Error : Document 6000019 saved (no accounting document generated)

Hi Friends,
While Iam Releasing Billing Document To Accounting It Is Throwing Error Message
" Document 6000019 saved (no accounting document generated) " Where Is The Problem Please Let Me Know
Regards
Udaya Bhasker Bandi

Check in VF03 -> Menu Option Edit -> Log.

Similar Messages

  • Error in VF01 Document 8690000005 saved (no accounting document generated)

    Hi,
    I got the bellow error message when doing Billing (VF01) "Document 8690000005 saved (no accounting document generated)"
    Can any one tell me the reason.
    Thanks & Regards,
    Chandra

    vf02
    menu->billing doc->release to accounting.
    acounting doc will be generated , if not proving the error you are getting(exact error decrption with number)
    Ranjith

  • .Once the billing document is saved, then an auto-generated mail along with

    please provide me with solution on this real time ticket..
    Once the billing document is saved, then an auto-generated mail along with PDF copy of  invoice has to trigger to customer contact person.

    please provide me with solution on this real time ticket..
    Once the billing document is saved, then an auto-generated mail along with PDF copy of  invoice has to trigger to customer contact person.

  • Document Summarization for External Accounting Documents - ECC 6.00

    Hi All,
              I would like to know about the Document Summarization for external accounting documents in controlling. please can anyone suggest when we have to use this in ECC 6.00.
    Regards,
    Pranav

    Hi,
    Please see note 1070629 - FAQs: New General Ledger Migration
    https://websmp204.sap-ag.de/~form/handler?_APP=01100107900000000342&_EVENT=REDIR&_NNUM=1070629&_NLANG=E
    Extract :
    77. How can I deactivate classic Profit Center Accounting (EC-PCA) after activating the new General Ledger?
    Note 702854 explains how to deactivate classic Profit Center Accounting.
    If you use document splitting for profit centers in ERP2004, delete the dummy profit center from the table TKA01 also. For this purpose, Note 702854 provides the program Z30PCA23. Use the program Z30PCA23 to delete the dummy profit center of classic Profit Center Accounting in the controlling area.
    Hope this helps.
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  • Pricing error (Message no. VF073) Accounting Document not generated

    Dear All,
    User has entered delivery quantity as 0.00 in one of the line item (007) without material description in vl01n and saved. Invoice number has also been generated. Because of Pricing error for the line item( 007) Accounting Document is not getting generated.
    My issue is without cancellation of invoice/configuration changes, can i delete the line item (007) or is there any alternative solution to create accounting document.
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    hi
    please check the account assignment group for material, go to vf02 and check line item ,  , click on menu bar  environment -account assignment analysis-revenue accounts  , here you will check you base condition type data , once click on condition type , system which data is missing , now you can enter ,

  • Error in Posting Excise Invoice - Accounting document not generated !

    Hi,
    We have done the GR using MIGO-Only Part I, captured in the Excise Invoice using J1IEX and these two transactions are OK.
    While we are trying to post the Excise Invoice, the system is displaying the following error:
    Accounting document not generated!
    Message no. 4F186
    Please guide.
    Please note that we are running the transaction in the Pre-production server for the very first time.
    Also would like to know what all reports I should run related with Excise. Someone told me that I should run the T Code J1I5 & J2I5 to update the RG23 register the next day of the transaction the entry related with excise is not updated on the same day. I think the updation of register should be automatic 
    Regards,

    Hi,
    I am repeating my Process/Question:
    We have Created a Purchase Order with Tax Code (JMOP) related with Excise (Cenvatable).
    We did the Goods Receipt (MIGO-> Only Part 1)
    We did the Capture Invoice (J1IEX).
    Till here every thing is OK.
    While Posting the Excise Invoice (J1IEX), the system is giving the follwoing error:
    Accounting document not generated!
    Message no. 4F186
    On Simulation window, the System is displaying the following CENVAT Posting:
    24820020           Dr.      1,058.00
    24820000           Dr.      105,840.00
    24820010           Dr.      2,117.00
    13113920           Dr.     109,015.00
    But when we click on the Post CENVAT Button, the system is displaying the message "Accounting document not generated !" and exits.
    Please guide.
    Please note that we are running this Transaction on the Pre-production Server; On the Development Server it is working fine.
    Regards,

  • Error when releasing billing to accounting document

    Why we tried to release the billing to accounting document. There is the below error.
    Could someone please kindly help?
    Message Identification: F5
    System Message Number: 358
    Output type: E
    The Diagnosis is 'This document refers to a document which contains an invoice reference.
    The Procedure is 'Enter a different document as the invoice reference'.
    Thanks,

