Configure Invoice Verification accounting entries

Hi,
How I can configure Invoice Verification accounting entries.
Rgds,
Hemant Kumar

Dear,
You do not have a freedome to configure MIRO accounting entries because they are standard and set in the system.
Regards,
Chintan Joshi

Similar Messages

  • While "Invoice Cancelling- Accounting entry not effected in Trial balance"

    Dear All,
    Any one knows this please revert back.this Issue is very urgent (We have to Close the Periods)
    Issue: While "Invoice Cancelling- Accounting entry not effected in Trial balance"
    Invoice which is cancelled and accounting events for Invoice & Cancellation is taken place, but the entry for cancellation is not appearing in the GL Hence the reversal effect of expense is not seen.
    I can able to see the Reversal Entry in Payables > Reports > View Accounting A
    Here > Tools > View Accounting Events > View Journal Entries > Show Addtional Information > Transfer to GL Status is "No" after that i have Run the Transfer Journal Entries to GL even its not appearing in GL and not transfer to GL.
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  • Invoice Reduction Accounting Entry Inccorrect

    Dear all;
    Here I have created one PO For 100 material ,
    I have Done MIGO for 10 material
    Now I am doing the MIRO Transaction For that PO
    Paralley i am doing the "Invoice Reduction" the vendor Invoice amount is 500 while the actual PO amount is 100.
    Now at the time of simulation the following account entry is hited as below:
    vendor ac 500
    GR/IR clr acc 100
    at the same time the system is showing some error
    "Account determination for entry TCOA RKA not possible
    Kindly tell me what is the standaaccount entry for invoice reduction and how to configure it in OBYC .
    Thanking You;
    Regards;
    Joydeep Mukherjee

    Dear Sir ,
    First of all thanking your kind reply .
    Now two separarate sets of problem is coming as below .
    1) I have created one PO with total PO value is 2000 and I have done the MIGO  full quantity .In next step in MIRO I have used the "Invoice Reduction " Now after that the simulation is coming like that.
    Vendor A/c -5000
    GR/IR  Clearing Ac- 2000
    Invoice Reduction Clearing Ac 3000
    But I think It is not correct .
    2 ) Secondly the Other Probelem is at the time posting the Invoice
      "No separate document type exists for invoice reduction "
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    Regards;
    Joydeep Mukherjee

  • PGI no. and Accounting Entry of Invoice

    Hi,
    I have got a requirement that the PGI(Post Goods Issue) no of a delivery should be same as delivery no.
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    Is there any way by which we can configure it!!
    Thanks & Regards
    Ritesh Kumar

    it would not be logical in my system.
    I could have many movements on different days for one delivery, a delivery could be splitted  (search with this term in SCN, you will see how often this happens unexpected), we could have partial invoice. The invoice could be cancelled and a new invoice could be created after a price change. The system cannot store 2 invoices under the same number.
    But if all this does not apply to your environment, then you can eventually achieve it by using an external number range which has to be equal for all three objects

  • Invoice verification and logistic invoice verification

    Hello,
    What is the different between invoice verification and logistic invoice verification?
    My Japanese client need to work with t.code: VXJ2 - customs declaration for import billing documents - Japan
    When i run this report, it finds no data.
    I read the help for this transaction and it says that only invoice verification (and not logistic invoice verification) is supported for this transaction.
    Best regards,
    Avishai Kaplan

