Down payment on WIP

Hi,
At the time of doing down payment on AUC asset with reference to Purchase order i am getting error saying " you cannot use this transaction type by to post this asset".
I am using spl Gl indicator "M" for the purpose of noting the down payment on CWIP assets.
Where i am going wrong.
Regards
KM Naidu

Hi,
you get this error because the asset to which you try to post it is not an asset under construction.
Regards,
Miroslav

Similar Messages

  • AUC Down Payment issue

    Dear Experts,
    Recently we have activated the down payment process in our system for normal purchase orders without configuring for AUC. In the month end we settle the internal orders to AUC (KO88), while doing this process, I got the error You cannot use this transaction type to post to this asset Message no. AA834,
    I fixed this error by doing the required configuration in OAYB. In the next error system was throwing the errors related to account determination which can be fixed by maintaining the acquisition down payments and down payment clearing account in AO90.
    I don’t understand the strange behavior of the system. There is no down payment in any of the purchase orders related to the AUC even then system is insisting for the down payment configuration.
    I have maintained account determination in our test system and processed KO88 I can able to settle the internal order but some additional transaction with odd value has got posted by debiting the  down payment  acquisition WIP and crediting the Down payment clearing account.
    I did not understood from where this value is flowing.
    Please throw some light on this issue. I want to settle the internal orders to AUC without any error related to down payment as we are not using down payment for AUC.
    With Regards
    Uday

    Hi,
    If you are using Internal Order in Purchase Order and while doing down payment against Purchase Order, system is also picking Internal Order while processing down payment which cause of errors and posting Down Payment amount on asset while settling Internal Order.
    Please follow the steps for not posting down payment to Internal Order.
    Check your GL account which is using for Posting Down Payment against Sp. GL Ind. (Alternate GL Account)
    Check the field status of that account.
    Maker CO/PP Order as suppress field in Additional Account assignments.
    Now Internal Order field will be suppress at the time of down payment against Purchase Order and then no down payment will be settle to Asset while settling Internal Order.
    Regards
    AJ

  • AUC down payment hitting wrong GLS

    Dear Experts,
    We are using down payment for WIP, complete configuration in OBYR OAYB and assignment of down payment GL and down payment clearing GL are assigned in AO90.
    We prepare internal orders book all the expenses and will be settled to AUC in the month end.
    At the settlement entries posted will be
    Down payment asset acquisition – Debit
    Down payment asset clearing – Credit
    I have run the complete cycle this down payment acquisition is not added to any acquisition account.
    At the time of initial down payment also below entry getting posted without hitting any OBYR configured GLS.
    Vendor Debit 29A
    Bank Credit 50.
    The GLs which are configured in OBYR are hitting nowhere.
    The down payment transaction in asset explorer should be nullified when final payment is done even that is also not happening.
    We are processing the down payment through ME2DP transaction
    Please let me know where I have missed the configuration.
    With Regards
    Uday

    Dear Experts,
    I am waiting for the guidance how to knock of the values from asset down payment clearing account,
    auc asset explorer is showing additional acquisition value which is equal to down payment value.
    Total amount settled to the asset is 240000 through ko88.
    acquisition value - 200000
    down payment value - 40000
    Settlement entry posted while settling from internal order to AUC.
    Asset acquisition account - 200000 - Debit
    Asset down payment  acquisition account - 40000 -Debit
    Consumption account - 200000 - credit
    Asset Down payment clearing account - Credit - 40000
    Asset value is showing 40000 extra as acquisition and I can able to settle this 200000 from auc to normal asset.
    This 40000 is showing in down payment acquisition and down payment clearing  account.
    The asset books and gl are not matching because of this additional acquisition value in asset.
    Let me know how to knock of this value in asset.
    If required I can provide additional inputs.
    With Regards
    Uday

  • Down payment against the Internal Order - for Capital Expenditure

    Dear friends
    I am getting an error while making down payment against the purchase order.
    The order of my entries or steps are as follows:
    Created one internal order for Capital WIP with budget and availability control activation.
    Created one purchase order against a vendor with reference to the above Internal Order.
    When I am making the down payment to the vendor through tcode:F-48, the system throwing an error
    "Define Cost Elements for Down Payments".
    Can any one please explain why this error is coming. When I checked in Internal orders, there is a TCode: OKEP for Define Default Cost Elements for Down Payments.
    System is asking for cost element, but where as what ever the down payment we are making is nothing but advance which is current asset. Why system is asking for cost element?
    Can any one give me the guidance how to handle the issue.
    Thanks in Advance
    Kiran Kumar A

    The reason is when you want the down payment for AUC to be capitalised, then you would need to create cost element for Downpayments.
    Normally as per design of SAP, down payment being a Balance Sheet Account (Current Asset as you rightly mentioned) doesnot need / accept an Cost object, as a special case since down payments for AUC needs to be capitalised and hence need to be carried to Controlling (Internal Order) by creating Cost Element for Downpayments.
    Go ahead and create the cost element. That would resolve your issue.