    You might be creating the billing document for a flow where there might be original invoice and/or credit memo also.
    So check that the original invoice and/or credit memo has an invoice reference to itself (i.e. the invoice reference = the accounting document number) than there is an incorrect referencing.
    Remove this reference via FB02 in the original invoice and/or credit memo and it should work
    Regards,
    Gaurav

  • No documents of Profit-Center Accounting are generated for prof/ctr valuat

    Dear All,
    We have activated multiple valuation: Legal, Group, Profit Center.
    We have activated Profit Center Accounting too.
    Now we have performed sale of material from one Company code to another.
    And there are no documents of Profit Center Accounting.  Plus in Profit Center valuation there are no sums on revenue account.
    All sums are posted to account defined for internal material movements in transfer price's customizing.
    What customizing is  missing?
    Best regards,
    Kamila.

    Hi Manoj,
    As you know that transferring balances from one PC to another completely  with in controlling part.  Until unless you post any document from FI or MM  side system will not generate any Accounting doc for any transactions.  And we do not have any direct postings in controlling. Thank you,
    Regards,
    Inthiyaz

  • Error while reversing the asset accounting document through t code AB08

    Hello All,
    i have one query where the user has scrapped the assets through T code ABAVN in the month Dec 2009 with doc date of Nov 30th 2009. Now he realised that the posting was wrong and he wants to reverse it in 1st of Jan 2010 with the t code AB08. when we click on the reverse button in t code AB08, system is by defaultly taking the fiscal year, posting date and period, only we need to give the reason code. here user is trying to give the reversal date manually and making the posting. Now system is giving an error "Reversal in different fiscal year is not possible" with the message AA487.
    we are using SAP ECC 5.0 and i got SAP 1393737 for this and it is mention that there is a program error and needs to implement the program corrections.
    Please can any one suggest me, is that correct approach or should i need to follow the another work around to resolve this issue.
    Thanks in advance.
    Regards,
    Venkat

    Reversal in different fiscal year is not possible in the Standard        
    system since it will affect your balance sheet and other accounting      
    legal report.                                                                               
    It is not possible in FI-AA to reverse       
    a document in this way,  "because of the calculation of depreciation"                                                                               
    The reasons are:                                                                               
    1. The reconciliation of FI and FI-AA must be ensured, and therefore     
       Posting and Asset Value Date must be in the same fiscal year.                                                                               
    2. Depreciation of aquisitions posted in the previous year, are          
      not automatically corrected, when you post a reversal.                                                                               
    One way is to open the previous period(previous fiscal year) and post    
    the reversal to the same fiscal year. PLEASE NOTE THIS IS ONLY IF YOU    
    HAVE NOT EXECUTED YEAR END CLOSING TRANSACTIONS.     
    Blaz

  • Error getting when saving the sales document in third party sales order

    in third party sales order,when i am saving the sales order i am gettingthe following error
    subsequent function 'purchase requistion from sales document' not possible due to credit block.earlier i have maintained credit checks for some customers,but for this customer i have not maintained any credit check. i dont know why system is blocking for this customer also.pls help me where i went wrong.
    highly rewarded if help full.
    thank you

    Please go to FD32, check any default risk category and credit limit is maintained for the customer.
    Also check OB45, any default risk category & credit limit is maintained for the credit control area.
    Also, which order type u r creating sales order? for that order type, Goto VOV8, remove the credit grp and credit check settings.
    Also goto XD02, check in sales area data, billing tab, credit control area field, please remove that also.
    Hope it Helpful.
    Reward points if useful..

  • Error whie postring in to accounting document

    Hi,
    I am getting the following errors while posting billing documents in to Accounting .
    Tax Jurisdiction 0 has incorrect length
    Tax Stmt item missing for tax code O0
    Tax Stmt item missing for tax code O1

