Error in Billing ''Balance in Transaction Currency''

Hi,
While doing billing ''balance in transaction currency'' error is coming.
Pls give me solution.
Thanks,
Padmaja

Hi Purva,
Which Tcode have you used - enjoy functionality FB70 or old screens like F-22?
Regards
Dwarak

Similar Messages

  • While excise posting, an error is coming "Balance in Transaction  Currency"

    Dear all
    While capital excise posting, an error is coming "Balance in Transaction  Currency" for the capital goods posting.
    During the excise duty posting J1IEX our clint done some manuvall entry for excise duties so
    at the time its 0.01 diffrence is coming in balance thats why we are not able to post the document.
    so please can any one give the solution for this
    regards
    pramod

    hi
    Check Excsie duties in "Excise Duty" Tab at Item Details level.
    Kindly note that all the duties (BED, ECS and SECess) in case of RG23C Part II posting must be in EVEN numbers.
    For e.g. Check whether SECess is 10.63 (ODD No) then make it either 11.00 or 10.64 or 10.62 i.e. EVEN No otherwise during Part II posting it will always show balance of 0.01
    Check how much piase is the difference. Then you can decide how many values to be rounded off.
    To avoid this type of problem better to ensure all amounts ( BED, Ecess and Hr Ecess) are in Even figures.
    hope it clears
    regards
    kunal

  • BAPI_ACC_INVOICE_RECEIPT_POST error F5 702 Balance in transaction currency

    I’m creating an AP with invoice with taxes but no PO.  I started with working test code / data without taxes and tried to add support for taxes following the example in Note 626235.  I’m coding in C# using the SAP .NET Connector but also tried it via SE37 and received the same error.  Test data from SE37 below:
    DOCUMENTHEADER
    Username     validuser
    Comp_code     3000
    Doc_date     02/14/2008
    Pstng_date     02/14/2008
    Fis_period     00
    Doc_type     KR
    ACCOUNTPAYABLE
    Itemno_acc     1
    Vendor_no     3904
    ACCOUNTGL
    Itemno_acc     2
    Gl_account     470000
    Fis_period     00
    Tax_code     I1
    Taxjurcode     FL1011001     Custom but valid (FB60 tested), returned from BBP_CALCULATE_TAX_FRM_NET_40B
    Costcenter     1000
    ACCOUNTTAX
    Itemno_acc     3
    Tax_code     I1
    Acct_key     NVV
    Taxjurcode     FL0000000
    Cond_key     JP1I
    Stat_con     X
    Taxjurcode_deep     FL1011001
    Taxjurcode_level     1
    Itemno_acc     4
    Tax_code     I1
    Acct_key     NVV
    Taxjurcode     FL1010000
    Cond_key     JP2I
    Stat_con     X
    Taxjurcode_deep     FL1011001
    Taxjurcode_level     2
    CURRENCYAMOUNT
    Itemno_acc     1
    Curr_type     00
    Currency     USD
    Amt_doccur     -107
    Amt_base     -107
    Itemno_acc     2
    Curr_type     00
    Currency     USD
    Amt_doccur     100
    Amt_base     100
    Itemno_acc     3
    Curr_type     00
    Currency     USD
    Amt_doccur     6
    Amt_base     100
    Itemno_acc4
    Curr_type                  00
    Currency     USD
    Amt_doccur     1
    Amt_base     100
    Please note that there are no taxes for level 3 (FL1011001) as the rate is 0.
    Thanks in advance for any help,
    Karl

