Clearing VAT GL open items with EBS

In some countries like France and Mexico. VAT  taxes are not recognized when an invoice is issued, but when a payment is made.
I want to clear VAT GL Open items using Bank reconciliation EBS. Instead of clearing using Deferred process program RFUMSV50
I would appreciate if anyone of you that has been dealing with clearing VAT taxes using EBS kindly make some comments or share some experience.
Thanks in advance for your information.

when you clear the open item, the system will pick up the exchange rate mentioned in the tables (Tcode OB08) and the difference in the exchange rate entered in the invoice and the exchange from the tables at the time of payment will  be proposed.
If you enter the payment document with the same exchange rate you had given at the time of invoicing, there will not be any difference.
Check you settings in OB08.
Regards

Similar Messages

  • Clearing forex open item with INR receipt

    Hi,
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    Muru

    Lawrence,
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  • Post with clearing: FB05  No open items were found

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  • Clearing of vendor open items

    hi all
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  • Automatic Payment Run - Clearing of the Open Items

    Dear Forum,
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  • FPBW: Extract Open Items with a posting date in the future

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    =================================
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    Hi Marcos,
    When you have created the Restricted keyfigures for Open Items, You have to add the date characteristic on which you are looking open item and add the variable there.Here you have to use a variable of type Interval and select the operator "<" the date of the Variable.If you go through, there are standard variable for keydate, which you can use directly.
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    Regards
    Happy Tony

  • Clearing of GL open items F-03 for foreign currency trans

    Hi there,
    I am trying to clear a GL open item managed Bank clearing a/c which has a payment document with foreign currency amount (doc cur) and LC1 and LC2.
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    when you clear the open item, the system will pick up the exchange rate mentioned in the tables (Tcode OB08) and the difference in the exchange rate entered in the invoice and the exchange from the tables at the time of payment will  be proposed.
    If you enter the payment document with the same exchange rate you had given at the time of invoicing, there will not be any difference.
    Check you settings in OB08.
    Regards

  • How to clear archived vendor open items in F-44

    Hello Experts
    My user trying to clear the vendor open items through F-44.once he posted that document and he double clicking the document no, here he is getting error like below
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    System error: Routine Beleg_Nachl info '0100-1100000001-2003-001' Not in
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        In program routine 'Beleg_Nachle' an error
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    Vamsi

    Hello!
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    Regards,
    REnan

  • How to make a single payment for different open  items with same due date

    Hi,
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    Regards
    VK GUPTA

    Hi,
    Please check Vendor Master data: FK02 ->company code data -> Payment transaction accounting: unflag 'individual payment'.
    Make a test and let me know if it's okay.
    regards

  • S_ALR_87010007 (open items with foriegn customers)

    While executing S_ALR_87010007 (open items with foriegn customers) i get the following error:
    Call contained error(s): ADS (2)
    This is happening after we have upgraded to ECC 6
    Can anyone tell me what is the reason for this error? How do we rectify this?
    Thanks and Regards,
    Satya

    Do we need to install ADS for this? We are able to execute this report in 4.7 version but not in ECC 6

  • Why open items with dunning level 0 sometimes appear?

    Hi All,
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    Many thanks

    Check if deselcting the indicator for Always Dun? in dunning level configuration in FBMP ,solves your issue.
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    Kedar

  • Clearing of Vendor Open Item

    Dear all,
    After I have done MIGO and MIRO for the PO. May I kown how to clear the Vendor Open Item found in F.41?
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    Hi
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    Cheers
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  • Post open items with clearing for a account nt previously open item managed

    Hi,
    We have a current VAT account which was not open item managed till April 2008. Since the account has a zero balance we were able to make it open item managed from May onwards.
    Using transaction code FS10N we see that there are some items which are open  (type SB and SA). We want to post these items with clearing.
    Moreover the postings made in the vat account are done every month but they are manual postings only using T.Code FB50 and as checked using the transaction code OB40.
    We are not also allowed to run program RSEPA02. as this is not a standard program and not recommended to be run by SAP.
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    Thanks and regards,
    Priyajit.

    Hi,
    In this case when you are shifting account from open item to non open item all the open item debit and credit side to a dummy account and when account is converted into open item you have to reverse the earlier entries.
    Check this with what exactly you have done.
    Assign points if solved the problem.
    Warm Regards
    Edited by: MILIND on May 20, 2008 10:29 AM

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