    Hi Avishay, 
    Logistics Invoice Verification 
    Logistics Invoice Verification is a part of Materials Management (MM). It is situated at the end of the logistics supply chain that includes Purchasing, Inventory Management, and Invoice Verification. It is in Logistics Invoice Verification that incoming invoices [Seite 11] are verified in terms of their content, prices, and arithmetic. When the invoice is posted, the invoice data is saved in the system. The system updates the data saved in the invoice documents in Materials Management and Financial Accounting.
    Logistics Invoice Verification is closely integrated with the components Financial Accounting (FI) and Controlling (CO). It passes on the relevant information about payments or invoice analyses to these components.
    Features:
    In Materials Management, Logistics Invoice Verification has the following features:
    u2022 It completes the material procurement process, which started with the purchase requisition and resulted in a goods receipt.
    u2022 It allows invoices that do not originate in materials procurement (such as services, expenses, course costs) to be processed.
    u2022 It allows credit memos to be processed, either as invoice reversals or return deliveries.
    Invoice Verification 
    The main aim of invoice verification is to ensure that vendors are paid the correct amount at the right time ( not too late but also not too early ). The process should have a high incidence of fi rst-time matching, to ensure that as little time as possible is spent trying to manually match invoices that appear to be incorrect.it is important to include as few steps as possible in the process, considering that the process of handling payments
    does not in itself add value to the company or to the vendor.
    Main steps: 
    The capture of the vendoru2019s invoice details
      The matching of those details to the details that we
    believe to be correct
      The investigation of any mismatches
      The release for payment of matched invoices
      The accounting entries involved ( including taxes and
    delivery costs )
      The details recorded for audit purposes 
    Hope this information helps you out in understanding the differences  between the two
    I ncase of any further clarification do put a message
    In case if this information is of any help to you please do reward accordingly
    Thanks  & Rewards
    Pavan

  • Vat% in Accounting Entry

    Hi All,
    I have a requirement related to accounting entry, i have one process where i need to maintain 0% vat on sales item. it is for this reason i had maintain one tax code with 0% condition record at when i m creating invoice the accounting entry is generate without tax mean this 0% is not coming in accounting entry is there any possibility to retain 0% tax with accounting entry like
    customer a/c debit 1000
    sale of traded goods 1000-
    vat 0% 0-
    please help to resolve this issue.
    thanks in advance
    Regards
    Vivek Sharma

    Hi Vivek,
    I had a simillar issue. As per that requirement we need to have a new tax condition type. Hence the existing tax condition type should be made as 0 % in the condition record. As a result of it, the accounting entry was having :
    customer a/c debit 1000
    sale of traded goods 1000-
    Vat (New Condition type) - 10 %.
    The conclusion is that it is SAP standard.
    Also, please let me know under which scenario you want the 0 % VAT to be displayed in the accounting document.
    Regards

  • Accounting Entries when Invoice Verification takes place before GR

    Hello All,
    I have some difficulty in understanding the accounting entries when Invoice Verification takes place before Goods Receipt.
    The scenario is as below: - (It is taken from one of the SAP documentation - AC530 - Actual Costing & Material Ledger- pg.No.2-8)
    1) Stock of material available u2013 50 units / Value Rs.125 /Moving average price in the material master Rs.2.50 per unit
    2) Invoice receipt takes place before goods receipt u2013 100 pc @ Rs.4.00 pc
    3) System does internal stock coverage check. As per SAP document, the stock shortage is 50 pieces.
    4) So the price difference arise i.e.Rs.100 (How this amount is arrived at? u2013 Not understood)
    5) The price difference of Rs.100 is only partially debited to the material (Rs.50). The rest is posted to price difference account (Rs.50)
    The accounting entry u2013
    GRIR A/c Dr                      300
    Inventory A/c Dr.                 50
    Price Diff. A/c Dr.                50
    To Vendor A/c                   400
    Question u2013
    -     I have not understood how Rs.100 is calculated & on what Moving average price the calculation takes place.
    -     As per the calculation in the document, the moving average price of the opening stock is Rs.2.50.the stock is 50  units. (50*2.50=125)
    -     The Invoice receipt happens at 100 pcs @ Rs.4.00 (100*4=400)
    -     So the new moving average price will be Rs.3.50 (Rs.125 + {100*4=400})=Rs.525. Rs.525/(100+50)pcs = Rs.3.50
    -     So how the price difference & posting to Stock account is calculated in the accounting entry?
    Please help,
    Thanks & Regards,
    Gov

    Hi,
    Check below mentioned thread to understand posting to price difference account..
    Logic of price difference  posting
    you missed one aspect of this and that is PO qty and PO price.
    GR/IR will get debit at IR Qty * PO Price.
    rest all calculations are in the link provided..
    - So the new moving average price will be Rs.3.50 (Rs.125 + {100*4=400})=Rs.525. Rs.525/(100+50)pcs = Rs.3.50
    Moving avg. will be calculated on stock value / qty in stock. new MAP will be stock value = (125 +50) = 175 and stock qty = 50 units so MAP will be 175/50 = 3.5.
    Since, GRN has not been done yet stock value (100*4) will not be there..
    Regards,
    Sayujya