    Hi Karl,
    Even i am also facing the same error. Please find below my code and do help me out in this problem.
    DOCUMENTHEADER
    Username validuser
    Headertext   XMS:
    Comp_code  0B70
    Fisc_year     2008
    Doc_date     20080612
    Pstng_date  20080708
    Fis_period    07
    Doc_type     KR
    REF_DOC_NO  ERA0002120080612
    ACCOUNTPAYABLE
    Itemno_acc 0000000001
    Vendor_no 0005147036
    REF_KEY_1 20080612
    ITEM_TEXT  XMSA00021
    ACCOUNTGL
    Itemno_acc 0000000002
    Gl_account  0260121000
    comp_code  0B70
    Fis_period 00
    Tax_code    P3
    ALLOC_NMBR  A00021
    ITEM_TEXT    DESK SUPPLIES
    Costcenter 0000104648
    Itemno_acc 0000000003
    Gl_account  0226006010
    comp_code  0B70
    Fis_period 00
    ALLOC_NMBR  A00021
    ITEM_TEXT    SINGAPORE VAT ON DESK SUPPLIES
    Costcenter 0000104648
    ACCOUNTTAX
    Itemno_acc 0000000004
    GL_ACCOUNT  0226006010
    Tax_code          P3
    Acct_key         VST
    Cond_key       MWVS
    Stat_con X
    CURRENCYAMOUNT
    Itemno_acc 0000000001
    Curr_type 00
    Currency_ISO SGD
    Amt_doccur 85.6000-
    Amt_base    80.0000-
    Itemno_acc 0000000002
    Curr_type 00
    Currency_ISO SGD
    Amt_doccur 80.0000
    Amt_base    80.0000
    Itemno_acc 0000000003
    Curr_type 00
    Currency_ISO SGD
    Amt_doccur 5.6000
    Amt_base    0.0000
    Actually the IDOCS were getting generated successfully before adding the tax parameter "ACCOUNTTAX". Since the requirement is to calculate the VAT tax. I Introduced the parameter "ACCOUNTTAX". But now im getting the error "BALANCE IN TRANSACTION CURRENCY".
    Please help me out in this issue.
    Regards,
    Meridius.
    Edited by: Meridius max on Jul 8, 2008 1:01 PM

  • Error in ABSO-balance in transaction currency

    Dear Experts,
    while using trans.code ABSO there was error message: balance in transaction currency'
    I have tried to use : 'complete transfer' or 'partial transfer' but still had the same error.
    for information, the acquisition value of the old asset is still available
    Kindly advice.
    Thank you

    hi
    please check this note can help you
    Note 106704 - RW022 for acquisition posting and parallel curr.

  • Error in Balance in transaction currency

    Hi Friends,
    I am getting the following error while saving the Excise Invoice(Domestic)
    Balance in transaction currency
    Message no. F5702
    Diagnosis
    A balance has occurred in transaction currency 'INR' with the following details:
    Exchange rate '00', amount ' 60.000' and currency key 'INR'.
    The data in the transaction currency were transferred from the calling application.
    System Response
    Your data cannot be processed in FI.
    Procedure
    The error is probably in the calling application.
    Please help me...
    With regards

    Hi,
    Please check the following threads which are frequently asked
    Balance in transaction currency
    Excise Invoice Error In J1IIn
    Balance in transaction currency
    Also check the following note
    Note 763141 - Error: Balance in transaction currency - J1IEX
    Regards,
    Jigar

  • Balance in transaction currency in MIRO

    Hi,
    I am doing a MIRO using the PO of the vendor. There is no balance showing up and it is green with 0.00 as the value. The GR amount matches perfectly with the amount entered. There is only one currency being used - USD. Yet, I am getting the error F5702 - Balance in transaction currency.  The tax code matches the one on the PO and it is non taxable. I have tried all options - calculate tax or without it but the error just persists. We are on ECC 6.0
    Can anyone tell me what else I need to be checking?
    Thanks a lot!

    Hi,
    Please check the following threads which are frequently asked
    Balance in transaction currency
    Excise Invoice Error In J1IIn
    Balance in transaction currency
    Also check the following note
    Note 763141 - Error: Balance in transaction currency - J1IEX
    Regards,
    Rajesh

  • Balance in transaction currency Message no. F5702 in MIRO

    We are getting following error while posting vendor invoice using MIRO w.r.t local PO.
    Since this is a local PO , currency is INR. Then why this error of exchange rate. How to solve this issue ?
    Balance in transaction currency
    Message no. F5702
    Diagnosis
    A balance has occurred in transaction currency 'INR' with the following details:
    Exchange rate '00', amount '0.01-' and currency key 'INR'.
    The data in the transaction currency were transferred from the calling application.
    System Response
    Your data cannot be processed in FI.
    Procedure
    The error is probably in the calling application.
    Pls help

    Hi Sridevi
    When we simulate in MIRO , the accounting shows
    Vendor                                         727,440.00-
    GRIR CLEARING                          727,438.57
    SMALL VALUE DIFFERENCES              1.42
    Here system shows a balance of 1.43 Rs.
    and system gives error message saying "Balance in transaction currency"
    If this was happening in particular invoice, we can put this to a specific GL and close. But this is happening for all invoices.
    Kindly help.
    Thanks in advance.

  • J2IUN-Balance in transaction currency

    Dear all,
    After completing the process in J2IUN, while saving the following error is coming,"Balance in Transaction currency".
    Can anybody help me solve this issue?
    Will award good points.
    Thanks & Regards,
    A.Anandarajan.

