Error while changing Billing document

while opening billing document in VF02 i got got error " Period 001/2011 id not open for account type S  and G/L 1600261"
can u tell what is that error and how to solve?

Hi ,
Check the below thread for reference
Period 001/2011 is not open for account type S and G/L 421860
Regards,
Ajay

Similar Messages

  • Error while posting billing documents

    Hi,
    I am trying to post billing documents for accounting , but I am getting some error related to number range.
    I have checked number range assignments, where else I can check to find out error.
    Regards
    Nidhi

    If you are getting error while creating billing document -
    Check your number range status assignment in T-Code - VN01
    If any userexit is used then check in Userexit MV60AFZZ. There could be a Z-table where the number range may not be properly defined for the Billing Type/ plsnt/etc. as per the settings.
    If Billing document is created and you get this error while posting-
    Then it would be error with the number range for Accounting Document. Pls. ask the FI person to fix this.
    If the above does not solve - pls. mention the exact error with error code.
    Thanks

  • Error while creating billing documents

    Hi,
      While creating billing documents I am getting error message as 
    Maintain customizing for excise and series group determination
    Message no. 8I619
    I have check the setting for CIN it is OK excise and series group are maintain properly so what can be the proble,
    regards,
    zafar

    Hi,
    Check once again customizing
    Maintain Series Group - In this IMG activity, you define the different excise series groups within your company. Series groups allow you to maintain multiple number ranges for the outgoing excise documents. Based on excise regulations and exemptions from the authorities you can maintain multiple number series for outgoing documents. But each of these series has to be declared to the excise authorities.
    - Define excise series groups based on type of outgoing document
    - Assign series group to excise registration ID
    - If no financial postings are required for an Excise invoice in this seris group then you tick the 'No utilization' indicator.
    - If the CENVAT has to be paid immediately and you need not wait for the Fort nightly payment then mark the 'Immediate Utilization' Iindicator. Example - You could define two series groups, group 001 for excise invoices, and group 002 for 57 F4 documents.
    - No account postings for CENVAT in sales cycle
    - No utilization Flag
    If you do not need any CENVAT utilization for an excise invoice but would like to just generate an excise invoice then you need to mark this indicator.
    If the flag is checked then system will create an Excise invoice in the given Series group but there will not be any account postings or Part2 postings.
    Immediate Utilization of CENVAT - Specifies that when you create an excise invoice, the system immediately pays the amount from CENVAT and creates the Part II entry. Such invoices will not be listed for fortnightly utilization.
    If you have both fortnightly and immediate utilization for the same excise group, the account determination within CIN IMG should point to the ED interim account.
    Thanks
    Chidambaram

  • Error while posting billing document to Accounting

    Hi,
    We are getting an error when posting Billing document to Accounting .Eror "The document type is relevant for VAT.Please inset a VAT code in postings.
    Thanks in advance.

    Dear Ravinder
    Go to VF02, input the billing document and execute.  Now from the top menubar, click on Goto <> Header <> Header.   There check what pricing procedure is flowing.
    Now go to V/08, select that pricing procedure and check whether you have maintained the condition type for VAT.  I believe you have not maintained and hence, the error. Include the VAT condition type and create a fresh sale order.
    Meanwhile, you have to reverse the billing document via VF11, reverse PGI via VL09 and delete the delivery document. 
    thanks
    G. Lakshmipathi

  • Error while releasing billing documents to accounting

    i am facing the following problem while releasing billing documents to accounting i.e, taxcode in procedure TAXD is invalid...   pls solve it...