  • Down Payment Process in Asset Accountng

    Hi,
    I want to know , what is the process of Down Payment in Asset Accounting
    I know the Tcodes, but i want to know what happens in each Tcode level
    F-47 next F-48 next F-90 next F-54 next AIAB next AIBU
    Pls send me
    Rgds
    sunfico

    Hi Ashok,
    Process is Ok. But I want to know why these much of entries required. PLEASE EXPLAIN
    F-47     39F     vendor a/c
    F-48     50     Bank a/c
         29A     vendor
                    70     Tangible asset a/c (asset under const. a/c)
                    50     clrg tang asset a/c
    F-90     31     vendor
         70     WIP a/c (asset under const. a/c)
    F-54     39A     vendor
         26     vendor
         75     Tangible asset a/c (asset under const. a/c)
         40     clrg tang asset a/c
    AIAB
    AIBU         75          WIP a/c (asset under const. a/c)
                    70           Plant & mach. (asset settlement a/c)
    URGENT PLS
    Rgds
    sunfico

  • Vendor Down Payment Clearing: F-54 or F-44

    Hi
    I have made a down payment (with Spl. GL indicator) to a vendor, using F-48. Then I book an invoice using FB60. I kept the two amounts same and ignored WT to keep things simple.
    Now i want to clear the down payment against the invoice. I use F-54. The clearing transaction is getting posted. However, the Invoice is lying open (credit entry) along with the Clearing document (debit entry). On the other hand the down payment document (debit) is getting cleared with the Clearing document (credit entry). This means I have two open line items and two cleared line items. I can clear the two open items again using F-44.
    I have two questions:
    1. What is the use of F-54 here since I have to use F-44 eventually?
    2. While doing F-54, Posting Key for the debit line item is 26 : Payment Difference. This is could not understand.
    Can anyone please help me out on this?
    Thanks in advance
    Aninda

    Dear Aninda ,
    I will explain you with following example.
    Recon account(Vendor)---3000000
    Advance to Vendor----
    4005000
    Exp a/c----
    7575100
    Bank a/c----
    5000100
    1. Advance to Vendor (spl gl -A)(F-48)
    Vendor a/c    (SPL-A)( GL- 4005000)        DR   1000
                      T0  Bank a/c (GL-5000100)                  1000
    2. Invoice posting
    Expenditure a/c ( GL-7575100) Dr      1000
         To  Vendor Account(GL-3000000)     1000
    3. Clear Vendor Down Payment (F-54)     
    Vendor  a/c (GL-3000000) DR                1000 (Posting key-26)
         To Vendor a/c (SPL-A)( GL- 4005000)          1000
    It means  Credited spl GL-A has converted from advance to Normal open item. Amount has been transferred from Advance to Vendor GL to Normal Recon account.By this way Advance account shows Nil  Balance with debit(F-48) and Credit (F-54)
    The remaining 2 line items i.e., Credit (F-43) and Debit (F-54) shows as open items. In the next step we need to knock off those line items by manual clearing or automatic clearing.
    4. Normal Clearing (F-44)
    It will be posted without line items.
    I hope i am able to help you out to understand process

  • CO Object Assignment Error while posting Down Payment Request

    User is raising a Down Payment Request for the purchase of an Asset  through a Purchasing Document. This Asset Master has got the cost center and WBS Element assigned in it.
    System while saving the DP Request is throwing an error that “CO Account Assignments has different Profit Centers”
    I have also checked the cost center master but the profit center assigned there is correct only. Should I check the OKB9 settings ? If yes, for which GL Account do I need to check ? Where else can I check the CO Object Assignments for profit centers ?
    Requirement is critical. Please help.
    Thank you
    Ravi
    9849393564

    Hi,
    Good evening and greetings,
    Please have a look in GGB1 (Profit Centre Substitution), there may be some rule which is overriding the OKB9.
    Please reward points if found useful.
    Thanking you,
    With kindest regards,
    Ramesh Padmanabhan

