Credit memo for Fixed Asset

Hi Experts,
My company has purchased a fixed asset and found the item is spoil. It will be returned to vendor and receive credit memo from them. But I found the credit memo in SAP there is no column to let me key in my asset tagged number and it credits to my SUPPLY and MATERIAL account which should credit to my Fixed Asset account. Please advise what is probably way to key in credit memo?

Hi,
Acording to me you can reverse the MIGO Document or you can reverse the Asset Document through T-Code AB08 and then the entry will be reversed. Else youo can crerate a return PO and then do MIGO of Return PO by that once you execute MIGO then the entry would be reversed and hence the effect would be nullified. Kindly check the above solutions and revert.
Regards,
Malhar.

Similar Messages

  • Credit memo for asset with depreciation posted

    HI,
    There is requirement to pass a credit memo for an asset.
    The asset was purchased on 01.04.10.
    And have been depreciated till 31.05.11.
    Now the client want to pass credit memo for the full acquisition value.
    My issue is when I am passing the entry through ABGF - ... in Next Year
    System is throwing error stating the value is going negative.
    Then we passed the write up for the depreciated value as on 01.04.10.
    Still system is giving the same error message.
    Please suggest on what date should I pass the write up to clear the whole posted depreciation and pass the credit memo.

    Hi,
    Go to asset master change, in depreciation are tab double click on depreciation are number  then select negative values allowed check box
    Hope this will help you.
    thanks!

  • ABGL Post Credit memo for asset

    Hi,
    In transaction ABGL (Credit Memo in Invoice Year), I wanted to issue credit memo for price difference in acquisition of asset.
    issue background:-
    asset bought without PO (F-90), last year 2010
    Now we want to post Credit memo for this asset.
    Error hit:
    Acquisition value negative in area 01.
    Message no. AA617
    What is this error message mean? How to resolve this?

    Hi,
    in OADB, our setting :-
    Acquisition value = +
    NBV = +
    Investment grants = 0
    Revaluation = 0
    Ordinary depreciat. = *
    Special Depr. = *
    Unplanned Depreciat. = *
    Transfer of reserves = -
    Interest = 0
    Revaluation ord.dep. = 0
    I follow your step, i change acquisition value field to "-", it prompt me this message:-
    Caution: generic values for real depreciation area (refer to long text)
    Message no. AC246
    Diagnosis
    You set up depreciation area 01 so that all types of acquisition values are allowed. However, this only makes sense for derived depreciation areas.
    System Response
    Warning message. The system allows the setting, but note that it can lead to undesired effects for real depreciation areas.
    Procedure
    Check the setting.
    I change theAcquisition value  + to -?

  • Credit memo for 0 value asset

    Hello Gurus,
    We want to create a credit memo for the asset been already depreciated fully and net book value is 0. Because the vendor agreed to give some discounts on purchase price after 2 yearsu.Is it possible?
    Thanks,
    Bob

    Hi,
    Is your Asset was capitalised through a purchase order? then go to MIRO and choose Credit Memo in transaction selection instead of invoice on the top left corner of the screen. (please try this, i am not sure, whether it works)
    Otherwise go to tranasction FB65 for posting credir memo to your vendor, there credit the GL Ordinary dep exp GL account for an amount, which you have received as discount from vendor, so by posting this credit memo your ordinary depreciation exp account will be reduced by this discount received amount.
    Please try and get back to us.
    Thanks,
    Srinu

  • Credit memo for subsequent acquisitions in Fixed Assets

    According to the Fixed Asset help file - section Credit memo for Subsequent Acquisitions it Says " Fixed Assets *DOES NOT* allow posting a credit memo for a subsequent acquistion.  What are the exactt circumstances in which Fixed Assets will block these credit memos. I have added subsequent Acquisitions and Fixed Assets appears to allow credit memo's where depreaction has not been run and also where depreciation has  not been run. How does this blocking mechanism work?

