Cross company tax transfer posting

Dear All
The following transaction is cross company related
For cocd 4100
Bank charges Export sales   Rs  1000 Dr    Tax code S1
Service tax                                   100  Dr                    S1
E.cess                                      2  Dr                    S1
  H cess                                          1 Dr                     S1
  Cross Co Clearing A/c                   1103 Cr
  For Cocd 1000
   HDFC bank                    1103 Cr
   Cross co clearing a/c                        1103 Dr.
Our client would like to post the tax amount on co.code 1000.
I have already set the configuration for
SPRO>Financial Accounting (New)> Financial Accounting Basic Settings (New)> Tax on Sales/Purchases>Posting>Transfer Posting of Tax for Cross-Company Code Transactions
Co.cd1        Cocd2      Taxcdorgin
  4100            1000            S1
Then I have run  Program RFBUST10 through T/code SE38  but system showing u201CNo lsit generatedu201D
Please advice.
Regards
Avijit

Issue resolved by self !

Similar Messages

  • Cross Company Stock Transfer- Please check excise base for the item is zero

    Hi,
    My scenario is Cross company Stock transfer (Two different Company Codes)
    I have done following steps :
    1.Create Purchase Order
    2.Create Outbound Delivery for Purchase Order
    3.Post Goods Issue for Delivery
    4.Creating Billing Document
    5.Creating Excise Invoice
    6.Printing of Excise Invoice
    7.Post Goods Receipt for Stock Transport Order
    Till MIGO there is no problem.
    I am getting a errro while doing MIGO with reference to Outbound Delivery, when I enter Excise Invoice created in sending plant, I am getting error as
    "Please check excise base for the item is zero" - Message no. 4F121
    Excise Duty values are flowing as per the excise invoice but system make base value as 0 , I have maintained Assesable value in J1ID also. We are using TAXINN.
    Pl. help
    Thanks
    Vikas

    Hi
    The best way to slolve this problem, Now is to maintain Assable value in Material Master For reciving Plant.
    Hear you can maintain all the chapter id, register A or C, etc
    and then try doing GR,
    The other way and the permanent solution is
    VPRS or equivalent
    Condition class B Prices
    Calculat.type C Quantity
    Condit.category  H
    Cond.control H Condition value fixed
    Condit.origin A Automatic pricing
    In this Condition category is most important and by this only system copies the base amount for excise duty calculation in MIGO or J1IEX.
    Regs
    Niti Narayan

  • Issues on cross-company stock transfer triggered by sales order

    Hi, friends:
      As our business process required, we need to make the cross-company sale between to plants under two company codes.
      The business process required is different from standard inter-company billing in SAP SD module. Our business process is as follows:
       sales order --> PR --> PO --> cross-company stock transfer --> delivery to customer --> billing.
      However, there is a difficulty in this process of make-to-stock production method. When we use schedule line item in SO to trigger the PO, there is a must to assign "account assignment category" in PO. This indicator is unchangable in PO by manual. When post goods recepit against the PO, there is no stock quantity udpate in un-restricted stock. By the way,  I selected "C" in the "account assignment category" of schedule line item cofiguration.
      Checked the MM documents, I found it seemed like only two results of PGR against PO with account assignment category. One result of PGR is directly consumpted by receiptent or unloading point. The other result of PGR is updating sepecial stock. For example, I've fullfilled the process for make-to-order production method, the stocks are specified for sales order.
      In our requiremnt, we have to post to normal un-restricted stock for the following ATP in sales order.
      Could any friend give some suggestion on this issue?
      Thanks!
    Justin

    Hi, Venkadesh:
      I've checked the Purchasing view and quantity/value update in both plants of different company codes. That's correctly configured.
      In the business process, the quantity in normal un-restricted stock updating still doesn't work.
      Do you mean that as follows: if select any indicator in  "account assignment category", we have to use UNBW or NLAG material type in the purchase order?
      I have successfully fullfilled the process in make-to-order sales order, with material type FERT and account assignment category "E". The account assignmnet categroy is obligatory in sales order schedlue line item configuration, which is to trigger PO by SO. The configuration path is as below:
      IMG>Sales and Distribution>Sales>Sales Documents>Schedule Lines-->Define Schedule Line Categories
      If possible, would make a test in your system to check how to fullfill the process with make-to-stock sales order, FERT material?
      Thanks!
    Justin