  • Error While Posting the Asset Down Payment

    Dear Members,
    When I am doing Asset down payment through F-48, I am getting the following error.
    Before that I would like to inform you that I created 2 GL Accounts. i.e. Down Payments on Assets ( Recon A/c Assets )  and Second GL A/c is Asset Clearing A/c ( With out Recon A/c ).
    Further I assigned in T. Code -   AO90, I assigned the Down Payments on Assets GL A/c and In Clearing column I assigned the Asset Clearing A/c.
    Even though it is giving the following error.
    Item category 07000 not allowed in accounting transaction 1000/0001
    Message no. GLT2001
    Diagnosis
    The online document splitting is active in your system. Here, each document is assigned to a accounting transaction variant and each document row to an item category.
    You determine for each business transaction variant which item categories can or must be posted here.
    The following error occurred for the document you entered:
    Item category 07000 in accounting transaction 1000, variant 0001 is not allowed.
    System Response
    The document cannot be posted.
    Procedure
    Check the document entered, the derivation of the business transaction variant, the derivation of the item category, and the assignment of the item categories to the business transaction variant.
    do the needful at the earliest.
    Thanking You
    Regards
    K. S. Kumar

    Hi Sai Kumar,
    Go to Document splitting node..
    And check against the doc type that you are using in F-48, what business transaction variant is assigned in Classify document types for Document Splitting.
    next go to the following node....
    Doc Splitting->Extended Doc Splitting-> Define Business Transaction variants
    and select your business transaction variant as defined above and copy that and give it a name Z001,
    now select Z001 and double click on Assigned Item categories.., then select new entries and add 07000 Asset there and save.. it will give a warning message but just go on saving.
    next go to the node Classify document types for Document Splitting again and enter this Business transaction variant againt the document type that u r using in F-48. AND it will work.
    Regards,
    SAPFICO

  • Error -Account 'Down-payments clearing account' could not be found for area

    When I am trying to pass a down payment entry by debiting vedor and crediting bank with asset it is giving an error as follows.
    Account 'Down-payments clearing account' could not be found for area 01
    Message no. AU133
    Please help me to rectify the same.
    Thanks in advance
    Deepak

    HI
    Please pay attention at  the possible causes of message AU133:
    1. Error AU133:
       a) You have not defined a contra account for acquisition value postings in the Asset Accounting Customizing settings (Transaction AO90).However, this is required as of Release 4.6C because, as is the case for all other integration postings in Asset Accounting, invoice receipt postings have to be displayed in Asset Accounting via the new posting kernel to ensure an identical document
    structure.
       b) You have defined the account in Asset Accounting, however, it is not created in the affected company code.Check whether the account is correct and create it for the company code, if necessary.
    2. You have entered an asset reconciliation account for the "Contra account: Acquisition value posting" (for example, the same account as for   "Acquisition:Acquis. and production costs" account).This is not  permitted.Check whether your account determination is correct               
       (Transaction AO90) in Asset Accounting Customizing. The same applies
       for the 'Contra account: Down payment posting'.
    3. As "Contra account: Acquisition value posting" you entered an asset G/L account. If necessary change the automatic posting indicator in the G/L account master record.
    4.Check if you need  revaluation accounts in depreciation areas involved   (AO90):
      -Revaluation acquis. and production costs
      -Offsetting account: Revaluation APC
    Please run also programm RACKONTO where missing or wrong customizing
    the accoutn determinations per company code is displayed
    Also have a look at note 7595 in this regard.
    Please assign points if it useful.
    Regards
    Ravinagh Boni

  • Creation of A/R Down Payment Invoice  based on Sales Order not logical

    When creating a A/R Down Payment Invoice based on a Sales Order you
    have the option to create multible ones. Which by itself could be
    usefull to create one of 50 % for a certain day and decide they need to
    pay another 25 % at a later date.
    But SBO does not track what already have been posted. Therefore you can
    create a sum more then a 100% without warning or blockage.
    Tested this in SBO 2007 A SP:00 PL:00
    Scenario:
    Sales - AR>Sales Order
    Create and post a Sales Order
    Sales - AR>A/R Down Payment Invoice
    Create an A/R Down Payment
    Select the BP and copy the Sales Order
    Set DPM to 40%
    Post the A/R Down Payment
    Sales - AR>A/R Down Payment Invoice
    Create an A/R Down Payment
    Select the BP and copy the Sales Order
    Set DPM to 100%
    Post the A/R Down Payment
    Sales - AR>A/R Down Payment Invoice
    Create an A/R Down Payment
    Select the BP and copy the Sales Order
    Set DPM to 70%
    Post the A/R Down Payment
    Making the total for the Sales Order 210% worth of Down Payment
    Invoices without warning/blocking. I would expected that you would only
    be able to set the rest sum %. For instance first scenario I entered
    60% therefore setting the second Down Payment Invoice to a max of 40%
    Untill you have used up the 100% and you cannot select the Sales Order
    in question..
    If multible users do the same work, SBO doesn't show that it has
    already been done. Same if you forgot you already created it you can
    still create one. Plus sometimes it will happenyou create the Down
    Payment Invoice and not paying attention you create the first one with
    a 100% and later with the intended percentage..