    Hi
    Thanks a lot for your instant reply.  As you told there is a mismatch in the debit and credit. can you please tell in detail in which Excise transaction type it would be an error:
    this is the following entry:
    Dr   0013113906  27,136.06       Higher E.Cess payable          
    Dr   0013113900  2,713,474.00    CENVAT Payable                 
    Dr   0013113901  54,269.12       Ecess Payable                  
    Cr   0024820000  428,955.90      CENVAT Input BED               
    Cr   0024820002  9,598.59        Cenvat Ecess                   
    Cr   0024820004  44,670.53       E-Cess on PLA                  
    Cr   0024820004  44,670.53       E-Cess on PLA                  
    Cr   0024820004  44,670.53       E-Cess on PLA                  
    Cr   0024820005  3,197.72        H.Ed . Cess Input A/c          
    Cr   0024880000  2,284,518.10    PLA BED                        
    Cr   0024910002  23,938.34       H.Ed . Cess PLA   
    you can notice E-cess on PLA has come thrice and due to that 89,341.06 is coming more. That is the exact error. Can you please tell where should i do the modification?
    Thanks & Regards,
    A.Anandarajan

  • F5702 - AIBU, Balance in transaction currency

    Hello
    When settling AUC (AIBU) I get error message F5702 - Balance in transaction currency.
    I have searched the forum and the internet, but without success. Only thing I have found as 'maybe useable' is that the balance in a period may not be negative.
    I have an AUC with 4 MIRO-postings. 1 in period 6, 2 in period 7 and 1 in period 9. One of the postings in period 7 is a credit memo on the same amount as the invoice, but with a higher quantity - meaning that the quanitiy in period 7 is negative. Can this be the reason for the error? If yes, can somebody assist me how to proceed? In MM we already have closed for period 7...
    Thanks in advance.
    BR
    Søren

    Hi Lakshmipathi,
    Greetings for the Day,
    I have blogged for the same error couple of days & was still working on this to get rectified.
    Seems like none of them(like me) got solved.
    I have updated OB09, OB08.... there are no automatic postings, there is no foreign currency in my co cd..  I even have created a new vendors & new assets, removed all tax attached, removed all the payment terms ... tried in plain....... still getting the same......... tried all possibilities.
    Everything works perfect except this one.. I would be highly obliged if you could suggest me more on this.

  • Error FI/CO interface: Balance in transaction currency from BAPI BAPI_ACC_DOCUMENT_POST