    Hi,
    That means the tax code which you are using is not linked to your tax procedure.
    For this Goto T.Code :FTXP
    Give Country for which this tax procedure is used.
    Next you have to give the Tax Code which you are using, if it is not created in that then it will create that tax code for that country, in that screen you will see all the tax condition types, give your tax percentage to the condition type which you want to use (Say MWST)
    Now release the billing document for accounting.
    You want face the issue.
    Hope this is clear.
    Reward if helpful.
    Thanks
    Praveen

  • Error while Cancelling billing documents

    Hi,
    I am trying to cancell the billing document with VF02 but while cancelling with VF02 i am getting error "For object RF_BELEG MS20, number range interval 62 does not exist FBN1", here MS20 is our company code then in FBN1 i have checke number range for 62 fiscal year 2009, but number range is properly maintain thier.
    what can be the problem, the document is made today itself and i am cancelling on same day
    regards,
    zafar

    Hi
    KIndly check the number ranges  maintained  according to the fiscial year 2009 in FBN1
    or  any one has changed the number series  for the interval and kindly the number range interval maintained in the accounting document type  in t code OBA7
    Regards
    Damu

  • Error while releasing Billing document in Subcontract process

    Hi All,
    We are working on Subcontract process as explained below:
    Company code X purchases the component A and sends it to Company code Y on Subcontract. Company codes X and Y belongs to one company using single operative chart of Accounts, Controlling area & operating concern. FI configuration has been maintained in OBYA by treating above company codes Inter company GLs. The component A is sent to company code Y as non value added item. Through 501 movement type, as the component is sent by Company code X.
    Company code Y will add some components (like B,C and charges some expenses as service component D for preparing Finished good) and send this FG to Company code X. For this company code Y will raise a Sales order and followed by MRP run and Production order is created.
    In VA02 of above Sales Order, while entering Item details, where the Settlement rule is asking for PA Transfer structure (in Account assignment tab of Item details) and giving the following error analysis:
    Enter a PA transfer structure
    Message no. KD 044
    Diagnosis
    A PA transfer structure is required for settlement to profitability analysis.
    System Response
    You cannot save this settlement rule.
    Procedure
    Enter a PA transfer structure. To do this, choose the "Parameters" function in the settlement rule. As part of customizing, you can also store a default value for the PA analysis structure, in the settlement profile. The system then uses this default value when you enter a settlement rule.
    In addition to above, another issue has raised while releasing the Billing document after doing PGI. Accounting document is not getting generated and while releasing the Billing document (VF02) it is throwing an error as
    “Enter profitability segment as cost object for Revenue and COGS posting”
    Message no. ZC 001.
    MM,PP,SD & FICO configuration settings maintained:
    1. All required OBYC settings
    2. All cost element and Cost element categories have been maintained
    3. From MM side the system is generating FI & CO documents
    4. Settlement profile in Production Order type is maintained (in KOT2). Allocation structure and PA transfer structure were maintained in (OK06, OK07 & KEI1).  In PA transfer structure we have assigned the required Sources and Value fields and settlement cost elements.
    5. In VKOA condition types KOFI and KOFK were maintained for relevant Customer & Material Account Assignment groups.
    6. Required settings have maintained in OKB9.
    Movement types 501 (sub contract), Received back to Company code X through Movement  type 101. In spite of these settings still we are getting the above mentioned errors.
    Could any one help to provide some inputs on the above issue as early as possible.
    Thanks in advance.

    Hi,
    check  in the sales order line item procurement tab . u can get the requirement type. in SPRo check the requiremnt class for the requirement type. in that requirement clas u will get settrlemnt profile for the sales order. Check that settlemnt profile there u have to maintain the PA transfer structure.
    I think both problem will get solved by maintaing the PA structure..
    You are doing sales order costing right....and i hope it is non vsaluated sales order costing .....
    If help ful please assign points.
    cheers
    Prabhat

  • Error while posting billing document

    dear gurus,
    while posting the billing document,the following error will appears.
    "no taxes on sales / purchases are allowed for accounting 20704540  1000, E4 not allowed."
    please do the needful.

