Document-cleared item

Dear Gurus,
By mistake one account has been posted to a customer instead of a vendor. Whnever i am gng for the reversal entry one message is coming as" DOCUMENT ALREADY INCLUDES CLEARED ITEMS-REVERSAL NOT POSSIBLE".
I have gone to FBRA, then the message is coming as" DOCUMENT IS NOT A CLEARED ITEM".
pLEASE HELP ME ON URGENT BASIS.
SATYA.

WHat document number are you entering into FBRA - is it the original document or the cleared document?
Do the following – go to the original document in FB03. Now double click on each of the lines in this document and check whether there is a clearing document. Then go to FBRA and enter the clearing document number and reset the item. Then go to FB08 and enter the original document number, this should now reverse properly.

Similar Messages

  • Document splitting: Items for clearing 0010/100062508/2010/001 not found

    HI Gurus,
    I hava issue with FC valuation. I have done configurtin for FC Valuation of GL A/c i.e, Long Term loan paybles which is created as Open Item management.
    It is working fine post the entries at the end of May and reversed  the same on 01.06.2010 in development system. i have moved saem request to Acceptance client and testing the same scenario.  But i am getting the following error.
    "Document splitting: Items for clearing 0010/100062508/2010/001 not found
    Message no. GLT0002
    Diagnosis
    Document splitting cannot perform clearing because it was not possible to find complete splitting information on the items to be cleared (company code 0010, document number 100062508, fiscal year 2010, item 001).
    System Response
    Clearing cannot be performed and the document cannot be posted.
    Procedure
    Exclude the affected item from clearing.
    It may be that this item was not posted with active document splitting. In this case, this item or document would have to be migrated."
    I have checked the docuemnt splitting config . In two systems it was same and doc.splitting was configurated very long back.
    Could any one help on the above error
    Thanks in advance
    PAVAN

    Hi Pavan,
    Please note the following, the error GLT0002 is normally caused by a change done in your customizing for splitting. Since you mentioned that this is happening for one company code, it seems to be that one change was made only for this company code in your SPRO settings.
    For example if you have activated open item managment subsequently on account or another example would be that you posted document prior to activation of document splitting.
    Please see section 5 of note 891144:
    Items posted while open item management was still inactive in G/L account master data cannot be cleared after open item management has been activated subequently if New G/L document splitting is active.
    Therefore, if document splitting is active, open item management should never be activated subsequently on accounts to which documents had already been posted with inactive open item management.
    Review note 891144 in full. I believe that this will help you resolve the issue.
    Best Regards,
    Vanessa.

  • Document splitting: Items for clearing not found

    Dear All,
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    Dear Gladys xing
    Thanks for your reply,
    I have also done the same thing by passing one more entry to create the same balance.
    When i am trying to clear open item for the both the extra entry system gives an same error
    "Re: Document splitting: Items for clearing not found"
    is this possible to clear that open item through F-03
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  • Document line item text in Clearing document

    Dear All,
    Document line item text
    My client want the vendor invoice line item text(BSIK-SGTXT) to be captured in the corresponding clearing document line item text field(BSAK-SGTXT).
    (i.e) The vendor invoice and its payment clearing document should have the same text in the document line item text filed.
    According to me i can use  a substition rule and a user exit to assign the values. but here comes a problem* i have one clearing document against 3 to 4 vendor invoice documents* so my programming logic has got stucked here? like which vendor invoice line item text the clearing document should pick up?
    is there any other enhancements possible or can some one help me with the programming logic to be applied here.
    Thank you
    Regards,
    Vasanth D

    like which vendor invoice line item text the clearing document should pick up?
    is there any other enhancements possible or can some one help me with the programming logic to be applied here
    Why don't you discuss the issue with your client?  As you said, if you pay 5 invoices in a single run, the payment document item text can't carry all of those texts unless you use the long text.  What is the reason for the requirement?  Perhaps there's another solution.

  • URGENT...reversal of documents, that are shown as cleared items in the syst

    Hi Friends,
    Our client has issued about 3 cheques about 6-7 months back as settlement to an employee. (So in which case as per the system, it is showing as a cleared item).
    He has not presented the cheque or for some reason, the amount is not withdrawn from the bank. As the cheque is more than 6 months old, they want to reverse the posting made.
    I tried reversing the document using, FB08 and FBRA, however, system pops up an error message saying, cleared items cannot be reversed, the items need to be in red, as open items for reversing,
    Is there any way that I could deal with this.
    regards
    sandhya

    Hi,
    Thnx for the reply. I had posted a wrong issue. the cheque issed was more than 6 months old. But the actual check issue date is 02.02.2007 i.e., of the financial year 2006 and as the books of accounts are closed, that is where I'm facing a problem.
    Now how to go about resetting that cheque from the previous financial year, coz FB08 and FBRA are not working.
    Any solution in such a situation
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    sandhya