  • GR/IR Freight Clearing Account - GR & Invoice Verification

    Dear Gurus,
    I have made a PO for 1200 pcs unit price 69.20$.  (GR based IV).   (Valuation - Moving average price)
    Delivery costs - Freight (FRB1) - 1200$
    I have splitted the PO quantity in to 3 different Inbound deliveries
    Inbound 1 - 400 pcs
    Inbound 2 - 400 pcs
    Inbound 3 - 400 pcs
    I have made the Goods receipt for the 1st Inbound - 400 pcs.
    Goods Receipt 1 - 400 pcs.  The value in the GR/IR freight clearing a/c credited by 400$
    Invoice Verification1 - 400 pcs. The value in the Invoice verification is 1000$.
    The value in the GR/IR freight clearing a/c debited by 1000$
    Goods Receipt2 - 400 pcs. The value in the GR/IR freight clearing a/c got credited by 400$
    Invoice Verification2 - 400 pcs. The value in the Invoice Verification is 2000$
    The value in the GR/IR freight clearing a/c got debited by 200$ and Stock in Hand debited by 1800$
    Goods Receipt3 - 400 pcs. The value in the GR/IR freight clearing a/c got credited by 200$
    Invoice Verification3 - 400 pcs. The value in the Invoice Verification is 1500$
    The value in the GR/IR freight clearing a/c got debited by 133.33$ and Stock in Hand debited by 1366.67$
    I don't understand how the logic works for seggreating the amount to GR/IR freight clearing account and GR/IR account.
    For the first 2 GR and IV I could understand that there is a  balance in the PO condition but for the Invoice verification 3. The value debited to GR/IR freight account is 133.33$. Can anyone help me how the calculation is taking place and how the system has arrived to figure 133.33$ in the Invoice verification for GR/IR freight clearing a/c
    Strangely when I have cancelled the Invoice Verification document 3.
    The value Credited to GR/IR freight clearing account is 333.33$ instead of 133.33$
    Can somebody help me to figure out the calucation for IR after the GR for planned delivery costs.
    If any SAP notes or help files can be provided then it would be really helpful.
    Regards
    Fazal.

    Refer this note 311496 & 460244, 129066
    Symptom
    Delivery costs were planned for a purchase order item.
    A goods-receipt-based invoice verification is set.
    Several goods receipts are posted. For invoice entry, both in conventional invoice verification (transaction MR01/MRHR) and in logistics invoice verification (transaction MR1M/MIRO), the delivery costs for each purchase order item are displayed in total.
      This is the same as when, for example, only one of several GR documents/delivery notes is selected.
    Example of a purchase order history:
    Cat. Doc. no.    Itm    MvT Pstg.dt.            Qty.in BUoM       Value in local curr
    GR   5200002605 0001 101 June 16, 2000      5  PC         50,00 DEM
    GR   5200002606 0001 101 June 16, 2000      5  PC         50,00 DEM
    Sum of goods receipts                      10  PC        100,00 DEM
    DCGR 5200002605 0001     June 16, 2000       5  PC           3,33 DEM
    DCGR 5200002605 0001     June 16, 2000       5  PC           5.00 DEM
    DCGR 5200002606 0001     June 16, 2000       5  PC           3,33 DEM
    DCGR 5200002606 0001     June 16, 2000       5  PC           5.00 DEM
    Total delivery cost GR                                                 16,66 DEM
    If you only select the first GR document in the selection, you get
    the following default values for the delivery costs:
    Amount    Quantity  BUoM Itm  Decription              Vendor
    6,67         10      PC  10    Freight value        VEND01
    10,00        10      PC  10    Freight/quantity     VEND01
    (and not, as sometimes expected: -  3,33 DEM    5 PC
                                        -  5,00 DEM    5 PC)
    Other terms
    WEBRE, delivery costs, planned delivery costs, goods-receipt-based invoice verification, invoice verification
    Reason and Prerequisites
    A function such as the goods-receipt-based invoice verification is not available for delivery costs.
    Solution
    This is not an error; this is a consulting note.

