA SED account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: RG23AED RG 23 AED account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: RG23AT1 RG 23 AT1 Account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: RG23BED RG 23 BED account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: RG23ECS RG 23 ECS Account
DLFC :::::::::: :::::::::::::: CR Credit :::::::::::::: RG23SED RG 23 SED account
DLFC :::::::::: :::::::::::::: DR Debit :::::::::::::: MSUSP CENVAT suspense account
DLFC :::::::::: :::::::::::::: DR Debit :::::::::::::: PLAAT1 PLA AT1 Account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: CLEAR CENVAT clearing account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: PLAAED PLA AED account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: PLAAT1 PLA AT1 Account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: PLABED PLA BED account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: PLACESS PLA cess account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: PLAECS PLA ECS Account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: PLASED PLA SED account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: RG23AED RG 23 AED account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: RG23AT1 RG 23 AT1 Account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: RG23BED RG 23 BED account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: RG23ECS RG 23 ECS Account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: RG23SED RG 23 SED account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: MSUSP CENVAT suspense account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: ONHOLD CENVAT on hold account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: PLAAT1 PLA AT1 Account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23AED RG 23 AED account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23AT1 RG 23 AT1 Account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23BED RG 23 BED account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23SED RG 23 SED account
DLFC :::::::::: 2 :::::::::::::: CR Credit :::::::::::::: MSUSP CENVAT suspense account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: PLAAED PLA AED account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: PLAAT1 PLA AT1 Account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: PLABED PLA BED account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: PLASED PLA SED account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23AED RG 23 AED account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23AT1 RG 23 AT1 Account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23BED RG 23 BED account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23ECS RG 23 ECS Account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23SED RG 23 SED account
DLFC :::::::::: 1 :::::::::::::: CR Credit :::::::::::::: CLEAR CENVAT clearing account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: ONHOLD CENVAT on hold account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23AED RG 23 AED account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23AT1 RG 23 AT1 Account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23BED RG 23 BED account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23ECS RG 23 ECS Account
DLFC :::::::::: 1 :::::::::::::: DR Debit :::::::::::::: RG23SED RG 23 SED account
DLFC :::::::::: 2 :::::::::::::: CR Credit :::::::::::::: CLEAR CENVAT clearing account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: ONHOLD CENVAT on hold account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23AED RG 23 AED account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23AT1 RG 23 AT1 Account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23BED RG 23 BED account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23ECS RG 23 ECS Account
DLFC :::::::::: 2 :::::::::::::: DR Debit :::::::::::::: RG23SED RG 23 SED account
DLFC :::::::::: IP :::::::::::::: CR Credit :::::::::::::: CLEAR CENVAT clearing account
DLFC :::::::::: IP :::::::::::::: DR Debit :::::::::::::: PLAAT1 PLA AT1 Account
DLFC :::::::::: IP :::::::::::::: DR Debit :::::::::::::: RG23AED RG 23 AED account
DLFC :::::::::: IP :::::::::::::: DR Debit :::::::::::::: RG23AT1 RG 23 AT1 Account
DLFC :::::::::: IP :::::::::::::: DR Debit :::::::::::::: RG23BED RG 23 BED account
DLFC :::::::::: IP :::::::::::::: DR Debit :::::::::::::: RG23ECS RG 23 ECS Account
DLFC :::::::::: IP :::::::::::::: DR Debit :::::::::::::: RG23SED RG 23 SED account
Again the next tab in the same menu path is Specify G/L Accounts per Excise Transaction. There you have to assign the respective G/L Accounts for all Excise Transaction Types.
thanks
G. Lakshmipathi -
Cenvat CLEARING account in Stock transfer order
Hi
Please tell way to clear Cenavt CLEARING account in intra company stock transfer order(Within same company code).We will not post any MIRO against the STO.
Thanx
ManiHi,
1. Create a Subtransaction type for STO in the receiving plant.
2. Copy the GRPO excise transaction type and change the clearing account
3. suggest the user to enter the sub transaction type manually during excise invoice capturing (when the material is received from the other plant only).
4. If you need some validations to avoid user entry mistakes, please take the help of ABAPer and incorporate some validations while capturing excise Invoice like checking whether the PO referred is Intra company or normal. etc...
For manual clearing, approach your fellow FICO consultant.
Regards,
Girish
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