CIN - Differential Duty pass on to Depot

We want to raise the supplementary invoice for differential duty to the depot and from the depot, they can raise a supplementary invoice to the customer with reference to the depot commercial invoice which is raised in the past.
The same has to be passed on to the customer with reference to the depot delivery note so that the customer account will avail the benefit of differential duty of the transaction value.
Please suggest how to handle this.
SAP User.

Dear Mr.Lakshmipathi
i have given below the folow the reason why we have to issue excise invoice for additional excise duty to customer.
We have transferred the goods to Depot
Basic Price                   100,000.00
Add: Ed  @8.24%            8,220.00
                                    108,220.00
at the time of Billing from Depot we got the customer order Rs.150,000.00 inclusive of ED
the basic price             138,580.93
ED    @ 8.24%                11,419.07
                                     150,000.00
Now we have to pay the differential excise duty of Rs.3,199.07  to the department.  this will be paid at HO by doing OTHR.  Now customer is require the excise gate pass for differential excise duty. 
Now how to proceed.
Please advice.
thanks in advance.

Similar Messages

  • Utilization of Additional Excise duty using J1IJ at Depots

    Dear SAP Gurus,
    Our manufacturing Plant has created a supplementary invoice for the differential excise rates to the Depots and the same had been captured at depots against the original plant excise internal document numbers using the transaction J1IGA.  This additional duty should be passed on to the customer. So we attempted to pass it on to the customer using J1IJ. We could able to pass the same for the 1st sales. But for the next consecutive sales, system is not listing the additional excise list where as it is showing the list for the 1st immediate sales after capturing the additional excise using J1IGA.
    My questions are:
    1. Is there any other way than using J1IGA to capture the Additional excise value raised by the Manufacuturing plant using A certificate at Depots?
    2. How to pass on the addtional excise to the customers from Depots? If J1IJ is the only way,Then, it is not listing the additional excise details from the second sales onwards.
    I would be thankful for your replies.
    Thanks in Advance,
    Kotesh.

    Hi,
    Config required to get this field from MM/FI area.Also there is one Snote related this.Pls check.
    Regards

  • CIN: Excise Duty (JMOD) & ECESS (JECS)

    Hi Gurus
    Need yr expertise...
    Question 1:
    Do we need to maintain the 100% for JMOD in VK19 (application TX) or VK11? Reason is if I maintained 100% for JMOD in VK19 (application TX), it is working fine as the excise will be pick up from J1ID and in the SO, the excise duty will be added in the net value. But if I maintain 100% for JMOD in VK11, excise duty will be also pick up from J1ID but the excise duty is added in net value and tax in SO. Which is correct? As far as I understand excise duty should not be added in tax in SO..
    Question 2:
    JECS is not picking up from J1ID.. I have maintained exactly like JMOD meaning 100% for JECS in FI.. In SO it is showing as 100% but if I maintained 2% than it is showing as 2% in SO.. Why it is not picking up from J1ID?
    Pls advise on the above..
    Rgds..Vinz

    Hi Vinz.
    Please find the answers for your questions below:
    Q.1 Do we need to maintain the 100% for JMOD in VK19 (application TX) or VK11?
    Ans: Maintain 100% for JMOD in VK19 (application TX) only. No need to maintain any condition record for JMOD in VK11.
    Q.2 Explanation of Net value and Tax value
    Vinz. See, JMOD being condition from FI Side fetches the condition record via tax code (100%) and then takes 100% of what is maintained in J1ID.
    Excise Duty is getting added to Tax Value because condition record has been maintained for JMOD (application TX ) and you have not made JMOD as statistical in your tax procedure.
    Excise Duty is also getting added to Net Value because of SD Side condition JEX2 whose condition record has been maintained in application V (via VK11) which is Of Course not a statistical condition.
    That is the reason it is coming in Net Value(Due to JEX2) as well as Tax Value(Due to JMOD not marked as statistical in Tax procedure)
    Q.3 Which is correct? As far as I understand excise duty should not be added in tax in SO..
    Ans:  Correct.
    Total Central Tax to be marked as statistical in the tax procedure       
    TAXINJ , so mark JMOD as statistical in Tax procedure.
    Q.4 JECS is not picking up from J1ID..
    Ans : Plz check following :
    1. Formula 366 has been assigned to JECS in Tax procedure as well as pricing procedure and Formula 353 (if factory sale ) or Formula 356 (if depot sale) has been assigned to JECX in Pricing procedure. And Formula 366, 353 and 356 contains the changes required for Edu. Cess
    2. Conditon record for JECX has been maintained in VK11 as 100%.
    3. Check you have maintained 2% in J1ID for column ECS%.
    Hope this sorts out your issues. Please come again if you have any doubts.
    Plz reward if found useful.
    Regards,
    Gaurav Raghav.