  • Document Split for Manually Cleared Items

    Hi SDN,
    Is there a way to inherit the document splitting characteristics for manually cleared items? To give you an example, please see below scenario in General Ledger View
    Invoice
    Dr Expense                 Cost ctr 10001
    Cr Trade Creditors      Cost ctr 10001 (inherited from expense item)
    Payment
    Dr Trade Creditors       (no cost center assigned)
    Cr Outgoing Bank          (no cost center assigned)
    Manual Clearing of vendor items via F-04
    Dr Trade Creditors        (no cost center assigned)
    Cr Trade Creditors        Cost ctr 10001
    Dr Zero Balance Clrg    Cost ctr 10001
    Cr Zero Balance Clrg    (no cost center assigned)
    This scenario happens since the company has instances where payment comes first before the actuall invoice. In this instance, the document split function won't properly reflect the correct cost center assignment.
    Is there a way for this to be inherited even for manual clearing (just like the one for bank reconciliation process wherein the cost/profit center assignments are inherited on the clearing items)
    Thanks

    Hello,
    Yes, you can have profit center as a characteristic for splitting and inheritance too. Your scenario will work as below:
    Invoice:
    Dr Expense  1000 CC1   PC1
    Cr A/C Pay   1000          PC1
    In above invoice PC1 will be inherited from the expense line in which the user will need to enter the cost center, and profit center will be derived from the Cost Center master.
    You make a payment:
    Dr  Vendor  1000      PC1
    Cr  Bank      1000    PC1
    In above scenario, user needs to give a profit center in bank line manually or it can be automatically derived using FAGL3KEH setting for bank accounts. From bank line the profit center will be inherited to the vendor line.
    Finally when you try to clear the vendor items using F-44, following entry will be passed:
    Dr Vendor 1000  PC1
    Cr Vendor 1000  PC1
    Only if the profit center entered during the payment and invoice are separate, zero balance clearing lines will be hit.
    Regards,
    Sam

  • Exit or Badi to block document after Reset Cleared Items in FF.5

    Hi,
    When you run FF.5 and some rejected documents are returned by the bank, I have to block the document after reset cleared items with a especific payment block key.
    Anyone already done something similar?
    Tks!

    Hi Rao,
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    Reward pts if found usefull
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  • FBRA-Document includes already cleared items - reversal not possible

    While reset and reversal using FBRA I am getting the following error. Please do let me know if any clue to resolve this issue.
    Document includes already cleared items - reversal not possible
    Message no. F5 308
    Diagnosis
    A reverse posting clears all line items that are managed as open items. This is not possible if one of the items in question has already been cleared by another method.
    System Response
    Error message.
    Procedure
    If you really want to reverse the document with the number you specified, display the cleared items and reset all those items for which you can find clearing document numbers. Then repeat the reverse transaction.

    Hi Dewang,
    Thanks for your quick responce.
    step 01- Posted Customer Invoice on 01-Jan-2011with RV doc with Rs-1200: Doc 111111
    Step 02- Posted Customer downpayment on 01-Jan-2011 with DZ doc with Rs-1200: Doc No 2222222
    Step 03- Clear Customer line items on 10-Jan-2011 with AB doc with Doc no- 3333333
    Trying to reverse Cleared Item (i.e. Doc No 3333333) with T-Code FBRA. While doing Reset and reversal we are getting the above problem.
    Please let me know if you need any information.
    Regards
    Raj

  • Clearing items with New GL and document split

    Hello gurus,
    When clearing 2 items with opposite amount and the same account assignment, the system generates 2 clearing items for the same account whereas I am expecting to have a clearing document without any item (as it is wotking without document split)! In such situation there is no reason to enlarge the credits and debits into the Balance sheet.
    Has anyone of you already faced such situation and have any solution for me?
    Thank you in advance for your help
    Best regards
    Pascal.
    Edited by: Sylvie EHM on May 27, 2009 10:33 AM

    Hi Abhijit and thank you for your first answer,
    I agree with you if more than one segment is used into the same posting but in my case there is only one segment !
    I think that this logic is applied for technical reason as explained into the OSS note N°950773.
    Does any one of you have a genious solution for me or know whether SAP has changed his standard solution?
    For french customers this technical postings are not acceptable since debit and credit variations has to be functionaly justified...
    Thank you in advance for your help.
    Best regards
    Pascal.

  • Document is alrady contains cleared items-reversal not possible

    Hi All,
    At the time of MIRO reversal we are getting error massage Document is already contains cleared items-reversal not possible
    actually one MIRO document using TDS line item and we make a payment for that TDS line item after that we try to reserve MIRO document that time we are getting error massage.
    Please help me to resolve this issue.
    Regards,
    juhi

    Hi Spradip & Minesh,
    Thanks
    But as per my client they do the same in system but this document only not getting reveres why they don't know.
    but what we do because they want to reverse the document.
    Please help me
    Thanks & Regards,
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  • Blocking the Cleared items From Fi Documents