  • Return back the stock in a cross company stock transfer environment

    Hi all,
    I have a question in reagrds to Standard SAP Stock transport order with SD and billing (i.e. cross company stock transfer)
    For example:
    Ordering plant (issue Stock transport PO)----
    > Supplying plant (create DO) -
    > Supplying Plant (PGI) -
    > Ordering Plant (GR) -
    > Supplying Plant (billing) -
    > Ordering plant (invoice verification)
    Now my question is...
    if the ordering plant want to return the stock back to the supplying plant due to some business reason, what does ordering and supplying need to do?
    Can the supplying plant now issue a stock transport PO to the ordering plant to buy back (i.e. get back) the stock? is this the right away? and if not what is the right way so that the financial posting can correctly take  place.
    regards
    YY

    Hi Buddy
    Please refer OSS note 430074
    Regards
    Yogesh

  • Cross company stock transfer, in which table "stock in transfer CC"

    Dear Gurus,
    When I do cross company stock transfer, in which table quantity for "stock in transfer CC" will get updated?
    Rgds
    Sar

    Hi there
    Just with th report transaction MB5T
    I think your purpose will be solved using that report
    just check the flag cross company code in the initial screen
    *the qty gets updated in the table MSEG feild MENGE.*
    Reward if usefull
    Sujoy
    Edited by: SUJOY KUMAR PAL on Feb 15, 2008 6:07 AM

  • Billing pirce in the cross-company stock transfer

    Hi,
       We went to use the cross-company stock transfer to move our stock from one company to another, as we know price of the Intercompany billing copy from condition table.but we went the price copy from the transfer order(PO),How to do it?
    Lance

    Dear Lance,
    Go to copy controls of Billing doc., choose Tgt doc type and Source doc type, click on 'Item' in tree and choose "details", there u'll find a field by "Price Source" and can put that as "A" (PO). Hope this answers your question.
    Reward if it helps
    Samier Danish

  • How to control the goods receive in Cross-Company Stock Transfer process?

    Hi,
    we use the standard Cross-Company Stock Transfer process to transfer goods between company, we have a issue, for  example transfer order quantity(po) is 10 pc, devlivery order quantity is also 10 pc,but only issue 5pc.and then we use mb01 to receive goods.It can receive 10 pc!? is there anything wrong with my configuration?
    Regards,
    lance

    Hi,
    Can you explain WHY Cross-Company STO's can still be received by referencing the PO even if this has not been Goods Issued? 
    It has also occurred in our set up that the PO qty is 1000, GI was only 500, GR is also 500, but the remaining 500 can still be received even if it wasn't issued (referencing the PO).
    Regards,
    Lee

  • Error in Cross Company Stock Transfer

    Dear Experts,
           While creating billing document for cross company stock transfer, it is not taking the material basic price and freight value.it is showing value 0.00, what might be the mistake. how do i correct that. kindly let me know plz.
    Regards,
    Prasath

    hi,
    even after i mantained that, it is not taking. then i have tried to maintain manually in condition tab. there if i press f4 and chekced for that condtion type. the gross price condtion is not coming there. but it is there in the procedure. i cant able to solve this. kindly let me know any other solution plz.
    prasath

  • Material Division in Cross-Company Stock Transfer Order

    We are configuring the cross-company code stock transfer order process.  We seem to have all configuration done, but on the PO and Delivery the division that shows up at the item level is the sales area common division, not the division on the material master.  Due to this, the business area is not being assigned correctly (Plant/Division), thus now allowing us to post the invoice.
    Here are the specific Doc types we are using:
    PO: NB
    Delivery: NLCC
    Delivery Item Cat: NLC
    Invoice: IV
    Any ideas as to how to get the division from the material master to show up on the PO and/or delivery so that's what pulls into the invoice?  We also understand the the default Sales Order type DL is set for Delivery Type NLCC in the event there is no Sales Order.  For Sales Order Type DL we have set the Item Division flag, but that is not working either.
    Any ideas?
    Thanks
    Shane Newmyer

    Hi buddi,
    Thanks for the info, but neither of these things help with the division issue.  I need to have the material division on the PO, Del and Invoice...
    Any other ideas?

