Consolidated companies are different

Hi,
User is trying to make an invoice through MIRO, he is getting the error as consolidated companies are different. pls suggest.
Regards,
venki

Hi,
User is trying to make an invoice through MIRO, he is getting the error as "consolidated companies xxxx and " are different". pls suggest.
Regards,
venki

Similar Messages

  • Error through F-44 that  Consolidated  companies 1000 and ' ' are different

    Dear Expert
    At the time of Vendor clearing through F-44 I get the
    warning message that "Withholding tax information ignored"
    where Withholding tax related customization and master has
    been updated accordingly. If I ignore the same warning
    and save the document as my all Debit and Credit transactions
    are of equal amount ,i m getting the error that "Consolidated
    companies 1000 and ' ' are different.
    What specific setting is required for the same.
    Thanks in advance
    VG

    Hi,
    If you are getting error F5 080 then most probably this is because one of the documents to be cleared contains a different trading partner (field BSEG-VBUND).
    Please check the contents of each customer/vendor line item concerning this field. The field can be viewed on the customer/vendor line item via button 'more data'. If the contents is different you have either to clear the items individually or you have to change the settings of the document type used for clearing.  You can find out what document type is used for clearing in OBXH in the 'transfer with postings section'.  Afterwards you can go to OBA7 and mark the flags 'Inter-company postings' and 'Enter trading partner'.
    I hope this helps.
    Regards
    Ravinagh Boni

  • Consolidated companies KGOI and ' ' are different

    Hi team,
    While clearing TDS Salary GL system showing below error
    Consolidated companies KGOI and ' ' are different
         Message no. F5080
    Diagnosis
         The number of the affiliated company must be clear for the selected
         document type for all line items. In this case at least two different
         companies or a company in connection with a business partner who does
         not belong to a company are stated.
    Procedure
         If you selected the correct accounts, you must enter the document with a
         document type that allows cross-company posting. Otherwise, please
         correct the entered account.
    Actually what we done..........
    1) In salary entry which was passed by HR payroll, we have distributed cost from company Code-2011 to another company code-5011.
    2) Manse some staff in 2011 cost booked in another company code 5011.
    3) in that way system passed automatic inter-company transaction, which is correct.
    5) but while doing clearing of inter company GLs & other accounts wherever these type of document selected then system throwing above error.
    Please guide use.

    Hi
    Yes you are correct, transports required through to production for this.
    The side affect of this I think is that if there are any documents (containing the document types that you have chnaged) posted while this chnage is in production, it would mean that those documents would be populated by the Partner Business Place (ie second company code) in their header record if they cross company codes. That would mean that they could then later be cleared from the second company code against the first. Also when changing the Intra Posting flag on the documnet type do an F1 Help on the filed and consider the SAPHelp on that topic.
    Overall I don't think this would be a big issue. But anyway if you transport this through at a period that is planned as low system activity this should ensure you don't post any docs while the chnage is in place and youy are doing the clearing.
    Regardss
    Michael

  • Consolidated companies 1000 and ' ' are different

    Can anyone tell me the how to solve this error "Consolidated companies 1000 and ' ' are different"  which I am getting in F-04
    Thanks,
    Madan

    Hi
    Yes you are correct, transports required through to production for this.
    The side affect of this I think is that if there are any documents (containing the document types that you have chnaged) posted while this chnage is in production, it would mean that those documents would be populated by the Partner Business Place (ie second company code) in their header record if they cross company codes. That would mean that they could then later be cleared from the second company code against the first. Also when changing the Intra Posting flag on the documnet type do an F1 Help on the filed and consider the SAPHelp on that topic.
    Overall I don't think this would be a big issue. But anyway if you transport this through at a period that is planned as low system activity this should ensure you don't post any docs while the chnage is in place and youy are doing the clearing.
    Regardss
    Michael

  • Consolidated companies 1000, 1500 are different

    hi ,
    when tried to do PGI(post goods issue) i am getting the below error
    "consolidated companies (1000, 1500) are different ".
    please suggest me .
    regards,
    deepa

    PGI is the point where FI entries related to goods getting delivered are genereated.
    Normally Finished Goods and Cost of Goods Sold GL of the same comapny are hit.
    I guess in the particular case Finished Goods GL of one company code and cost of goods sold of different company is getting hit.
    Thanks,
    Ashish

  • GRIR clearing: Different consolidation companies?

