Defining Accounts for Automatic Offsetting Entry
Dear all,
From IMG: I Access the activity using the following navigation option:
Financial Accounting (New) ->Accounts Receivable and Accounts Payable ->Business Transactions -> Postings with Alternative Reconciliation Account -> Other Special G/L Transactions -> Define Accounts for Automatic Offsetting Entry
I'd like to ask a question: If I can define more items in column Account type/sp.GL ind? where I can do it?
Thank in advance
Minhtb
Hi
Based on Business Transactions u can assign the Alt Gl MRecords. Like Down Payments, Payment Requests etc.,
Shammi
assign points if it is helpful
Similar Messages
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Define Accounts for Automatic Offsetting Entry
Dear sir,
Now, I have to define Accounts for Automatic Offsetting Entry,
but I dont know what is it? Can you tell me its function and give me some examples and its account numbers.
Thank you very much.
Faithfully,
HangvtHi,
You can do the configuration for "Off set entry in t.code"OBYC" integration between MM and FI, Transaction key is "GBB".
If you double click on GBB thenyou need to give chart of accounts and then you need to assign GL accounts based on Valuation Class for Material.
Here you are settong off the debit to every credit and credit to every debit transaction like open items such as GR/IR a/c.
Hope understood and reward me if you are cleared.
Thanks,
Vasu.. -
Accounts for Automatic Offsetting Entry
Dear all,
I don't know the purpose of Accounts for Automatic Offsetting Entry.
Please give me a detail example. Anh tell me how to configure and choose transaction to this bussiness
step by step
Thank in advance
MinhtbHello
Certain G/L items are created automatically. This reduces the manual entries required.
During clearing, items for cash discount, payment differences, revenues from charges, exchange rates differences, and any necessary tax adjustments are amended automatically
With all business transactions containing cross-company code documents, offsetting entries representing receivables and payables between the company codes involved are amended automatically.
When posting down payments, you may have to post the tax from a general ledger viewpoint. No special line items for tax and tax clearing are generated for this in Contract Accounts Receivable and Payable. Only the tax code, tax amount, and account numbers for the tax account and tax clearing account are noted in the open item for the down payment. This information is sufficient for updating the general ledger.
The accounts to be posted to must be defined in Customizing for the line items to be created automatically IMG structure for Contract Accounts Receivable and Payable ® Basic Functions ® Postings and Documents ® Document ® Define Account Assignments for Automatic Postings
Reg
assign points if useful -
Defining Accounts for Automatic Tax Payable Transfer Posting
Dear all,
I would like to know about accouting process of Accounts for Automatic Tax Payable Transfer Posting.
Please give me a detail example about business that use this account
Thanks so much
MinhtbHello,
This scenario applies at month end.
Say during the month you have posted payables are receivables resulting in the following balances on your tax accounts:
Input tax account: 10.000 Dr
Outpux tax account 12.500 Cr
When you prepare your tax return at month end with report "Sales Purchases tax returns", it will print out all if your input and output tax transactions, detailing the total balances mentioned above.
At the same time you can activate the tax payable posting option with help of the variant options. Besides the printout, SAP will then also automatically post the following document:
Dr Output tax account 12.500
Cr Input tax account 10.000
Cr Tax payable account 2.500
in other words, the input/output tax accounts are zero and the remaining (payable) balance is offet to a special clearing account, the "tax payable account". This account is then cleared against cash as part of e.g. bank processing when the payment is made and that ends the process.
hope this clarifies, please do not forget to assign POINTS if this answers your question.
Thanks
Rene -
Defining Accounts for Materials Management
Dear sir,
Now, I have to Define Accounts for Materials Management, but I dont know what are procedure or group to match my account number. Can you explain the definition of following procedure:
Expense/revenue from consign.mat.consum
Expense/revenue from stock transfer
Subsequent settlement of provisions
Subsequent settlement of revenues
Provision differences
Inventory posting
Change in stock account
Inventory posting
Revaluation of other consumables
Del credere
Materials management small differences
Purchase account
Purchase offsetting account
Offsetting entry for inventory posting
Account-assigned purchase order
MM exchange rate rounding differences
Differences (AVR Price)
Cost (price) differences
Price Differences (Mat. Ledger, AVR)
Price differences (cost object hierarc.)
Price Diff. from WIP Written Off (Mat.)
Product cost collector price differences .....