    Hi John
    It appears that there is no good answer to your question.  From my undertstanding, the SAP Fixed Assets add-on is a very basic solution, and does not anticipate many of the changes that can occur once an Asset is acquired.  Frankly, it is pretty basic when handling the initial acquisition.
    Not that this will help you with this particular install, but the Fixed Assets add-on from B1 Fixed Assets LLC does a very thorough job of creating Assets, where you can use any or all of Invoices, Credit Memos, and Journal Entries, mixing and matching to create the Asset.  Once the Asset has be added, making Cost Adjustments is almost as thorough, and provides considerably more options to recognize the Cost Adjustment.  You can see a viedo of a relatively simple Asset Acquisition on YouTube (www.youtube.com/b1fixedassets).   
    Let me know how you get this issue resolved - I am very interested.
    Joe

  • How to create a credit memo for an existing sales order !

    Can any body help for how to create a credit memo for an existing sales order !

    Hi,
    It is actually possible to create credit memos from sales orders though it is not followed in most of the scenarios.
    We have got a scenario in commodity trading that a sales order will be created with positive value. Once the swaps are settled by the portfolio mngt team, if we have to give some money to the payer, then a credit memo will be greated (as in their case all invoices will have only +ve value as net value) with reference to the sales order. In the copy control, the main field to be taken care of at itme level is the PRICING TYPE for which a value of F has to be maintained. This will convert the sign of the values and fix them. Now a credit memo will be created for teh saels order.
    In this case, the document cateogyr of sales order will be C in VBAK, but it will be K in VBFA table which is the table for document flow.
    Hope this answers your question. You can reward if it helps you.
    Otherwise the normal process is
    SALES ORDER---INVOICECREDIT MEMO REQUEST----CREDIT MEMO

  • A/r credit memo for tax only

    Hello,
    I need to do an a/r credit memo for sales tax only.  Reason: customer was charged sales tax when he should have been exempt.
    Problem: I need this credit and tax amount to show up on my Tax Report under Financials, Financial Reports, Accounting, Tax, Tax Report so I am not overpaying our taxes (I'm running the report using the By Tax Code tab).  This report only pulls tax amounts from the variables area in the lower right of an credit memo or invoice and is dependent upon an dollar amount item being listed in the line items of the credit or invoice.  Plus, I also need the sales dollar amount that relates to this tax to show in the Total Amount column on the tax report as this column is used for our gross sales that are reported to the state.  But I can't put an item with a dollar amt on the credit memo as it will mess up the total dollar amt of the credit memo, plus will reflect incorrectly on sales analysis reports.
    How can I do an a/r credit memo for sales tax only that will reflect correctly on this report?
    Thanks for your help,
    Shelby

    If you are using SBO 2007, you could create a Tax type row and achieve this.  If it is 2005 then you would have to probably do a JE.
    Suda

  • A/R credit memo for closed A/r Invoice

    Hi Guru's,
    Our Client want to make an A/R credit memo for closed A/R Invoice (i.e) payment is already received for that A/R Invoice.
    But in such scenario, the he is not able to get the referce of the A/R invoice as it closed... so he makes the stand alone Goods Return , Excise & A/R Credit Memo.
    But the problem in this stand alone scenario is that the system treat such case as purchase scenario and hit the repective account of VAT and excise which is very incorrect.
    e.g
    Instead of hitting - VAT payable account for debit
    its hitting           - VAT input account for debit
    So please help me in this matter and give the solution as soon as possible ....its urgent.
    Thanks & Regards,
    Abhishek

    hi Abhishek,
    Create a new tax code and in that tax code create
    vat code with its A/P G/L account is same as A/R G/L account,Similary you repeat it for ed,cs,hcs also.
    1. Change Posting period if required.
    2.Reverse incoming payment entry.
    3.Do A/R credit memo base on A/R invoice with new tax code.
       Incoming excise invoice will be created automatically
       in background.
    Incoming excise invoice journal entries will be hit as in
    sales scenario.
    Hope above answer helps you.
    Jeyakanthan