  • Cross-Company Stock Transfer with Delivery and Billing

    Hello Fellow Experts and Friends,
    I have a situation at a client in California. The client does Make-to-Order sales. The only materials kept in inventory are raw materials and NREs. This client has plants in several countries around the world but only two are on SAP. The current version is 4.6C.
    The scenario goes like this. The plant in China (CC: 2020, Plnt: 0020) wants to order raw materials from the US plant (CC: 1010, Plnt: 0010). If the US plant does not have enough stock in inventory, an order needs to be placed with a local vendor. When all materials a re available to ship,we need to deliver to and invoice the China plant. Additionally, shipment notification needs to be sent to the plant in China.
    IWould someone please be so kind as to helpme with a "Best Practice" process flow for Cross-Company STO with Delivery and Billing? I also need guidlines for customizing the process in the IMG. This process must include issuing a PO to a local vendor for ordering additional inventory. For the shipment notification, I was thinking of an EDI Advance Shipment Notice if the receiving plant uses EDI. I need a different option, If the receiving palnt does not use EDI.
    I am open to your suggestions.
    Thanks,
    AJ
    Edited by: Arthur Hawley on Sep 8, 2009 10:56 PM
    Edited by: Arthur Hawley on Sep 11, 2009 4:46 PM

    Arthur,
    Once this is correctly set up it works very, very well.  And the cross-company supply scenario is actually fairly simple, streamlined and automated.  However, this is NOT such a simple process to set up.
    True cross-company supply, all the way through, requires a LOT of configuration which ties in SD, MM, FI, and EDI.  It uses "wrap-around" IDocs to do some of the cross-posting in other company codes.  There is also the issue of Intercompany markups, as well as Intercompany eliminations.
    There are LOTS of folks who do the painful process of the FULL Order to Cash in one company code, and the full Purchase to Pay in the other.  But this is NOT the right solution and requires almost twice as much transaction processing.
    Just for the Intercompany setup, start to finish, I've been working on a "cookbook" to set up all of the modules for almost 10 years now.  I've done it several times, at several companies and it works very well once it is all in place.  However, that cookbook document is about 100 pages long (config settings, IMG settings, master data requirements, EDI settings, etc.).
    Also, in your scenario you are talking about multi-sourcing parts from other locations.  All of the related MRP settings are a separate setup issue.
    What you are asking is WAYYYYyyy beyond the scope of forum posting.  So if your company or client could use some help, please feel free to contact me.
    Bill Wood - President
    R3Now Consulting
    http://www.r3now.com SAP thought leadership!
    Platinum SAP Solutions
    (704) 905 - 5175
    http://www.linkedin.com/in/billwood

  • Cross company code downpayment posting error

    Hi,
    When I am posting cross company code downpayment in F-48 getting below error.
    "Balancing field "Profit Center" in line item 001 not filled".
    Vendor A/c (Company A)
    Bank clearing A/c(Company B) - Profit center 25000
    Problem it is not deriving the profit center for Vendor reconciliation A/c. I have used document type KZ, check boxes "intercompany postings" and "trading partner" are activated in this document type.
    Default profit center has made for Bank clearing A/c and Cross company code clearing A/c. Assigned Profit center 25000 for Company A also.
    Kindly advice where I am wrong, which is the correct document type to post the Cross company code transactions (Down payment:F-48, charging-off GL open item to Vendor) to derive the profit center for Vendor reconciliation A/c? Or
    How can I configure in New GL that the profit center should get derived from the Cross company code clearing A/c for above cross company code transactions?
    Best regards
    Shanid

    Hi Atif,
    Thanks again for your reply.
    Since we have made Profit center as mandatory in New GL charactristcs this will give the priority to enter the Profit center as
    Mandatory. As I mentioned earlier we required profit center in all lines.
    I have tried whatever you have said, still it is not working.
    It will be great if you give a solution for this.
    Regards
    Shanu

  • Tax Transfer Posting ??????

    Hi,
    I got an issue with the report "S_P00_07000119": All configuration for Tax codes is done, posting accts, Target tax, .....etc.
    I did different tests but I got nothing in result, the error message " No data contains" and no line items  are displayed.
    For Information, this is a subsidiary in France and all other countries are cutomized in the system!!!!!!!!!!!!!!!!!!
    usually, I do solve issues just by  trying logical possibilities but this time, I got no possibility in mind. Please, give me feedback if u faced same issue or even if u think about a test that I can do, just to make it work.
    Thanks
    Regards,
    KL

    Hi,
    i am calculating the Service Tax through Tax Code not from Precing Procedure, in Tax code assigned Targeted Tax code,
    the transfer posting is workig but the intrim G/L account posting in Basic G/L account for ECess & SHCess
    Regards
    Akmal

  • Cross-company stock transfer with delivery function!

    Dear friends:
          I have a problem to borther u,I create stock transfer order with type 'NB',and then create delivery by T-CODE:VL10B with reference to the transfer order,but the log show the following error message:
       1030000484 000010 Sales unit  is not valid for item 000010
       Diagnosis
        The sales unit is not allowed for the material in item
        000010.
    System Response
        The system does not allow further processing of this item.
    Procedure
        Check your entry.
        Select a sales unit which is defined for the material in the
        material master record. Normally the sales unit will be
        determined immediately from the master master record.
    I really don't know how to deal it.
    thanks.