  • Tolerance keys & Message No. configuration for invoice verification

    Hi Consultants,
    I need to configure the tolerance limits for scheduling agreements Which should prevent :
    accounts payable from posting invoices beyond a scheduling agreements validity end date.
    Accounts payable from posting invoices when the quantity invoiced is above the quantity ordered on the scheduling agreement.
    for this cofiguration can some body help me what are all the tolerance keys should be maintained and what are all the message No. should be configured in warning for invoice verification.
    with regards
    GNK

    Hi,
    Go to OMR6 for the company code set the tolerance limit for the tolerance key
    DQ -Quantity Variance
    PP --Price Variance
    ST- Date
    G.Ganesh Kumar

  • What are the imp. settings to configure in invoice verification in SPRO

    dear all gurus,
    i want to know the what are the important setting must be configure in the invoice verification setting in SPRO customization.
    pls. send the detailed steps, if the screen shots available it would be highly appreciated.
    i need the urgent help on that.
    thnx in advnce to all.
    rgrds,
    rajesh

    Hi,
    The details Conf. for Invoice Verification are following:
    1. Define Document Type for Invoice
    SPRO-> Financial Accounting (New) -> Account Receivable and account Payable -> Business Transactions-> Incoming Invoices and Credit Memos-> Make and Check Document Settings
    -> Define Document Types
    or
    T.Code:OBA7
    2. Define Number Ranges for Invoice
    SPRO-> Material Management -> Logistic Invoice Verification -> Invoice Verification-> Number Assignment for Accounting Documents-> Number Range for Document Type in FI
    or
    T. Code: OMR4
    3. Set Check for Duplicate Invoice
    Navigation Path: IMG-> Real Estate -> Tools -> Change Message Control
    or
    T. Code: OBA5
    4. Set Tolerance Limit for Invoice
    SPRO -> Material Management -> Logistic Invoice Verification -> Invoice Verification-> Invoice Block-> Set Tolerance Limit
    5. Activate Direct Posting to G/L Account and Material Account
    SPRO -> Material Management-> Logistic Invoice Verification ->  Incoming Invoice ->  Activate Direct Posting to G/L Account and Material Account
    6.Activate Company Code for Materials Management
    SPRO -> Logistic General ->Material Master-> Basic Setting ->  Maintain Company Code for Materials Management
    7.Default Value of Invoice Verification
    T. Code: SM30
    8.Assign tax Code for Non Taxable Transaction
    SPRO -> Financial Accounting (new) -> Financial Accounting Global Setting (New) -> Tax on Sales and Purchase ->  Posting-> Assign Tax Code for Non Taxable Transaction
    or
    T. Code:  OBCL
    Regards,
    Biju K

  • Accounts in Invoice Verification

    What are the various accounts used in Invoice Verification
    Regards
    Kapil

    hi
    Vendor Account
    There is a separate account in the sub-ledger for each vendor that all amounts concerning this vendor are posted to. Making a posting to the vendor account is not the same as making a payment; payment is only made when the Financial Accounting department posts the vendor's payment to a bank account.
    Stock Account
    In the ERP system, there is no separate account for each material. Instead, different materials with similar features are grouped together in a common account (for example, raw materials: acids). The account relevant for a material is defined in the material master record when a material is created.
    The system only posts to the stock account when a price difference occurs for an invoice.
    GR/IR Clearing Accounts
    The GR/IR clearing account is an u201Cintermediateu201D account between the stock account and the vendor account. At goods receipt, the net invoice amount expected is posted to the stock account. The offsetting entry is posted to the GR/IR clearing account. This posting is then cleared by an offsetting entry on the vendor account at invoice receipt.
    Tax Accounts
    The system makes postings to special tax accounts when invoices include tax.
    Price Differences Accounts
    Price differences have to be posted to a price differences account if price differences have occurred in an invoice and when invoices are posted net and no posting can be made to the stock account.
    Cash Discount Clearing Account
    When you post an invoice net, the cash discount amount is taken into account in the invoice, it reduces the value of the items; the offsetting posting is made to the cash discount clearing account, which is then cleared when payment is made.
    Freight Clearing Account
    The stock account is debited with the planned delivery costs at goods receipt and the system makes the offsetting posting to a freight clearing account. This posting is then cleared by an offsetting entry to the vendor account at invoice receipt.
    Thanks & regards
    Sanil K Bhandari