Many other, but you can explain some and give me example, and step by step giude me setup
Thank you very much
Faithfully,
HangvtHi,
Some of the companies are having a practice of paying payables with the rounding off rules. This rounding of in India could be from Rs.0.01 to Rs.10.00. For examble, there is a payable amount of Rs.125125.25 this can be rounded off to Rs.125125.00 or Rs.125130.00 while making payment. The balance amount should hit the rounding off difference account.
The same things is applicable for receivables also.
Over/under payment GL can be configured by using T Code OBXL
There is an another use, for details see the below link,
http://help.sap.com/saphelp_47x200/helpdata/en/01/a9b9a6455711d182b40000e829fbfe/frameset.htm
There may be some more reason where you need to do this configuration,
Disc. difference
Incorrect cash discount rate
To be paid without deduction
Credit memo without backdated cash disct
Cash discount period exceeded
Reduction without doc.number allocation
Incomplete payment advice note
Payment amount is different
Debit reduced not paid
Debit reduced not paid
Reduced twice
Paid not reduced
Damaged goods - disputed
Goods damaged during transport
Quant.delivered not same as order quant.
Freight charges not paid
Miscellaneous deductions
Price variances - disputed
Partial payment
Returns
Residual item creation
Trade Promotion
Payment differences on debit side
Hope it clears your doubt.
Regards
A.Saravanan. -
Define Account for Rounding Differences
Hi all,
I have to define Account for Rounding Differences
But I don't understand type "Accounts for Clearing Differences"
Please give me a example about cash flow is relevant to this account.
Thanks so much
MinhtbHi,
To define this accounts use transaction code: OB00.
Clearing Diference Example.
This is an Automatic Procedure Example: Your bank count some amount for Account movements. When you import your Bank DME with this payment done the system clear you payment and need to post this difference in any account.
Manualy you must enter in clearing transaction your account for this difference post. -
Define Accounts for Overpayments/Underpayments
Dear sir,
Now, I have to define Accounts for Overpayments/Underpayments, but i dont know what is it function? can you explain me and give me some examples such and its account number.
Thank you very much.
Faithfully,
HangvtHi,
Under Payment and over payments applicable for vendors/Customers
I have to pay $ 100 but I paid 98 this is a under payment for me it is a gain that why create account under incomes
I have to pay $ 100 but I paid 102 then is a overpayment $2 is a overpayment it is a expenditure crate accounts for Exp
Opposite to Customers
When you are clearing payment there residual payment and partial payment will be there
Partial payment: I have to Pay $100 but I paid 98 $2 will as a open items
Residual Payment :I have to Pay $100 but I paid 98 $2 will not show as a open item here under payment and over payment concept will come.
Configuration Steps:
T.Code: OBBE create
Rcd DES
02 Payment diff
Save
Step2:
Create Accounts in FS00 for exp and income Accounts
Step 3:
Assign Accounts in OBXL
Dr EXP A/C
Cr INC A/C
Payment received or paid
Entry should like this
Vendor A/C $ 100
To
Cash/Bank 98
To Payment Diff $2
If you need any further clarification please ask me
If it is use full Please assign points
Thanks
Shiva -
OBWW - Define Accounts for With Holding Tax to be paid over
Hi All
I am unable to activate Rules and assign accounts in TCode OBWW (Define accounts for with holding tax to be paid over) as the screen is greyed out.
Please guide me
Rgds
KIM KhanHi
You may in the same screen in another window.
Regards
Murad -
Defining Account for Rounding Differences
Dear all,
I configure J70 Extenal accounting.
I have to Define Account for Rounding Differences but I don't understand how to use this account
Please give me a example about bussiness scenanio that use this account.
Thanks so much
MinhtbHi,
You can configure it with a GL account by using a T Code OB00.
Case - 1,
Rounding off difference means as per the country specific law, some of the taxes should be rounded of to the nearest rupees / appropriate currencies. Normally taxes are calculated as a percentage of the basic material value. For examble if the basic material value is Rs 1255, the tax rate say 4%, then the tax amount comes Rs 50.20. Most of the cases this tax amount should be rounded of to the nearest rupee, hence, tax amount should be Rs.50.00 and the Rs.0.20 should hit the rounding off difference account.
Case - 2.
Some of the companies are having a practice of paying payables with the rounding off rules. This rounding of in India could be from Rs.0.01 to Rs.10.00. For examble, there is a payable amount of Rs.125125.25 this can be rounded off to Rs.125125.00 or Rs.125130.00 while making payment. The balance amount should hit the rounding off difference account.
The same things is applicable for receivables also.