    Hi All,
    We are facing error FI/CO interface: Balance in transaction currency from BAPI BAPI_ACC_DOCUMENT_POST.
    This error we are getting only in case of passing tax data.
    Can anyone help me on this.
    Below is the code :
       *fill header
    gd_documentheader-username   =  sy-uname.
    gd_documentheader-header_txt = 'Test'.
    gd_documentheader-comp_code  = p_ccode.   "SQ
    gd_documentheader-doc_date   =  sy-datum.
    gd_documentheader-pstng_date =  sy-datum.
    gd_documentheader-doc_type   = 'KR'.
    gd_documentheader-ref_doc_no = p_xblnr. "SQ
    *gd_documentheader-bus_act = 'RMWE'.
    city = p_city.
    state = p_state.
    zipcode = p_zip.
    *get tax juridisction code
    IF NOT ( city     IS INITIAL ) AND
       NOT ( state    IS INITIAL ) AND
       NOT ( zipcode IS INITIAL ).
      SELECT SINGLE rfcdest INTO ttxd-rfcdest FROM ttxd
       WHERE kalsm = 'TAXUSX'.
      CLEAR x_com_jur.
      REFRESH t_com_jur.
      x_com_jur-city     =  city.
      x_com_jur-state    =  state.
      IF zipcode+5(4) EQ space.
        zipcode+5(4) = '0000'.
      ENDIF.
      CONCATENATE zipcode+0(5) '-' zipcode+5(4)
             INTO x_com_jur-zipcode.
      x_com_jur-country  = 'US'.
      CALL FUNCTION 'RFC_DETERMINE_JURISDICTION'
        DESTINATION ttxd-rfcdest
        EXPORTING
          location_data    = x_com_jur
        IMPORTING
          location_err     = x_com_err
        TABLES
          location_results = t_com_jur.
      IF sy-subrc = 0.
        READ TABLE t_com_jur INTO x_com_jur INDEX 1.
        it_accountgl-taxjurcode =  x_com_jur-txjcd.
      ENDIF.
    ENDIF.
    *fill AP (line 1) - vendor related data
    SELECT SINGLE zterm FROM lfb1 INTO p_zterm WHERE lifnr = p_lifnr.
    it_accountpayable-itemno_acc = 1.
    it_accountpayable-tax_code = p_txcd.
    it_accountpayable-pmnttrms   = p_zterm. "SQ
    it_accountpayable-vendor_no  = p_lifnr. "SQ
    *it_accountpayable-item_text = 'S2P Testing in UDR1'. - SQ
    it_accountpayable-pymt_meth = p_pmet. "- SQ
    APPEND it_accountpayable.
    *fill GL (line 2)
    it_accountgl-itemno_acc      =  2.
    *item_text - sq
    IF p_asset IS NOT INITIAL.
      TABLES : anlz,
               anla.
      SELECT SINGLE * FROM anlz  WHERE anln1 = p_asset.
      SELECT SINGLE * FROM anla WHERE anln1 = p_asset.
    *concatenate '00' anla-KTOGR into it_accountgl-gl_account .
      CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
        EXPORTING
          input  = anla-ktogr
        IMPORTING
          output = it_accountgl-gl_account.
      it_accountgl-asset_no = p_asset.
      it_accountgl-sub_number = '0000'.
      it_accountgl-cs_trans_t = '105'.
      it_accountgl-acct_type = 'A'.
    ELSE.
      it_accountgl-gl_account      = p_gl.
      it_accountgl-costcenter      = p_cc.
      it_accountgl-wbs_element     = p_posid.
    ENDIF.
    it_accountgl-comp_code       = p_ccode.
    it_accountgl-tax_code = p_txcd.  "SQ
    it_accountgl-pstng_date      =  sy-datum.
    it_accountgl-fisc_year       =  sy-datum(4).
    APPEND it_accountgl.
    CLEAR it_currencyamount.
    *fill currency ammounts for lines 1 & 2
    it_currencyamount-currency    = p_waers.  "SQ
    it_currencyamount-itemno_acc  = 1.
    *it_currencyamount-amt_base =  -1.
    it_currencyamount-amt_doccur  = - 116. "p_totamt.
    it_currencyamount-CURRENCY_ISO = 'USD'.
    it_currencyamount-tax_amt  = - 16.
    APPEND it_currencyamount.
    CLEAR it_currencyamount.
    it_currencyamount-itemno_acc  = 2.
    it_currencyamount-currency    = p_waers.  "SQ
    it_currencyamount-amt_doccur  = 100.
    it_currencyamount-CURRENCY_ISO = 'USD'.
    *it_currencyamount-amt_base =  100.
    *it_currencyamount-TAX_AMT =  -10.
    APPEND it_currencyamount.
    *tax data
    it_accounttax-itemno_acc = 3.
    it_accounttax-tax_code = p_txcd.
    it_accounttax-gl_account = '0023110000'.
    *it_accounttax-gl_account = p_gl.
    it_accounttax-TAXJURCODE = x_com_jur-txjcd.
    it_accounttax-acct_key = 'NVV'.
    it_accounttax-cond_key = 'XP2I'.
    **it_accounttax-direct_tax = 'X'.
    APPEND it_accounttax.
    CLEAR it_currencyamount.
    it_currencyamount-itemno_acc  = 3.
    it_currencyamount-currency    = p_waers.  "SQ
    it_currencyamount-amt_doccur  = 16.
    it_currencyamount-CURRENCY_ISO = 'USD'.
    it_currencyamount-amt_base =  100.
    it_currencyamount-TAX_AMT =  - 16  .
    APPEND it_currencyamount.
       CALL FUNCTION 'BAPI_ACC_DOCUMENT_POST'
      EXPORTING
        documentheader          = gd_documentheader
    IMPORTING
       obj_key                 = wa_obj_key
      TABLES
       accountgl               = it_accountgl
    *   ACCOUNTRECEIVABLE       =
       accountpayable          = it_accountpayable
       accounttax              = it_accounttax
        currencyamount          = it_currencyamount
    *   CRITERIA                =
    *   VALUEFIELD              =
    *   EXTENSION1              =
        return                  =  it_return
    COMMIT WORK.
    Regards,
    Priyaranjan