    Hi ,
           I am creating fi report . In my report i do not want to display cleared items . Can you tell me based which table and which field we can remove clearing documents .
          In my customer balance report i want to remove the reversal entries of customer and cleared entires of customer . Can you tell me based on which field can i remove those documents .
    Regards
    Nandan.N

    hi Srihari,
    consider only open item tables , if u want to block cleared items.
    Bsik : open item table for vendor related.
    BSAK : Cleared item table for vendor.
    similarly
    bsid : open item table for customer
    bsad : cleared item table for customer.
      For developing customer ledger , i think u had to consider both open items and cleared items.
    Its just like bank statement ( transactions both cleared and open ) .
    If you developing outstanding report ,( balance repor) consider only bsid table.
    Regards,
    Hari priya
    Edited by: Hari  Priya on Apr 6, 2009 10:05 AM
    Edited by: Hari  Priya on Apr 6, 2009 10:07 AM

  • MR8M-Document already contains cleared items - reversal not possible

    Hi Gurus,
    I am getting error message Document XXXXX 1000 2014 already contains cleared items - reversal not possible while cancelling IR via Tcode MR8M.
    Invoice was already paid twice by mistake hence we are trying to cancel via MR8M.
    I know we can do via FBRA by resetting the cleared item but is there any other options or workaround?
    Thanks,
    Kumar

    Hi Jurgen,
    Thanks for your reply;
    Invoice posted twice and 1 needs to be reversed. Please refer the attached screenshot.
    Thanks,

  • Document Type clearing items - "Clearing - Cons Unit" Item

    We have the matrix organisational structure - both company and profit centre have the Consolidation Unit role.
    We have a "Clearing - Cons Unit" clearing Item for certain document types.
    Now the client wants to restrict the clearing item so that it only applies one way, i.e;
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    2 Companies and 1PC is not ok - therefore we want an error / no posting to clearing item
    There is no option available in the document type to make such a setting.
    I tried validations per document, but when clearing is posted to in a manual document, the document is actually split into 2 documents (one per consolidation unit (combination of company/PC)) so the validation will treat both scenarios (1Co/2PCs or 1PC, 2Cos) in the same way
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    Any suggestions?

    re-opening, had to close due to SDN error on max number of open questions (supposedly 10 but recently this failed).
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  • Open and Cleared Items

    Hi all
    We are currently busy finalising our FI-CA BW Data Modeling exercise - and in process to complete Dataflow documentation.
    We will make use of the standard open and cleared item extractors with enhancements on different levels. Some background on the requirements:
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    - We will have to keep history for at least 26 months to produce the required management reports (very high number of data), and 'partition' the cubes on date level for both Cleared and Open Items.
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    Has anyone had these types of requirements before - to report on billings vs. payments, and report on history as described above. We would appreciate it if you could share your report requirements, and also design documents, especially the DataFlow documentation that we can look at as input to our design.

    We had a requirement to retrieve "aging of receiveables" by customer. Basically, it goes thru each record and depending on the due date places the amounts in the following buckets (example). 0-30 day Overdue, 31-60 days Overdue, 61-90 days overdue, 30+ days overdue, 60+ days overdue) etc all the way to 6+ years overdue.
    There are also cooresponding buckets for coming due analysis. For example, what is: 0-30 days coming due, 31-60 days coming due, 30+ days coming due, etc...
    To do this, first I needed to be able be able to produce an open items statement at any given time in the past. Now, this seems impossible because of how the items go from open to cleared all the time. And an item that was open one month ago, may not be open anymore.
    What I did was first remove any selections on item status. Then compare the posting date with teh key date in the past, if the posting date is less than or equal to the key date, keep the record.
    Then compare the clearing date with the key date. First, keep all that are #. (This keeps all records still open from that posting date/key date)
    Then, add another check for all items that were cleared after the key date (GT Key Date). This gives you the open items on that date.
    Hope that makes sense. Let me know if you want clarification.
    /smw

  • AP cleared Item Report

    Hi,
    I am use SAP query to build a AP cleared Item report. The report is similar as we can get from FBL1n, but I need a column as group key, which can not be found in FBL1n report.
    My questions is:
    1. When using SAP query, I use table LFA1 and BSAK, everything is ok, except I could only get the uncleared Item in the table. Like for one item have both Credit and Debit, I could find them in my report. What shall I do?
    The field used in the report:
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    Vendor Code: BSAK-LIFNR
    Vendor Name: LFA1-NAME1
    Payment Type(Group Key):
    Posting Date: BSAK-BUDAT
    Clearing Date: BSAK-AUGDT
    Document Type: BSAK-BLART
    Fiscal Period: BSAK-MONAT
    Fiscal Year: BSAK-GJAHR
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    Hi
    Sorry for my unclear question...
    What I need is: We need a report on Vendor cleared items, which have a column is Payment Type, to refer to what kind of payment to the vendor, like it's a Adv. fee. Our solution is to use GROUP KEY field in the vendor master data to maintain the payment type information, as it's vendor specified. So for common understanding, we could use FBL1n report, use GROUP KEY as a selection and run out the report. Unfortuntely, we could select by GROUP KEY, but we can not have it shown on the report, from the layout.
    So we decided to use SAP Query, which is not a very difficult one. But I found from Query, and the table/ field I refered in my previous message, I could only see some of the records. If one item is cleared in BSAK, I could not find them in my query report made by me. So hope this time my question is cleared, thanks very much.
    Or, if our need is to find a proper field to maintain a information in master data, and also can be shown in the FBL1n report, may u suggest?

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