  • Cin excise duty entry

    hi,
    need the advice. please help.
    1) for manufacturing, when purchase, the input tax will debit cenvat account, say 100inr. when sales, output tax will credit cenvat account, say (120)inr.
    may i know if 100inr is excise duty paid and 20inr (120-100) is excise duty payable?
    2) so actually the total duty paid is 100 + 20 = 120inr, correct?
    3) may i know what is the difference for excise duty paid / excise duty payable and cenvat receivable account?
    3) may i know how is the double entry for point 1 from purchase to sales until RG and pla?
    thanks

    Hi,
    Pl. go through the following carefully.  If u see the config. of CIN the column names Excise Account Assignment Table are like RG23A BED etc., Hence the account description(user's discretion) can be CENVAT Account or RG23A account.
    Apart from this there are entries in RG23 registers which are Statutory requirement.
    Pl. do not get confused with Account and Register. Account will have only the amounts where as registers will contain no. of particulars.
    Check the accounting entries for the whole process
    <b>What should be my accounting entry in procurement?</b>
    For Domestic Procurement of Raw Material
         During GR
                   Material Stock      Dr.
                   GR/IR clearing          Cr.
         During Excise Invoice Credit          
                   Cenvat Account OR RG 23A     Dr.
                   Cenvat Clearing          Cr.
         During Invoice Verification
                   Cenvat Clearing     Dr.
                   GR/IR Clearing     Dr.
                   Vendor Payable          Cr.
    <b>For Domestic procurement of Capital Goods</b>
         During GR
                   Material Stock      Dr.
                   GR/IR clearing          Cr.
         During Excise Invoice Credit          
                   Cenvat Account/ RG 23C A/c (CVD) A/c     Dr.     (50%)
                   Cenvat On-hold/ RG 23C A/c (CVD) A/c     Dr.     (50%)
                   Cenvat Clearing          Cr.
         <b>During Invoice Verification</b>
                   Cenvat Clearing     Dr.
                   GR/IR Clearing     Dr.
                   Vendor Payable          Cr
    <b>Subsequent of Capital Goods</b>
                   Cenvat Account/ RG 23C A/c (CVD) A/c     Dr.     (50%)
                   Cenvat On-hold/ RG 23C A/c (CVD) A/c     Cr.     (50%)
    <b>For Excise Duty Credit of Raw Material without PO</b>
                   Cenvat Account OR RG 23A     Dr.     
                   Cenvat Clearing          Cr.
    <b>For Excise Duty Reversal through Excise JV</b>
                   Cenvat Clearing               Dr.               Cenvat Account OR RG 23A          Cr.
    <b>What should be my accounting entry when the goods are issued through MM and excise invoice is created (J1IS & J1IV)?</b>
    During Excise Invoice Creation
              Cenvat Suspense Account          Dr.
              Cenvat payable               Cr.
    Note: Cenvat Suspense Account should be cleared apprpiately using FI JV’s.
    For TR6C Challan
    PLA Account               Dr.
    PLA on hold Account          Cr.
    During Fortnightly  Utilization
    Cenvat payable               Dr.
    Cenvat Account/ RG23A/RG23C     Cr.
    PLA Account                    Cr.
    Thanks,
    Vijay