    Hi,
    Reason 1:
    An revenue-recognition-relevant item has several active conditions whose values cancel themselves so that a net item value of 0 results. The conditions have both the same revenue account (SAKN1) and the same clearing account (SAKN2).
    For these conditions, the system writes a line with value 0 into the temporary FI/CO interface (internal tables: CACCIT, CACCCR). If table VBREVK does not contain control lines for this line, no further processing occurs and the line remains in the temporary FI/CO interface. Then the system reads this line for the creation of the next billing item which conatins a net value and generates a posting line with value 0. As a result, there is a balance in the FI/CO interface, and the billing document cannot be transferred.
    Reason 2:
    The billing document contains at least one item with an item category for which there is a setting stipulating that the values of this item should not be transferred to the header total of the document.
    That is, in the maintenance of the item categories, this item category has the characteristic 'X' or 'Y' in 'Statistical value' field.
    Reason 3:
    Case: Billing document contains items without pricing conditions.
    Then, on release to accounting, error RW022 occurs.
    regards,
    Saju.S

  • System gives error msg "balance in transaction currency"

    Hi,
    when we run t-code VF02 ,after giving billing document number , when we select release to accounting system gives following error message
    Balance in transaction currency
    Message no. F5702
    Diagnosis
    A balance has occurred in transaction currency 'INR' with the following details:
    Exchange rate '00', amount '           112.36-' and currency key 'INR'.
    The data in the transaction currency were transferred from the calling application.
    System Response
    Your data cannot be processed in FI.
    Procedure
    The error is probably in the calling application
    Request immediate help.

    See the following OSS notes:
    662011
    480907
    551898
    611094
    Hope they can help
    Siva

  • VF02 error- Balance in transaction currency

    Hi all!
    We are getting below error message when trying to release a contract billing document through transaction VF02.
    Balance in transaction currency
    Message no. F5702
    Diagnosis
    A balance has occurred in transaction currency 'GBP' with the following details:
    Exchange rate '00', amount ' 7603.33-' and currency key 'GBP'.
    The data in the transaction currency were transferred from the calling application.
    System Response
    Your data cannot be processed in FI.
    Procedure
    The error is probably in the calling application.
    Can you please suggest how to go about solving this.
    Thx in advance,
    Raj.

    Hi Vijaya
    In my case we were getting the error because payer in the billing document had wrong customer account assignment group (CAAG)  in the master data.
    Since CAAG is one of the criteria for GL account determination in VKOA and it was maintained incorrectly, contract document was not able to find any GL account in VKOA tables.
    Hence contract document did not update table VBREVE when it got created. As a result we were getting this error when we were trying to release billing document.
    Let me know if you have any questions.
    Regards,
    Santosh

  • Error 'Balance in transaction currency' in VF02

    Hello Experts,
      I am getting an error message 'Balance in transaction currency' in VF02 while releasing to accounting.
    Can anyone tell me the reason and suggest the solution for this issue?
    Thanks and Regards
    Krunal Raichura

    Hi Vijaya
    In my case we were getting the error because payer in the billing document had wrong customer account assignment group (CAAG)  in the master data.
    Since CAAG is one of the criteria for GL account determination in VKOA and it was maintained incorrectly, contract document was not able to find any GL account in VKOA tables.
    Hence contract document did not update table VBREVE when it got created. As a result we were getting this error when we were trying to release billing document.
    Let me know if you have any questions.
    Regards,
    Santosh

  • Error F5702 Balance in transaction currency VF01

    Hi gurus,
    while creating invoice in VF01,the system gives this error Balance in transaction currency and FI Documents aren't created. Billing document is generated.
    Any idea for us?
    Thank you!

    Dear Daniel
    It could also be due to the fact that some rounding profile would have been applied for taxes, but while generating billing, it is not working.  Please check that also.
    Incidentally, would you please let me know the origin country from where the billing is to be generated ??
    thanks
    G. Lakshmipathi

  • Error while saving Excise Invoice- 'Balance in transaction currency'

    Hi to all.
          I am using TAXINN taxing procedure.Recently I applied notes for S&H cess legal changes. Everything working fine. But when I try to save excise Invoice system throws the following error. Amount Rs.53 is S&H Cess. If i removed condition type from pricing document is posted.So, can anybody tell me what settings to be made to correct this error?
    Error message:
    Balance in transaction currency
    Message no. F5702
    Diagnosis
    A balance has occurred in transaction currency 'INR' with the following details:
    Exchange rate '00', amount '            53.00' and currency key 'INR'.
    The data in the transaction currency were transferred from the calling application.
    System response
    Your data cannot be processed in FI.
    Procedure
    The error is probably in the calling application

    Dear Siva,
    Please refer Master OSS note# 1032265-- Higher Education Changes.
    May it wil help you to resolve ur problem.
    Regards,
    Venkat

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