Clear AuC down payment in AIAB transaction
Hi
I try to clear down payments on AuC in transaction AIAB (AIBU) to G/L.
Settlement rules 100 % to G/L account.
Balance of this operation is zero.
Example Items:
- transaction type 180 100 EUR
- transaction type 181 -100 EUR.
When I try to clear down payments from 2005, 2006 it's OK system just clear items and not generate documents for settle.
TTy 180 50 EUR (2005)
TTy 181 -50 EUR (2006)
But when I try to clear items first from 2006, second from 2007 system generate document for settle.
TTy 180 30 EUR (2006)
TTy 181 -30 EUR (2007)
I try also to settle this zero balance to active asset but system still generate document.
Is there any settings which not allow for clear in current year ?
I check also values in all currency all are the same.
Thanks for any answear.
Z
Hi Babu,
Also I posted down payment entry with F-48.
System generated below entry.
Cash Cr Rs. 100000
Vendor Dr Rs. 100000
AUC Asst Dr. 100000
Down payment clrg Cr 100000
Can u tell me further step? I mean what is procedure for down payment clearing with auc assets.
I waiting ur reply.
Thanks & regards
Amar
Similar Messages
-
Hi.
I am configuring the AUC with downpayment.
I want to know the configuration steps for AUC down payment.
Also request you to let me know the importance of GLs for AUC down paymnet in AO90 step.
Regards,
PadmavathiHi.
I have done the following configuration steps for AUC downpayment. Can anyone confirm whether anything more required to be done. Are these entries correct.
Configuration steps:
1. Minimum configuration required for AUC asset (AUC asset class, AUC asset master)
2. Assignment of GL accounts (AO90). Here i have assigned the AUC acquisition GL account, AUC down paymnet GL account and AUC clearing GL account.
3. OAYB - Transaction type group selection. Here i have given AUC asset class for transaction group 15.
End user Area:
1. Vendor Down payment request (F-47)
Entry : 39A Vendor with spl GL Cr (Noted item) Rs 7700
2. Vendor Down payment (F-48)
Entry: Journal entry entered
29A Vendor Special GL Dr 7700
50 Bank Cr 7700
Journal Posted:
50 Bank Cr 7700
29A Vendor dpecial GL Dr 7700
70 AUC Down payment Asset Dr 7700
50 AUC Clearing A/c Cr 7700
3. Asset acquisiton invoice posting (F-90)
70 AUC Asset Dr 18000
31 Vendor Cr 18000
4. Clearing Vendor down payment (F-54)
39A Vendor Special GL Cr 7700
26 Vendor Dr 7700
75 AUC down payment Cr 7700
40 AUC clearing GL Dr 7700
5. AUC settlement (AIAB) . Here i am selecting the down payment clearing line items along with AUC asset line item and giving the distribution rule to settle to main asset.
6. Final settlement (AIBU)
75 AUC asset Cr 18000
70 Main Asset Dr 18000
7. Clearing of AUC clearing GL account.(F-03)
8. Clearing of Vendor line items (F-44)
Regards,
Padmavathi -
Clearing of down payments on assets from prior year
Hello,
we have the following problem with an Asset under Construction (AuC) that has been migrated from a legacy system with down payments in a prior year.
Migration has taken place in 2007 (within the year). The down payment has not been cleared in 2007, but left on the asset for 2008. The clearing of the down payment on vendor side has already taken place in 2007.
When the AuC shall now be settled to a final asset via AIBU, the error message AW605 "Down payment to recipient YYYY area 01 amount XXXX not cleared" appears.
When the down payment on the Asset under Construction shall be cleared first with transaction ABSO (TType 181 "Clearing of down payments from current year"), the following error message appears: AA571 "Not possible to post down payment clearing. There are no down payments".
In our SAP Version 6.0 there is NO transaction type "Clearing of down payments from prior year", though.
Would appreciate any indication how to deal with the issue now - do we need to create a special transaction type for this purpose? If yes, how to configure the settings so that SAP knows to clear down payments from prior year?
Thanks very much in advance for any help!
GabiI replied to your second post
But my question is then how does the down payment appears in the CJI3 report
Also, I am aware of your initial post. I feel, the details you gave is insufficient. You have just said there are two down payments made against a PO one is reflecting in WBSE another one is not. It will be difficult for others to suggest you a proper solution, You will have to give more detials as how you made the two down payments and you should tell us apart from appearing in WBSE what are all the other differences ..etc., You should give as much details as possible. -
AUC Down payment : Open invoice at year end
Hi All
For LATAM countries I need to complete the Down payment to AUC
At present the configuration is working fine for the following
Create Order type Z60 (KO01).Create distribution rule for the order.
Create AUC (AS01) and assign order number (AS01) .Create receiving asset.
Create purchase order for the asset and assign asset number created above to the PO (ME21N)
Create Down payment request (F-47) with the PO assignment
Create Down payment F-48 with reference to the Down payment request sent earlier
Create Goods Receipt (MIGO)
Create Invoice Receipt (MIRO)
Clear down payment against invoice.(F-54)
ACC entry generated
1
Say 100 was paid as DP against the PO
50 Bank Cr 100
29M Vendor dpecial GL Dr 100
70 AUC DP A/C Asset Dr 100
50 AUC Clearing A/c Cr 100
2
Asset acquisiton invoice posting (ME21N)
70 AUC Asset Dr 2000
31 Vendor Cr 2000
3.