  • Differential Duty

    Hi,
    Client has  reveived challan for the payment of government dues in customs house from the officers of the commissioner of the customs(import)
    What is the procedure in SAP?
    What action required to credit RBI Collector payment and CVD adjustments?(Miro?) and CVD values adjustment. This case is old and MM period is closed. What is procedure.
    Regards
    Kedar Kulkarni

    Do the miro for planned del. cost.
    Select commercial invoice.
    Pass the bill with reference to PO. Adjust duties as per customs bill.
    U can post this invoice for this period & to previous period if posting allowed.
    This is to be passed before GR.
    So that at the time of we can refer this invoice as a commercial invoice.
    Come back in case of further clarification.

  • CIN: Excise duty payable

    hi,
    the user has created an  export invoice and then done J1IIN. while doing J1IIn, the user selected export type as B( under bond ), whereas he shud have selected option "no bond".   due to this the excise payable is not appearing in J2IUN. The transaction date for the same is 29.5.07 and the period has closed.
    how to rectify the above. ugent plss
    regards
    sachin

    the only thing you can do now is
    goto T.Code: <b>J1IIN</b>
    click on the Utilization button which looks like a calculator and then click on Change button( like a PEN)
    Now change export type as <b>NO BOND</b>. now save it.
    Today is 5th june and tha last date for monthly utilization of 01//5/2007 to 30/05/2007
    Period closed does not have any significant effect on it.
    Rewards if it helps.
    Rgards,
    Anbu

  • Need 2 create the supplementary exc invoice at depots for differential ED

    Dear SAP Experts,
              I've already posted the same issue in SD-Billing forum also. But there are not many views in that forum. So, I'm posting it again in this forum.
             My scenario is our parent Factory will raise a supplementary invoice to Depots for differential rates and create the excise invoice for the same using J1IS. Then, the depot has to capture the same differential duty and the same has to be passed on to the customer during the sales as well as a supplementary excise invoice should be raised for the sales which are already been made from depot in the past through the same mother invoice reference.
    My questions in this regard are:
    1. What could be the Excise Transaction Type at Factory to create supplementary inv using J1IS (I suppose it is OTHR)
    2. How to capture the the same differential excise at depots which needs to be reflected in RG23D entry? (As per my knowledge it is through J1IGA)
    3. If it has to be captured through J1IGA, the problem is system is not allowing to enter the differential duty for which stock has been completed at depot. My requirement is even the stock is finished at depots, we need to capture the differential duty as we would like to raise the supplementary excise inv to the customers who have bought the material.
    4.How to Raise the supplementary excise invoice at depots so that the RG23D entry will be adjusted with the same.
    Please suggest me the right solution for the mentioned requirement asap.
    Thanks in advance,
    BVS.

    Dear Kotesh,
    The process what you are following at Depot is wrong. Imagine, how can you raise excise invoice from depot when stock is not there in RG23D? Or how can you capture supp exc invoice in depot for materials which have alreay been sold.
    The process to raise supp excise inv from factory is via J1IS and your understanding is right.
    Regarding passing on the subsequent excise duty to customer is not possible. And why would you do this.
    As per the excise law, the differential duty is to be paid, when you sell the goods from depot at a higher rate than they were transferred. The government charges this duty because, you transferred at lower cost and paid lower duty but sold the goods to customer at higher rate.
    Considering this case, imagine if you sold the goods from depot at a lower rate than the transfer (means Transferred goods from factory at Higher rate say 20 $ at this you pay excise duty of 0.16 $) If you sell them at 10 $ you still transfer the excise duty of 0.16$ isn't it. In this case wll you collect back the excise duty from the customer???
    The right process is raise a supp exc invoice for differential duty and leave it at this stage. At depot it is not possible to capture and pass duty where the material is sold, and it is not required by law as well.
    Thanks & regards
    Hameed Parvez