    Hi Raja,
    Please note that the SD-FI interface changed from earlier releases.
    In the vast majority of cases, error FF805 occurs because of an error
    in your pricing procedure. The previously attached note 112609 explains
    in detail how tax codes are transfered to conditions.
    The note 400766 explains the checks performed by the system on the Tax
    codes:
    1. system checks whether there is a revenue line for each tax line.
    2. in the reverse case, for each revenue line containing a certain
       tax indicator there must be a tax line with this indicator.
    If the tax condition has condition value zero and condition base
    value zero, then it is not transferred to FI.
    If you have revenue lines containing a tax indicator XX, but no
    tax line with tax indicator XX, then the error FF805 issues, and
    it is justified. => Please check these informations. I have attached
    notes for further information.
    -> EXAMPLE
       If tax condition MWST has base amount zero and value zero; for this
       reason it is not passed to accounting. But, according to the
       criteria reported by note 112609, its tax indicator EG: A7
       has been assigned to the condition EG: ZBR1.
       So in accounting there would be a revenue line with tax indicator A7,
       but there isn't any tax line with indicator A7 (because MWST doesn't
       pass to FI). The note 400766 states situation is unallowed, and error
       FF805 is justified.
    For FF791,please check the customizing of OBCO,  whether company is relevant for tax jurisdiction.
    If yes, then it is necessary to determine a tax jurisdiction code.
    In the standard system, normally the tax jurisdiction code is determined
    from ship-to party. If in your case  it is an export to another
    country,the ship-to party has not a valid Brazilian tax jurisdiction
    code. Then the system searchfor the default tax jurisdiction code
    in transaction OBCL.
    If it is missing, then error FF799 is given.
    Thanks and best regards,
    Smile

  • Error when Parking G/L Account Document for Ledger Group

    Dear Frds,
    When my client try to park document for General ledger group (T-Code: FV50L), he is getting the error like CHECK_PLANTS_ABRO with the message No # FF804.
    Can anybody guide me what is this regard..
    Regards,
    Laxma

    Do one this items:
    1. Refer Note. 904036
    2. Check your configuration in terms of plants, company code, company name. Something might have been missing.

  • Creation of Shipment Document after Saving the Material Document in SAP ETM

    Hi,
    The SAP ETM (Equipment Tools Management) is active in the system.
    As per the process flow We need to create a material document say with movement type 501.
    The moment we save this document the system should create the Shipmenty Document in ETM.
    The required BADI's and the function modules are activated and the required linkages are also activated.
    Still the system does not behave as desired.
    Regards,
    Jeetendra Kulkarni
    Cell No: 9324616023

    Hi, Jeetendra Kulkarni!
    Force the same problem.
    At my Business Workplace get an outbox massage "CEM MM Integration"
    At WF see that Creating CEM ship. doc. failure cause no agent defined.
    But I assigned the following tasks:
       a) Standard task 80000088 Create ETM ShipDoc from MM Doc. Dialog.
       b) Standard task 80000087 ETM ShipDoc GR Try Again?
    for myself as object type US.
    What's wrong?
    Did you resolve this problem?
    Thanks in advance

  • No Accounting Document generated

    Dear Experts,
    For some quality testings, i did not maintain Company Code / FI View of the newly created Customer, deliberately.
    I posted a Excise Invoice, during which i got a WARNING message "Document 9000185 saved (no accounting document generated)". The message ID displayed on my screen was VF050
    The above was a warning message, but i wish to change this from a WARNING Message to an ERROR Message. So that the Excise Invoice is not saved unless FI View is maintained for the Customer
    please help me in changing how do i find the origin path of this message & change from Warning to an Error.

    In fact, you should prevent this before saving the billing document itself which can be achieved either adding this logic in your existing routine or go for billing user exits like USEREXIT_ACCOUNT_PREP_KOMKCV (Module pool SAPLV60A, program RV60AFZZ)  or  USEREXIT_ACCOUNT_PREP_KOMPCV (Module pool SAPLV60A)
    On the other hand, if you are specific to excise invoice, you can try with any of the following excise exits.
    a)  J_1I7_USEREXIT_EXCISE_AFT_SAVE  or
    b)  J_1I7_USEREXIT_EXINV_ADDL_DATA
    thanks
    G. Lakshmipathi

  • No accounting document generated from SD

    Dear Friends,
    When I am creating Billing document from SD using VF01 tranacstion, I am getting error message that "Document 90000028 saved (no accounting document generated)", but I had activated all config between IS-U FI-CA and SD.
    I hope the billing document is getting generated, but it's not posting and creating the accounting document in FICA side.

    Hi ,
    There might be 2 reasons why the SD document doesnt post to FICA .
    1. Maintainence of relevant configuration under the node - SPRO - Financial accounting New - Contract accounting receivable and payable - Integration - Sales and distribution .
    Hope you have maintained all the relevant configs. under the node ( 3 in no's ) .
    2. Secondly if there is an error while determining the accounts for posting the billing documents , you can view the same through document details , where in you can view the documents that are being generated for the same .
    Kindly check the 2 areas and revert back if the problem still persists .
    Cheers ,
    Dewang

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