    Hi All,
    While trying to clear the GRIR account manually, I was trying to match two line items from one document to another document. They balance however, I'm not able to clear these as I get the following error:
    'Consolidated companies WE1LC and ' ' are different"
    I don't know Consolidation well, so it will be helpful if someone can tell me what to do and help me with how Consolidation is to be done.
    Thanks,
    Tejas

    Thanks Sridhar! It worked!

  • Consalidated companies 0 and are different

    Hello Experts,
    When I am processing with f-06 am getting the error consolidate companies 0 and ' ' are different.This is happening when it is with more than one customer.I have gone through some threads in forum but it is all about vendor and document type,but in my case it is when i use multiple customer.Please explain as to how i will proceed with that.
    Thanks

    Hello Binoj,
    The message number is f5080
    Diagnosis
    The number of the affiliated company must be clear for the selected document type for all line items. In this case at least two differen companies or a company in connection with a business partner who does not belong to a company are stated.
    Procedure
    If you selected the correct accounts, you must enter the document with a document type that allows cross-company posting. Otherwise, please correct the entered account.

  • F.13 clearing SAPMF05A 0700 E    F5  080 Consolidated companies UTCL and '

    Hi All
    I am getting the following error message while clearing customer transactions through F.13 and F-32
    SAPMF05A 0131 S    F5  074 2 items were selected
    SAPMF05A 0700 E    F5  080 Consolidated companies UTCL and ' ' are different
    anyone can help in this?
    rgds/Reddy
    Edited by: kpkreddy on Aug 30, 2010 1:55 PM

    Hi Reddy,
    Please check the document type used in OBXH and select UMBUCHNG check for document type assigned there defalut is AB
    ensure document type AB have Inter-company posting checked in OBA7
    Edited by: Ravi Rana on Aug 30, 2010 2:15 PM

  • F-04 posting error - Consolidated companies

    Dear all,
    I have a error message for a particular customer while posting using T Code - F-04, I got an error message saying - " Consolidated Companies XXXX & "" are different.
    Samunder Singh

    HI,
    Can u explain the Scenerio for which your working, whether ur using Cosolidation for all company codes.
    Regards,
    Sreekanth

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  • Utilization(J2IUN) in case of Sales plant and Mfg plants are different

    Hello,
    we are having two company codes 1000 and 2000,
    1000 is having the Manufturing plant- 1000
    2000 is having the sales plant      - 2000
    Both the plant are having the same excise group-10
    The company will procure a materials in 1000 plant and CENVAT is credited at 1000 Plant. The 1000 plant never dispatch materials to customers,  The company want to take Monthly utilization from 2000 company code and 2000 plant.
    The company first make STO from 1000 plant to 2000 (Inter company STO), then 2000 company will sell that material to customer or delear or etc.
    Manufaturing plant and disptach plants are different
    How to take utilization in above said scenario.
    Regards
    sapman man

    Hi
    we are having two company codes 1000 and 2000,
    1000 is having the Manufturing plant- 1000
    2000 is having the sales plant - 2000
    Both the plant are having the same excise group-10
    The company will procure a materials in 1000 plant and CENVAT is credited at 1000 Plant. The 1000 plant never dispatch materials to customers, The company want to take Monthly utilization from 2000 company code and 2000 plant.
    The company first make STO from 1000 plant to 2000 (Inter company STO), then 2000 company will sell that material to customer or delear or etc.
    Manufaturing plant and disptach plants are different
    How to take utilization in above said scenario.
    As per above your input would like narrate as under.
    As per SAP & Statutory norms Utilization is only happen when you avail credit and availing of credit is only possible when your plant is register with Excise thats only possible when you can declare your plant is in actively invloves in manfacturing activity ( Input and out put material will be differ) then you can register with Excise and get excise register the sam eyou can maintain in J1ID.
    Now coming t your case which not possible as plant 2000 becomes Depot and depot scenario you can not utilize as you are not availing any input credit.
    Son what you can do is pass the credit to 2000 plant and utilise in 1000 plants which is quite easy
    And request you to create two different excise group as you can not assign same excise group to plant and deopt.
    Hope this helps you

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