  • Credit Memo for Returns PO

    Hi,
    I've created a PO with two items.  One normal item and one return item and posted the GR and IR.   The invoices was paid also.
    Due to some reasons I want to reverse the originally posted invoice.  Since it's paid and cleared, system would not allowing me to cancel the invoice using MR8M.
    The next option I've is to post a credit memo.   Here system is not allowing me to post the credit memo in any manner.  I've tried in below methods
    a) Credit Memo for both normal and return item.   - Here  system is adding the value of returns item twice and crediting the vendor instead of debiting.
    b) Individual Credit memo for normal item    and   Invoice for return item. -  Here normal item is ok, but while posting Invoice for returns item, system throwing error saying amount is negative.
    What ever the way system is not allowing me to post the document.  
    Can anybody help me in this matter. 
    Thanks in advance,
    Mallik

    Usually there is a functional different between the normal PO and return PO. When you combine together
    the following questions are popped up im my head.
    Q1. How to distinguish your doc type while creating PO?
    Q2. When you perform GR, did you do it for both normal and return items?
    Q3. When you perform GI (for returns), How did you perform?
    Q4. How the invoice identify whether it is meant for normal PO or return PO (Ofcourse - return PO, we ususally do credit memo)
    If you get the answer for above questions, you will get answer for your questions.
    Regards,

  • Credit memo for returns with multiple reference deliveries

    Hi Experts,
    I have few credit memos for returns with multilple return orders and return deliveries in document flow.
    I want to find out where do we configure this setting in which there will be single credit memo for multiple deliveries.
    And how system decides the common factors in deliveries for this credit memo?
    Please guide.
    -Chetan Barokar.

    Hi,
    In copy control settings of delivery document to billing document you can maintained the requirement routine Data VBRK/VBRP as 03 - Single invoice for an item category, as theinvoice spliting will be control from copy control.
    with regards
    Vivek.

  • Credit memo for non inventory item

    Hi MM consulatnats,
    My client need to know the best practices to handle teh credit memo for non inventory item ??
    We have two options like FB65 in FI part where it wont update in PO history.
    In MIRO also we can make credit memo w.r.to PO.
    What they  want to know is if FB65  is the correct way to do this to fully reverse the effect that the receipt and invoicing of the item had on the financial accounts.
    What is the best pracise to adopt ??
    Need your views
    Thanks
    A.Gururajan

    Hi,
    You can use MIRO for credit Memo with ref to PO.
    This will update both PO history as well as your FI accounts/Vendor Balance.
    Thanks & Regards,

  • Freight on credit memo for returns PO

    We are trying to achieve the below solution for a returns PO, created 2 condition types, assigned to the pricing procedure to achieve the GR posting. When we use MRRL to create a credit memo for both the material and the freight. the system creates a credit memo for the material and an invoice for the freight. Can someone tell me, what drives the credit memo generation for both freight and material
    GR
    Cr INV
    Dr GRIR
    Dr Freight clrg
    Cr Freight
    Credit Memo/ERS settlement/ MRRL
    Dr Vendor
    Cr GRIR
    Cr Freight Clrg
    We were able to create the GR side of the entry, using two other condition types on the PO.
    Now when we do ERS settlement,
    the system creates a credit memo for the INV line item and an invoice for the freight line item.
    Both the freight and the material is charged to the PO vendor, we dont charge separate to the freight vendor at this point.
    Any help will be appreciated.
    Thanks

    Ganesh,
    Thx for the reply!!
    We did that before as well, Even as we select it, it creates 2 documents
    1. credit memo for the inventory to the vendor
    2. invoice for the freight to the same vendor
    I guess i am missing some config piece that makes the freight on the PO to be also a credit memo while doing the MRRL
    i am using 2 condition types FRA1 and a ZFR1 (mimicking FRA1 with a negative sign)
    i have assigned 2 diff (ActKey/Accrual Key) combination to each one of them
    FRE/FR1 and FRE/ZR1(Mimicking FR1) respectively.
    I am not sure which config drives the freight as a credit memo on the MRRL side.