    Hello Petronella,
    you are right that B1 is not checking the total value of DP created from the Sales Order.
    The logic and checking procedure here is only between Sales Order -> Delivery/Invoice.
    DP Invoice is considered as transaction related to document the receipt of the money (parallel to the sales process). Between the moment of basing of DP to Sales Order it is still possibility to adjust Sales Order as there is no posting behind Sales Order.
    The question is what would be a checking  procedure in case that on Sales Order there is based Delivery and DP? What would be the system priority to take into a consideration?
    Regards,
    Martin Slavik
    Regional Solution Manager

  • Trying to create a query that shows Sales Order/Invoice Totals as well as Paid/Outstanding/Available Down Payments

    Currently working on SAP B1 v8.82
    I'm looking to generate a query that will give an overall report for a given customer that shows Sales Order No, Invoice No, Sales Order Total, Invoice Total, Amount Paid on Invoice, Amount Remaining on Invoice, Down Payments Available, Open on Sales Order.
    I'm not sure what the best way to select the columns in bold above.  Invoice Total should be self-explanatory.  Amount Paid should be any down payments or applied payments on the invoice.  The balance due on the invoice (which seems to be T0.DocTotal if I'm not mistaken) should = 'Invoice Total' - 'Amount Paid on Invoice'. In the Down Payments Available column I want the total amount of money on the account or on down payments that aren't tied to a Sales Order.  If a client overpaid in the past for instance and there's a credit on their account, then it should contribute to this sum.  Open on Sales Order should be pretty easy.  I guess it's just the sum of everything that is still open on the Sales Order.  I'm just not sure what the best way to sum all the un-delivered freight, tax, and line items is.  Here's what my query looks like so far.
    SELECT DISTINCT T4.[DocNum] [Sales Order No],
    T0.DocNum [Invoice No],
    T4.DocTotal [Sales Order Total]
    T0.DocTotal [Amount Outstanding],
    FROM OINV T0
    INNER JOIN INV1 T1 ON T0.DocEntry = T1.DocEntry
    INNER JOIN DLN1 T2 ON T1.BaseEntry = T2.DocEntry AND T1.BaseLine = T2.LineNum
    INNER JOIN RDR1 T3 ON T2.BaseEntry = T3.DocEntry AND T2.BaseLine = T3.LineNum
    INNER JOIN ORDR T4 ON T3.DocEntry = T4.DocEntry
    INNER JOIN OSLP T5 ON T4.SlpCode = T5.SlpCode
    WHERE T0.CardName Like '%%[%0]%%'
    GROUP BY T4.DocNum, T0.DocNum, T0.DocTotal, T4.DocTotal
    I tried doing a little searching around for queries similar to what I need, but I could find exactly what I was looking for and I'm very unfamiliar with OJDT, JDT1, and ITR1 tables which I think might be important to finding unapplied payments...

    Thanks.  There's a few problems though.
    1)  It seems that OINV DocTotal != Balance Due.  I'm seeing a number of invoices where there was a balance due, but we applied additional money (either we took another incoming payment and applied it or applied money from the account balance, etc.) and yet it still shows a total.
    2)  It's pulling incoming payments from different customers.  I think this is because the table was joined based on "RCT2 T4 on T4.[DocEntry]  =  T3.[DocNum] and T4.[InvoiceId] = T2.[LineNum]"  In one example I have 2 incoming payments 446 and 614.  Both have the DocEntry 542, but one relates to A/R Invoice 542 (for a different client) while the other relates to Down Payment Invoice 542.  *I was able to fix this by adding WHERE T5.CardCode = [%0]*
    3)  I'm going to work with this a little bit and see if I can alter it to make it work for me.  Basically this query falls a little short on the following:
    -  Doesn't include incoming payments that aren't linked to a down payment invoice.
    -  Does not give the Invoice Total (I'd like to know how much of the SO was invoiced.  DocTotal seems to give me Amount Invoiced - Down Payments.  I'm not sure the best way to get this number.  Maybe I could do the sum of each line * tax + freight)
    -  Does not give the outstanding amount on an invoice.  The ARtotal [DocTotal] column gives me how much was owed when the invoice was created, but it doesn't tell me what is currently owed.
    -  Lastly it may complicate the query too much and could be left off, but it would be nice to see if they have any money from credits or incoming payments that has not been applied.  Perhaps this would be easily accomplished by simply pulling in their account balance.