Clearing Vendor down payment (F-54) against invoice
39A Vendor Special GL Cr 100
26 Vendor Dr 100
75 AUC down payment Cr 100
40 AUC clearing GL Dr 100
Now I need to test the scenario wherein the invoice is not recd at period end SAP proposes the creation of a reserves for expected invoice and reversal when the invoice is recd .I have already enabled the transaction types necessary for dp at period end but require assistance on what should be the next steps to test this
Anyone having done a year end close with outstanding invoice....can you please send me the necessary steps for transfer ...is it manual..posting details would be great
RegardsHi
has anyone encountered a similar situation ? -
AUC down payment hitting wrong GLS
Dear Experts,
We are using down payment for WIP, complete configuration in OBYR OAYB and assignment of down payment GL and down payment clearing GL are assigned in AO90.
We prepare internal orders book all the expenses and will be settled to AUC in the month end.
At the settlement entries posted will be
Down payment asset acquisition – Debit
Down payment asset clearing – Credit
I have run the complete cycle this down payment acquisition is not added to any acquisition account.
At the time of initial down payment also below entry getting posted without hitting any OBYR configured GLS.
Vendor Debit 29A
Bank Credit 50.
The GLs which are configured in OBYR are hitting nowhere.
The down payment transaction in asset explorer should be nullified when final payment is done even that is also not happening.
We are processing the down payment through ME2DP transaction
Please let me know where I have missed the configuration.
With Regards
UdayDear Experts,
I am waiting for the guidance how to knock of the values from asset down payment clearing account,
auc asset explorer is showing additional acquisition value which is equal to down payment value.
Total amount settled to the asset is 240000 through ko88.
acquisition value - 200000
down payment value - 40000
Settlement entry posted while settling from internal order to AUC.
Asset acquisition account - 200000 - Debit
Asset down payment acquisition account - 40000 -Debit
Consumption account - 200000 - credit
Asset Down payment clearing account - Credit - 40000
Asset value is showing 40000 extra as acquisition and I can able to settle this 200000 from auc to normal asset.
This 40000 is showing in down payment acquisition and down payment clearing account.
The asset books and gl are not matching because of this additional acquisition value in asset.
Let me know how to knock of this value in asset.
If required I can provide additional inputs.
With Regards
Uday -
AUC Down payment (advance payment)
Hi all,
I'm analyzing my customer's process related to the AUC.They use to perform downpayment on AUC, using the investment order.
Could anyone show me the whole process to perform AUC down payment, with the indication of the transaction codes used?
I would need to know the process step by step...
Thank you very muchHi,,
For asset down payment follow the steps given bellow.
1. create two gl accounts for down payment gl a/c & clearing gl a/c as balance sheet accounts.
2. U have assign this give down payment gl a/c & clearing a/c in AUC Asset class in T.Code AO90 in balance sheet accounts .
3.Allow asset classes for transcation group 15 in T.code OAYB for down payment .
4.make down payment request with asset number & purchase no from T.code F-47.
5. And make down payment with respect down payment request as normal in F-48
Regards,
R.N.Reddy -
Manual clearing of Down Payment
Hi,
Please help me in the process of dowm payment.
We need to clear the vendor account manually, after transferring the amount to vendor.
Steps 1.Down Payment Request 2. Downpayment Transfer 3.Posting invoice against down payment.
4.Manual Clearing of down Payment against Invoice.
I need clarification on 4th point.Which transaction to be used to manual clearing.
Actually i am using F-54 to clear the vendor account, since the system is asking for the other GL account,
when i am trying to process the open items.
Thanks in advanceTry F-44 and give teh special GL indicator also , this will enable the clearing from the downpayment also.
Hope this helps
Thanks
Sekar -
Clearing Customer down payment for down payment amount not equal to Customer Invoice amount
Dear All,
Below process are posting Customer transaction directly via FI without SD cycle.
Customer down payment = 102 INR
Customer Invoice = 103 INR
While doing Customer clearing w.r.t Invoice system has cleared the down payment document but posted an open item in Customer account with clearing document number of value Rs 102 .
Concern:-
1) How 1 INR difference will be countered , via receipt payment from customer from bank account ?
2) In case we have defined tolerance limit of 5% for Customer and this come to be > 1 INR ,does SAP provide clearing Customer items
automatically via any Standard Customer clearing process based on rule defined ?
Pls suggest
Regards
MJHi,
the information of the exchange rates used for down payments, is
stored in table TCURR ( exchange rates)
For the request down payment the actual exchange rate of table TCURR
or the rate of document header is taken.
When this down payment request is payed, also the exchange rate of
the actual day (TCURR) is taken.
That´s why the amount in the bank posting in local currency result
from translating the foreign currency amount at the current rate,
instead of resulting from the total of the local currency amounts
from the settled items.