Over/under payment GL can be configured by using T Code OBXL.
Rounding off difference amount should be a P & L account and the debit / credit will hit the profit / loss of a business directly .
Hope it clears your doubt
Regards
A.Saravanan. -
Define Accounts for Tax Clearing
Dear all,
I have to Define Accounts for Tax Clearing but I don't understand business that use this account
Please give me a example about business that use this account
Thanks so much
MinhtbHi,
I would like to explain it with an examble (it is in India),
We have a tax element called Excise Duty which will be levied on all material sales. In india, there is a option to utilise the purchase related Excise Duties against the Excise duty payable on sales. For utilising this, we have to maintain all excise related records. To ensure the accounting of purchase related duties, companies are puting a control that the invoice verification (MIRO) can be done only if the incoming duty is
accounted.
At this place tax clearing accounts are used. Here at the time of accounting duty the tax clearing account will be credited and at the time of MIRO the tax clearing account will be debited. Hence, the balance is Zero.
Examble,
Procurement cycle,
1. Goods receipts (MIGO)
Dr. Inventory a/c
Cr. GR/IR Account
2. Excise duty (J1IEX)
Dr. Duty Input a/c
Cr. Tax clearing account
3. Invoice verification (MIRO)
Dr. GR/IR a/c
Dr. Tax clearing a/c
Cr. Vendor a/c
There is an another chance of creating a liability at the time of transaction will hit a tax clearing account and at the time of payment it will clear the tax account.
Hope it clears your doubt
Regards
A.Saravanan -
Define Accounts for Clearing Differences
Hi all,
I have to define type "Accounts for Clearing Differences"
But I don't understand type "Accounts for Clearing Differences"
Please give me a example about cash flow is relevant to this account.
Thanks so much
MinhtbHi,
take a look on these transactions Codes:
OBXK
OBXL
OBXI
Clearing Diference Example.
This is an Automatic Procedure Example: Your bank count some amount for Account movements. When you import your Bank DME with this payment done the system clear you payment and need to post this difference in any account.
Manualy you must enter in clearing transaction your account for this difference post.
Assign me points If I Help you.
Best Regards -
Pretty much explained it in the title. I signed into my dad's iTunes account today to download a quick app that he had already purchased when I accidentally forgot to sign out of his account. Later on, I receive a notification on my iPhone that my iPhone is associated to a different Apple I.D. and that I can transfer over to the account for the automatic downloads feature. I didn't think this through and decided to transfer over, not knowing what I was doing. It said that I have to wait 90 days before I can transfer back over to my own Apple I.D. can someone from Apple please help me!!!
No one from Apple can help you here. This is a user forum. We are all itunes users like you.
You can contact itunes support:
http://www.apple.com/support/contact/ -
Define Control for Automatic Creation of Pick HUs
We are using full blown HU management and in the customizing for the Control for Automatic Creation of Pick HU's you define the packaging materials to use. The help in from of this customizing says that if this is blank the system attempts to find a common packaging material for all materials in the transfer order.
My issue is that when I leave this blank the packaging material that the system proposes is not the packaging material that is contained on the source HU nor is it the packaging material that is contained in the Packing Instructions.
How does the system determine the packaging material on the destination HU? Am I required to maintain a value in this customizing?
Thanks
NickI found my own answer so i will give myself many points. See question to get answer.
-
Defining Accounts for Bill of Exchange Transactions
Dear all,
I haven't understood yet about business and accounting process in Transactions BDS, BIK, DSK, INK.
Please give me a detail example
Thanks so much
MinhtbHi,
These are various transactions to which automatic postings to the corresponding GL accounts happen.
BDS - Bank Discount Charges
BIK - Bank Collection Charges
DSK - Revenue from Discount Charges
INK - Revenue from Collection Charges
U need to configure Bills of Exchange using Sp GL Indicators and in the process you need to assign GL Accounts for all these Transactions.
Cheers
P O I N T S -
Hi all,
Can somebody please tell me how to create more than one tax account for Tax on Sales/Purchase. The path to define a Tax account is
SPRO-> Financial accouting->Financial Global settings-> Tax on Sales/purchases-> Posting-> Define Tax accounts.
I have already defined one G/L account for the Output tax (MWS) and now I want to define one more G/L account. But, It is not having any option to do so.
Please help me. <b>I will award points</b>.
Thank you,
SONYhi sony,
you may just copy one itself and name it differently.
Award points if it works for you
Best Regards,
R.Srinivasan
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