  • How to add second A/P Down Payment or A/P Reserve Invocie

    Hi
    A/P with following terms:
    - 30% Down Payment after issuing PO
    - 70% Payment before shipping
    For the 30% DPM an A/P Down Payment Invoice is posted, and later paid - no issues so far.
    Now, before scheduled shipping the rest of 70% is due. The correct thing would be to post a A/P Reserve Invoice.
    However, the Total Down Payment selection dialog available in A/P Invoice is missing in the A/P Reserve Invoice.
    As a workaround, direct posting of an A/P Invoice is possible, but this already does post all the items to stock which is not correct.
    Creating another A/P Down Payment Invoice seems not to be the correct solution either.
    How does SAP suggest to handle this?
    Thanks and best regards,
    Franz

    Kerstin,
    I'd like to pick this up again and add some questions:
    First, what is the purpose of posting the Final Invoice at the end (7.) - except for closing the GRPO?
    Second, I have some issues with Freight cost.
    If I already know freight cost when I create the PO and add it there, it is not shown in the DPM Request nor in the DPM Invoice. Since I am really paying it in step 5, I need to add it somehow - I did as 'divers-item' what I feel is somehow nor really correct - to the DPM invoice, otherwise I can not post the correct outgoing payment.
    Is the final invoice the place to add the freight at its correct position? I'd like these freight cost to add to the item cost as well, as they do with any other usual PO.
    Any suggestion on how to handle the freight cost, that usually is not known before the 2nd (70%) payment?
    Thanks and best regards,
    Franz

  • Vendor ageing report for down payment bucketwise

    Hi
    I have paid many downpayment to various vendors. Now i want the ageing report for the same (i.e. bucket wise i.e. 0-30 days, 31-60 days and so on).
    This i am getting for vendor invoices in TCode: S_ALR_87012085 (Vendor payment history with OI sorted list).
    Please let me know if the bucketwise report is possible for the downpayment too.

    Hi,
    Vendor ageing for down payments as well as invoice i use to see from T.code FBL1N by creating layouts.
    Choose Arreas after net due date from layout and for that column you can apply a rule that from 0 to Lessthan or equal to 30.
    Like that you can create the layouts. In FBL1N you can give this layout (down) so information come in that format.
    The one disadvantage is that you have to select manually the layouts and you can see only one ageing information at a time.
    Regards,
    Sankar

  • Down payment report by purchase order

    Hi,
    Is there any report available to see the down payment/down payment requests by purchase order.
    I am trying to execute the transaction code ME2DP but it does not exist. We are in ECC 6.
    Please note we cannot use FBL1N (noted item/sp GL) as there is no PO in selection.
    Regards
    Shanif

    HI,
    You can try using Transaction code: ME2N with Scope of List 'BSET' and Selection Parameter which has option Down payment validation. If such selection parameter is not available in your system than you can create it using below path:-
    SPRO - Materials Management -Purchasing -Reporting -Maintain Purchasing Lists -Selection Parameters
    Please find below screen shot for the same:-
    ME2N
    SPRO Path- (Selection Parameters)
    Regards,
    Anand Raichura

  • Down Payment Report (SAP Std)

    Is there any SAP Standard Report available for viewing the different down payments paid and final payment by the customer in case of milestone billing?
    Plz help.
    Regards,
    Anbu

    Hi,
    I am not sure if any specific this kind of report is avialable.Try if the following works for you
    /R
    Controlling Total Debit/Credit bkgs - F.03
    Generate FI Account balance - F.08
    Generate Month-to-date Inv. register - F.02
    Process payments - FBZ1
    Rqst Individual Customer Corresp. - FB12
    Generate Customer Correspondence - F.61
    Enter Batch totals under Control ttl - FB07
    Display G/L Acct. totals - FBL3N
    Reverse Posted Amounts - FB08
    Customer Refunds - FBL6
    Customer Refund to other than Payer - FB05
    Clearing Debit/Credit on Cust. acct. - FB1D
    Customer Balance in Local Currency - F.23
    G/L Account Balance Report - F.08
    Create Invoice - legal entity adjust - FB01
    Generate Cust. Acct. statements - F.27
    Generate Dunning Letters - F150
    Generate Billing Due List - VF04
    Generate Blocked Billing Doc list - VFX3
    Inq. via Credit Release Screen - VKM1
    List orders by partner - VA05
    Past Due invoices by customer - FD11
    Check number info by G/L account - FBL3N
    Display customer Line items - FBL5N
    Reward points if useful
    Regards,
    Amrish Purohit

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