Regards,
Attila -
Automatic Clearing of Down Payment
We have scenario
1. Downpayment request is triggered from SO
2. Payments is received against the request
3. When we post invoice we want it to be automatically cleared against down payment received. I have heard that standard SAP functionality does that. Our invoice from SO doesn't clear the invoice against received downpayment.
Any Suggestions?Hi Pankaj,
As per SAP standard design, it is not possible to clear the down payments during invoice booking.
See, basically till the time you book / post invoice, the down payment is treated and shown under CURRENT LIABILITIES.Once you finish billing, then you have to clear the pending / uncleared down payments against the posted invoice. This will transfer the down payment transactions from alternative reconcilation account to normal recon account.
After doing this only, you will be able to clear all items together in F.13. Otherwise you have to manually clear all line items (including invoice lines and down payment lines) in F-32.
Regards,
Srinu -
TDS is not getting reversed in T.Code: F-54 -Clear Vendor down payment
Hi,
Please help on the below issue:-
1. We passed one entry relating to down payment for fixed asset. We deducted TDS also (50% down payment).
2. We passed MIRO also. There we deducted TDS on full value of invoice amount.
3. While making T.Code: F-54-clear vendor down payment, TDS is not getting reversed.
Thanks in Advance.
Regards
SrinivasHi,
Please check whether the Challan has been done for both downpayment & invoice before downpayment clearing was done.may be That is why the system doesn't consider reversal of wht at the time of downpayment clearing as tax has already been remitted.Please refer with_item table. The int challan number & dateare for the downpaynment & for the invoice.
Hope this helps.
Regards
Ravinagh Boni -
Automatic clearing vs down payment clearing
Dear Guru's,
I got a problem regariding clearing,My Client wants to clear customer down payments against invoices through Automatic clearing f.13.
Is it possible or not? If possible let me know other wise why it is not possible.
And also give me few points regarding F-39 ( Customer down payment clearing ) vs F.13 ( Automatic clearing.
Appreciated your kind of help.
Shekar.Hi
In order to clear these documents both invoice & down payment - assignment field and amount fields should be same.
Down payment clearing is manual - this will be done manually.
F.13 - automatic clearing is done by the system based on the criteria maintained in the configuration
VVR -
How to clear the down payment against the vendor invoice in the payment program?
A down payment is made $25 Later an invoice is posted for $100 Now i want to Pay $75 to Vendor But the Automatic payment program is not clearing the down payment against the vendor invoice. Could you please help how to clear the down payment against the vendor invoice in the payment program?
Swathi,
Need your help i have a strange situation
1) F-48 and document posted with document no = 15..... in company code = L002 with payment block getting populated automatically
2) F-48 and document posted with document no= 15..... in company code = Us11 without payment block and the screen does not even show payment block, I had to check this from BSEG table
My question is
a) How and where does this payment block is triggered through configured and how to process next steps.
b) when I use F-48, how do we do the actual payment, is there a check printing and linking it to the KZ document or is check printing done outside the system and the KZ document type does not have any linkage.
c) If I do FB60 for a higher amount how do we pay partial amount.
Your response is appreciated. -
Clearing customer down payment without VAT code
Dear Freinds
For normal cleared items ( between invoices and incoming payments) the VAT code doen't appear.
But while clearing a Customer Down payment request, when we are using a sp. GL Indicator it is asking for tax code
I want to clear customer down payment without tax code.According to the local legal requirement in the VAT report should not appear any clearing with tax code even if Tax code has no tax.
Can anybody help me?? I tried changing the tax category of Sp. Gl Recon account to blank but then it doesn't allow to post a down payment request with tax applicable.
Rgds
SudipHi Ravindra
If we remove the tax category, then the problem is when we create a down payment request and do billing where tax rate is applicable, Entry will not happen in Accounting.
Only thing which I need is that at time of clearing the down payment request, putting tax code should not be mandatory.Just like when I am clearing a normal invoice (Inv. and incoming payment) no tax code is required.
Rgds -
Need BAPI for F-54 Clear Vendor Down Payment
HI Gurus,
Is there any BAPI available for clearing vendor down payment? We can use F-54 tcode to do it manually.
I need to clear the vendor down payment from an USER-EXIT.
how can I do this?
Pls guide me.
Thanks & regards,
MurphyHi,
Looks we don't have any dedicated BAPI for F-54..You can check 'BAPI_ACC_INVOICE_RECEIPT_POST' for your requirement...
User-Exit you need to search for F-54. -
Clearing Customer down payment
Hello all,
Please explain whether the system gives currency conversion fluctuation at the time of clearing customer down payment against the invoice or not.
If Yes the where to got for its setting.
suggestHi,
the information of the exchange rates used for down payments, is
stored in table TCURR ( exchange rates)
For the request down payment the actual exchange rate of table TCURR
or the rate of document header is taken.
When this down payment request is payed, also the exchange rate of
the actual day (TCURR) is taken.
That´s why the amount in the bank posting in local currency result
from translating the foreign currency amount at the current rate,
instead of resulting from the total of the local currency amounts
from the settled items.
Regards,
Attila
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