  • Depot Plant- not to transfer additional duty to customer

    Hi,
    After making GRN for material we receive in depot plant (Plant -0100) we captures duties credit i. e. CVD (BED), Edu Cess, S & H Edu Cess & Additional duty (through J1IG) & pass it on duties to customer through Sale Invoice (J1IJ). But now onwards, We would not capture Additional duty & pass on to the customer in Sale Invoice. (We will only Pass CVD & its Education Cess) So, when we will make GRN then this Additional duty amount should go to material cost as it happens in Basic Custom Duty & its Edu Cess.
    And also inform us that we are having stock of material to sell. In this stock, we have already captured Additional duty credit. It means GRN & Capturing (J1ig)  is already done with Additional duty. But, In Sales Invoice we don't want to pass on credit of this captured Additional duty.
    And all this captured Additional duty should be moved to material cost. So, tell us to how should we process for this.
    please let me know
    Obulesu

    Hi,
    You didn't mention the transaction you are looking for your user exit. Well if you are looking for a scenario like this then you have to find a Screen exit for that transaction and modify the desired screen in SE51 with your subscreen and your logic will be a part of the Exit program that called with the Screen exit.
    It will be much more clarifed if you tell me the transaction your exit will work with.
    Hope that helps
    Anirban

  • Regarding Diff. duty Capture at Depot

    Dear al
    Can u please tell me
    after creating Excise invoice for additonal amount in J1IS at factory how to capture the same at depot so that extra payment will get registered in RG23D.
    Thanks in advance
    BJ

    Hi,
    In standard as per my understanding, differential duty can pay through Excise JV-Transaction J1IH.  Here you may generate any report about Transafer amount, sale amount and the difference amount.  Whatever the difference amount on that required to pay dutyr through Excise JV.
    Rewards if it help
    Rgds
    Gautam

  • CIN - Depot Sales and Export Sales

    hi all
    i have few queries assosiated with cin
    1. Depot Sales Process:  As Depot sales pricing procedure will not have excise condition types in that, how we are going to pass the excise amounts to our customers so that they can take the excise credit.
    2. Can anyone please tell me the link where in i can get all the process configurations related to cin. For Example Factory Sale, Depot Sale etc, i mean to say like best practices.
    3. What is the difference between Exports under Bond, LOU and No Bond.
    regards
    rag

    HI
    Go to the below meantioned link you will get the idea of related to your questions.
    http://help.sap.com/saphelp_47x200/HELPDATA/EN/09/ebf138cdd78a4be10000000a114084/frameset.htm
    Thanks & Regards,
    E.vasu
    Edited by: Vasu Enaguthi on Jul 17, 2009 7:02 AM

  • Excise Value and Freight value should be add to material cost in the depot

    Hi,
    Can any one help me on my scenario?
    We have depot concept my client requirement is excise Value and Freight value should be add to material cost (inventories at depot) in the depot
    Thanks & Regards
    KMR

    Hi All,
       In Depot Sale. This are the Excise Duty Passed on to the Customer BED, AED ECS, SHECS, Other then that its added to the material cost. Define a Pricing procedure for value added to the material cost in both Procurement & Sales base your problem will be solved.
    Regards,
    Pherasath

  • Import material Process For DEPOT Plant

    Hi,
              I know the process of import procurement in  for manufacturing plant,  like   first we are doing  PO  then MIRO for delivery cost conditions i.e for custom conditions then J1IEX PART 1,   GR  ,  J1IEX PART 2  then MIRO for vendor,    i want to kow the process of import material for depot  plant,  can u give some links or some tips for this  and   how the duty pass on concept work.
      regards,
        zafar

    HI
    Check Below link
    [Re: How to Upload initial Excise Invoices at Depot]
    [Excise Procedure for Depot Sales and Depot Stock Transfer ?]
    Report for Depot Excise Invoice
    Additional Excise Duty for Depot
    SAM