  • Post exchange rate differences to separate account on invoice verification

    Dear expert,
    I'm facing a problem and need your guidance related to exchange rate differences between Goods Receipt and Invoice verification caused by time differences
    My company buy an asset using purchase order with account assignment.
    As an example:
      Asset price on PO      : 100 USD
    On Good receipt (Exchange rate 1 USD = 9,000 Rp)
    Journal created
      Asset                             900,000 Rp
         GR/IR Clearing                900,000 Rp
    On Invoice verification (Exchange rate 1 USD = 10,000 Rp)
    Journal created
    GR/IR Clearing                  900,000 Rp
    Asset                               100,000 Rp  (Exchange rate differences)
        Vendor                             1,000,000 Rp
    My Company wants to put "Exchange rate differences" into separate account (Gain/Loss realized account) instead throw it on asset because asset value would be change. How make it happend?
    I already try to configure KDM (Exchange rate differences) and OB09 and still exchange rate differences posted into asset

    Hi,
    Check config in transaction code Oba1 and Obyc. check posting G/L account of PO (KBS), n try to change in KDR Class.
    Regards
    Sanjeet Kumar

  • Excise Duty (IS-OIL) - Invoice verification and accounting ED

    Hello experts,
    I have a case in my importation process with excise duty (IS-OIL). I have the following scenario: Purchasing Ed free material and receive it in ED paid Storage Location. So I use Handling type 00 and Valuation type TAX in the PO excise duty item data. I woul like to kwon Which is the standard process for the invoice verification of the excise duty cost when the handling type is 00 and the valuation type TAX?. And How can I do the invoice verification (MIRO) if there is not a specific line in the purchase order history for the excise duty cost?
    I have another case in the accounting of movement type 301 (transfer posting between 2 plants). The accounting posting is the following:
    Examle:
    Account                       Transaction
    1. STOCK FUEL          S                    BSX (Stock account)
    2. STOCK FUEL            H             BSX (Stock account)
    3. STOCK EXCISE DUTY     S             SVO (ED Account)
    4. EXCISE DUTY FUEL           H             ZZP (ED Account)     
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    Thank in advance.
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  • Accounting Entry for Depot Excise Invoice

    Hi Gurus
    We make a STO from factory to depot. I have posted the depot excise invoice via J1IJ but Im unable to see the accounting entry for the excise invoice..
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    Rgds..Vinz

    Hi Vinz,
    I would like to explore more for ur info.
    When u create Excise invoice at Factory Using J1iin, accounting entries flow to the system. When u transfer it to Depot, u credit the Excise amount using MIRO and post it to RG23D ( Depot Register)
    The value of the excise for which u have taken credit from ur factory would be passed on to customer now.
    If you notice carefully, when u take credit of Excise entry in RG23d No accounting entry flows in the system, only value & qty gets updated to Register.
    Generally, while deciding the selling price from depot  u consider Basic price + Excise duty. since u are passing on the excise benefit to customer, using proforma excise invoice (transaction J1IJ)
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    Hey CIN Gurus.. correct me if i am haveing any misconcepts regarding this.
    Hope this is clear to you now..
    Reward if helpful..

  • Accounting entry against Excise invoice not created  for Service Tax sales

    Dear all,
        I am facing one problem related to accounting entry against excise invoice not created, for service tax sales scenario in SEZ plant.
    Accounting entry against billing document is generated,which contains revenue account-Debit entry,service tax 10% --Debit entry,ECS-Service tax 2% --Debit entry, SECess Service Tax 1% --Debit entry & Sundry Debtors (Reco)  - Domestic(Customer receivable reconciallation) account-Credit entry.
      But after generating excise invoice, accouning entries not generated for clearing of Cenvat suspense entry(i.e.service tax 10% ,ECS-Service tax 2% , SECess Service Tax 1%) which is generated during billing document.
    Plz. suggest step by step guideline to resolve this issue.
    Thanks & Regards,
    Mukesh Pardeshi

    Hi ReazuddinMD,
    thanks for your reply and support...I checked all the entries/accounts maintained correct.. but the Accounting entrys against Excise invoice not created..
    Now i am geeting error as below at the time of saving Excise invoice,
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    No account was specified for account type "S" in item "0000000001" of the FI/CO document.
    System Response
    The Financial Accounting program cannot process the document.
    Procedure
    A system error has probably occurred in the application you called up. Check the data transferred to item "0000000001" of the FI/CO document.

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