    First check whether you have condition records for your tax. If it is there, then check the tax code assigned to the condition records. Seems E4 was incorrectly assigned to it. Check the correct sales tax code and assign. now try to post the billing document. Try first in sandbox or test environemnt.
    Regards,
    Sats

  • Error while posting billing document - Error belongs to Business area/G/L a

    Hi All,
    When i am posting the billing document i ma getting below error message:
    Business Area must be entered, Pl check if the Business Area is correct Message no. ZT017
    I think it is due to MWST tax condtion type and respective G/L account only.
    When i post 17% tax of MWST i am able to post it - it is having one G/L account,
    When i post 5% tax of MWST, i am not able to post it - Different G/L Account - I am getting above error.
    Please suggest us to proceed further.
    Regards
    Lakshmikanth

    Hi Lakshmipathi,
    This is not at all related to VKOA settings, because the G/L account determination through OB40 here. But every thing is in place. A1 tax code with XXXXXX G/L account is working fine, A2 tax code with YYYYY G/L account is not working fine. If change A2 tax code G/L account to XXXXXX, it is working fine. Here only with YYYYY G/L account issue,
    The error details already available in this thread.
    Thanks and Regards
    Lakshmikanth

  • Error while issuing billing documents

    Hi all,
    I have created a billing document and i wanted to issue it using "VF31" transaction.
    When i enter my no in the billing doc no in VF31 transaction and i run it, i get two errors:
    1) Processing log for program RSNASTED routine ALE_PROCESSING
    2) No recipient found for message type INVOIC in the ALE model
    My output type is "RD00". I went into "NACE" transaction to check the output type for my billing documents and what i see there is there is no form attached to my output type. Is this the cause for my error. And does anyone knows what my second error is all about. I know it is something related to ALE but i can't proceed further checking it since i dont have authorizations to SM59 or BD64 (Maintain Distribution Model) transactions.
    Please do help me in resolving the above two errors so that i can view my print preview of the billing document.
    Kind Regards,
    Mayuresh Ayachit.

    Hi,
    I saw the entire blog which u posted. But still there are issues.
    Steps that i followed:
    1) I went into NACE transaction. Clicked on V3 (Billing).  Selected "RD00" output type.
    2) Then i clicked on "Condition records" and executed the transaction.
    3) My Billing Doc Type is "F1" (invoice).
    4) There i made changes like my selection is based on "BP (Bill-to-Party)". I selected that and the transmission medium as "A" (ALE) and partner field i left blank so it is applicable to all partners. Date/Time i choose 4 (Send Immediately).
    5) Then saved the changes i made.
    Still i am getting two serious errors:
    1) Processing log for program SD_INVOICE_PRINT01 routine ENTRY
    2) ADS: com.adobe.ProcessingException: Problem accessing d(200101)
    Please help me with this guys.
    Kind Regards,
    Mayuresh Ayachit.

  • Error while release Billing document into Accounting -Help me

    Hi,
    While releasing SD billing document into Accounting,i am getting the blow error.Please advice me
    Valuation with material cost estimate: error with product "000AA696"
    Message no. KE350
    Diagnosis
    In Profitability Analysis (CO-PA), the system tried to valuate a line item using the current standard cost estimate.
    In order to determine the current plan period, the system needs to read the valuation segment of the material master.
    The system has found that the current plan period is not filled forproduct "000AA696" in plant "OB01".
    Display material (View: Costing)
    The system looked for the material cost estimate using costing key "YG3", as defined in the Customizing settings for CO-PA.
    System Response
    The document cannot be processed.
    Procedure
    Contact your system administrator.
    Thanks
    Sunitha

    Hi Sunitha,
    Please check your settings in KEPC. Check which costing key you have assigned to your plant.  Also check which rule you have set for the costing key. For example if  you have assigned "current standard cost estimate acc. to entry in mat. master" then check here is no current standard cost estimate for material.
    Regards,
    Abhisek