    UOM is in which stocks of the material are managed. The system converts all the quantities you enter in other units of measure to the base unit of measure.
    In the material master [MM02] check as to what is the base unit of measurement in the Sales Org1 tab and Purchasing tab. It seems that both these would be different as the system is not able to convert the UOM from Purchsing unit to the sales unit.
    Next, click the button for 'Additional data' [CTRL+F6], tab Unit of measure and enter the conversion for the UOM.
    For more details refer to the link below.
    <a href="http://help.sap.com/saphelp_46c/helpdata/en/ff/516a6749d811d182b80000e829fbfe/frameset.htm">UOM Details</a>
    In the link, follow the path Material Master Records-Additional Data-Units of measure.
    Regards,
    Gauravjit.
    Reward points if the solution is helpful

  • Deregulated - Inter company money transfer

    Hello Friends
    How to do money transfer between companies in a deregulated environment? When I try to do a transfer using FP40, getting a message Contract xxxxx is deregulated. Transfer postings not possible
    Here is my scenario
    Customer has 2 contract accounts. Each contract account has 2 contracts - 1 distribution and 1 supplier.
    All distribution contracts have the same company code.
    Company code in supplier contracts vary depending on the customer's choice of electric supplier.
    When customer requested balance transfer and the company codes between source and target supplier
    contracts are not the same, transaction code FP40 generates the error message EDER500 (Contract
    xxxxx is deregulated. Transfer postings not possible).
    How can I transfer the balance from one account to another?

    Hi,
    The problem that you are facing is basically transferring balances across intercompany codes. and I dont think FP40 allows transferring balances across intercompany codes.
    So, for transferring open balance to another between cross company codes, you first need to maintain posting area 0030.
    Say you have two company codes X and Y, and you want to activate the transfer posting, so you need to maintain two set of GL entries for-
    Posted in Clearing against
    X                        Y
    Y                        X
    You need to create a intercompany code GL A/c for each company code and assign it in the receivables and the payables account
    Also you need to confgure one new set of main\Sub for transfer postings.
    As cross company code transfer is not possible by Transaction Code-FP40, you need to use FPE1 with document type TF and Clearing reason 03.
    Select the open items you want to transfer and enter the details of the account on which you want to transfer with the proper main\sub configured for the same.
    Hope it helps.
    Thanks,
    Amlan

  • Cross company code txn

    Hi,
    I have to create a report on cross company code transactions, can any one let me know how to do this?
    I have never worked on cross company code transactions can any one explain me about it.

    Dear Sultan,
    You can use report RFBVOR00 to display cross-company code transactions.
    Cross-Company code transactions:
    A cross-company code transaction involves two or more company codes in one business transaction. Examples:
    One company code makes purchases for other company codes (Central Procurement)
    a. One company code pays invoices for other company codes (Central Payment)
    b. One company code sells goods to other company codes
    A cross-company code transaction posts to accounts in several company codes. This cannot be done by posting only one document because a document is always assigned to exactly one company code. Instead, the system creates and posts a
    separate document in each company code involved. In order to balance debits and credits within these documents, the system generates automatic line items which are posted to clearing accounts, for payables or receivables.
    The documentswhich belong to one cross-company code transaction are linked by a common cross-company code transaction number.
    Hope the above information helps you to understand Cross - Company Code Transactions
    Regards,
    Mir

Maybe you are looking for

  • Screen ipad doesn't respond during video viewing home sharing with multiple iOS devices simultaneously

    A have a problem with the videos app and iTunes home sharing on multiple iOS devices. This is my setup. On my iMac 2006 with Snow Leopard I have: - 100+ dvd's ripped in my iTunes movie section - 600+ episodes ripped in iTunes TV-section in 35 TV-show

  • Can I use my account on a different computer?

    Can I use my account on a different computer?

  • Applet Permission Network Problem

    Hi, I have done alot of reading up on applets, to be honest Im more confused when I started! Basically, here is the scenario: I have a single java applet, which is a gui that takes some input and then fires it off (via UDP sock connection) to another

  • SC Lines in SOCO

    Hi Can you help me to understand what is the mechanism behind deletion/removal of shopping cart lines from sourcing cockpit once a PO is successfully created.What triggers the removal of lines? We are in Classic Scenario. Regards Sathya

  • Fonts in AI

    I cannot get a font to change from regular to italics. Any help. I have tried finding the Italics font file online but I can't. The font is SavingsBond. And I can get it to work if I use the SavingsBond regular but I need it to be italicized and that