  • SUPPLEMENTARY INVOICE FROM DEPOT LINKED TO PLANT

    HI EXPERTS,
    I searched in forum related to my issue but i didn't find the correct solution.  Please suggest....
    We have one plant & 4 depots but all are different states of india.  We are transferring the Finish Goods at deport from Plant thru STO and further process as per standard. 
    Transfer rate is always same as Sales rate but some time when Price increases we are selling in higher price from depot but Excise Duty we can't forward on increased rate as duty available in RG23D is based on transferred Rate.
    Now, how to raise Supplementary Invoice of Duty from Depot to customer and before that how to get same duty from plant to depot.

    Thanks Mr. Lakshmipathi,
    But Still I hv issue on below process described by you,  Have look... 
    I will recommend the below process in case of price increase given by customer for Depot scenario.
    1) Created a zee report on Depot Pending quantities, where you should have the STO proforma reference for having dispatched the material from parent plant to depot where you should fetch the data of STO rate and also PR00 rate and of course other datas whatever you want in this report.
    =>  We have such type of report.
    2) Make a note of the STO document reference where the price between STO and PR00 varies
    3) Make a note of the original dispatch quantity from parent plant to depot and also the balance quantity lying in Depot
    4) Now you have to arrive Excise Base Amount by considering balance quantity available in depot x difference in rate
    -=> in this case Qty is not Balance, whatever transferred all were dispatched._
    5) Go to J1IH, Select u201COther adj.u201D, maintain material code, balance quantity, ED and click on u201CFortnightly Paymentu201D and again click on u201CDetailsu201D button. Block the line item and click on u201CDetermine G/L Accountsu201D. There maintain Business Area and Cost Center and save.
    -=> How to do J1IH if qty is "0" Zero_
    6) Make a note of the JV reference. This means, you have not updated in SAP (paid) the differential amount.
    7) Go to J1IGA, select the parent excise invoice number and maintain ED and other excise values and save. One internal document reference will populate which you should make a note
    8) Now follow the normal SD process like creation of sale order from depot, delivery and commercial invoice

  • Excise at Depot

    Hi all,
    We have Excise REg no for Plant. But plant does not have Excise reg no.
    Material is shipped to Depot with excise invoice. What is the procedure at depot for GR.
    Do i need to capture the excise invoice?. From Depot, there is no excise invoice generated for customers.
    thanks.

    Thanks Rajesh,
    When i do GR at Depot, Should i capture excise duty?.
    Because, Depot does not have excise reg and no outgoing excise invoice from DEpot.
    To receive a material at Depot from plant, what is Tcode and reference doc and Mtype?.
    Thanks.

  • Debit memo excise duty calculation is wrong

    Hi,
    Basic excise duty is wrongly picked in to debit memo as explained below
    1) Depot sales order: creted for qty 1
       Basic excise duty 80
    2) delivery created:
    3)depot excise invoice creted: Adjusted depot stock aganist plant excise invoice 123 and basic excise duty is 100
    4) created depot invoice; CAPTURED BASIC EXCISE DUTY IS 100 which is correct (356 movement type assigned to basic ex duty in pricing procedure)
    Depot returns:
    1)returns sales order created with referance to depot invoice
       copied basic excise duty as 1000 (which is correct)
    2) cretaed credit memo request: Here basic excise duty is 80 wronly copied from depot sales order instead of 100
    Please provide the solution
    Regards,
    ramesh

    Dear Lakshimipathy,
    Thanks for your response
    The excise duty combination is same in both returns order and credit memo as mentioned below
    Variable key
    country
    plant
    control code
    valid from 2010/02/27   valid to 2010/02/27
    condition supplements
    Country         name                                amount        unit       delition  id
    JEXP     IN: A/R BED %     10.000      %     flaged 
    And in pricing procedur6e of the returns order is neccessay 356 alternative calculation type
    as i mentioned above valid date has been expired and marked for delition how system is determinng excise duty for retuns order. please suggest
    Best regards,
    ramesh

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