  • Credit memo for returns

    Hi experts,
    If I want to create credit memo only after return delivery has been PGR, is it proper to make credit memo create with reference to return delivery? You know, SAP standard is to create this kind of credit memo with reference to return order.
    If not proper, is it the reason that credit memo is set in SAP to create with reference to order or billing?
    Pls advise. Many thanks.
    Edited by: Cathy on Oct 17, 2009 5:13 AM
    Edited by: Cathy on Oct 17, 2009 5:14 AM
    Edited by: Cathy on Oct 17, 2009 5:15 AM

    Hi
    In standard SAP credit memo billing RE is created with reference to credit memo order type RE not with reference to return delivery  and PGR
    The basic reason is  return order item category REN is billing relence is Order releted billing hence it doesnot refer to return delivery
    In VOV7 if you make the billing relevance as A that is delivery related billing  for REN then system  will allow you to create credit memo with reference to return delivery only
    This is the first customization reqd
    Secondly there should be copy controls in VTFL between delivery type LR to billing type RE at header level and at item level for item category REN defined properly
    This may not be there in standard settings and this we should define
    Normally VTFA is referred for order releted billing and we are making that as delivery related so we should define copy controls in VTFL
    is it proper to make credit memo create with reference to return delivery?
    This is purely a client call
    In one my assignments the major requirement was to create returns credit memo with reference to delivery (returned delivery qty ) only
    His business prctise was
    his customers will telephonically give the return order for 5 units and send back only 4 units to him
    In this case if he makes a return return order for 5 and make a returm credit memo for 5 then that is not proper
    So we made this customization to him for creating  return credit memo with with reference to  return delivery
    His customers will telephonically give the return order for 5 units and send back only 4 units to him That was his operational shortcomings but we had to set the system accordingly
    We used to close the balance 1 unit with reason of rejection
    So according to me it is more proper to create return credit memo with reference to return delivery
    Regards
    Raja

  • Year end closing for fixed asset

    Hi,
         Currently we run the process AJAB to close the year for fixed assets at the end of the year and can close two years back.  So in September 07 I would have closed 2006, then run AJRW to open 2008.
    So it is my understanding that we can only have two years open and we have in the past had the current year and one year back.  Do you know why we do this, why don’t we have the current year and one year forward?
    There has been a request to close 2007 for fixed assets, if I do this, will this cause any problems?
    With regards,
    Sree

    If u close the 2007 there is no problem, useally everbudy maintain one previous year and one current year, basic reason is if the any capitilization is to be made with back date u can able to do. If that is not there in your case u can close but if you open the future year after that you can not reset/reopen the 2007.
    If you open 2009 also there is no use, because with future date no budy do the capitalisation.
    advantage of opening of 2009 only one advantage is u can able to see the depreciation simulation will be taken period wise.
    disadvantage of opening of 2009 you can't open 2007 if you post any entries with back date.
    assign points if its helpful.

  • Calculate Depreciation Forecast for Fixed asset

    Dear all expert,
    I'm new to ASO, would like to know if there's a way to do depreciation forcast for fixed asset in Essbase.
    1. Database type is ASO
    2. Assuming user will prepare forecast caplitialization of fixed asset then upload to Essbase
    3. Attribute dimension "Useful life" has been defined and attached to specific "Accounts" dimension for calcluation
    4. Need to calculate the forecast and spread of depreciation for future months
    E.g. Input 32000 USD for a fixed asset cost with 32 months useful life
    -> should calculate 1000 each month for the coming 32 months
    Can any expert suggest how to do this in ASO? meaning only can do calculation in member formula itself, not calculation script.
    Thanks for your help in advance,
    Billy

    I haven't used the feature, but the reference to 'local script_file' in the MaxL railroad diagram for the 'execute calculation' command suggests the location is relative to the client, if the semantics are consistent with the 'export data' command (the options for report scripts there are 'server' or 'local', although according to the railroad diagram there is no non-local alternative in this case!).
    There is a worked example in a Rittman Mead blog post about this that might help: http://www.rittmanmead.com/2010/04/oracle-epm-11-1-2-essbase-calculations-on-aso-cubes-part-2-maxl-scripts-and-eas/
    The DBAG also says that the script files should have suffix .csc, while the Tech Ref example has suffix .txt - helpful!! If they were actually meant to sit in the server's db directory, I would be surprised to find the .csc suffix used, since that is also the suffix for aggregation scripts. Although me being surprised doesn't mean much.

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