  • Cost Center Error while releasing Billing document to Accounting

    Hi SAP Gurus,
    Our user raised an issue that when he had released billing document to accounting, the system threw error message
    "Cost center xxxx (CO area)/xxxx(Cost center) does not exist on date 11/16/2011". Message No. KI 222.
    But the cost center xxxx does not exist in the system at all. The user does not want to create the cost center eirther. Cost center was not entered in Sales order, Delivery and Billing. I have checked 'Default account assignement' (OKB9) settings, Default account assignment in cost element master record and assignment of cost center to sales organization (OVF3). But cost center xxxx was not configured in the above settings. I have checked validations/substitutions, user exits and BAPIs, there is nothing specific to the cost center. This is not a cross-company code scenario. I have made field status to optional for cost center. But still the problem persists. Accounting document did not get generated because of the above mentioned error message. User applied SAP notes 315350. But it did not resolve the issue.
    Would anyone let me know 'why the system showed the cost center xxxx that does not exist, while releasing the billing document to accounting'?
    Thanks in advance.
    Best Regards,
    K.S.K

    Hi Friend,
    I think this link help for you
    Cost center XXXX does not exist on 15.09.2010.
    or check the OVF3

  • Error while releasing billing document to accounting

    Hi,
    I have an issue in the Sales order cycle.
    I have created a sales order and completed all stages till the creation of a billing document. However when i try to release this document to accounting, it creates an error,
    "Incorrect doc.no.: 520000007. Select document number between 0090000044 and 0090999999".
    Kindly note that 520000007 is the billing document number.
    Please advise.
    Thanks,
    Safi

    Hi,
    I presume your billing document number range is defined between 0090000044 and 0090999999. You can check it via FBN1 transaction. You should either assign the right number or change the number range for the document type in question.
    Regards,
    Eli

  • Error while releasing Billing Document in VF02

    Hi,
    I am getting the below error while releasing the billing document in VF02. What could be the reason for this?
    Characteristic value  US does not exist for characteristic WWCST (Country Ship-to)
    Message no. KE0C133
    Diagnosis
    The characteristic "WWCST" ("Country Ship-to") should be posted to Profitability Analysis (CO-PA). When the system checked the entries, it was established that the transferred characteristic value (" US") is not valid in CO-PA.
    System Response
    The data is not consistent and therefore cannot be transferred to CO-PA.
    Procedure
    With the function Maintain Characteristic Values, you can add characteristic values to those that are valid.
    Thanks
    Babu San

    Hey,
    Nicolas' reply is correct.
    And in case you could not maintain the relevant table and want to undo the
    check against the check table for some chars you have to remove the check
    table from table TKEF and afterwards regenerate the check routine RK2FGPKE.
    I will explain this more in detail on the basis of an example: imagine you want
    to get rid of the check table for char WW123. You must then proceed as follows:
    1.) Remove the entries for fields CHTAB and CHFIE from the TKEF record
        for WW123 (that means FIENM = WW123) so that these fields are after-
        wards initial in table TKEF for the WW123 record. 
    2.) Execute function module RKD_SHORT_TEXT_GENERATE for APPLCLASS = KE
        so that program RK2FGPKE is regenerated.
    But please be careful about this workaround and test it throughly in your DEV or QAS
    system before apply in PRD system.
    Best Regards
    Young

  • Error while creating Billing Document in Tcode VF01

    Hi all,
    When i want to create a Billing document with single document number i'm able to move on to the overview of billing items.....for instance if 9000004568 is a document with 10 and 20 as items and when i try an create a billing document for the concern document with VF01 t-code its populating only one item in the overview of billing document screen....why is it sooo
    And most importantly when i give two documents like 9000004568 and 6700000000 in the first screen and process them to see the overview of this then it populates Information message 'Reference document 9000004568 000020 (Error during INSERT)' .This is for the second item of the corresponding document number ie item 20 and when processed with single document number it shows only one item number 10 in the preceding screen......Why this is happing...
    Thanks in Advance.

    Younis
    are you trying to create 1 single billing document?
    If yes, you need have to same payer, payment terms and invoice date.
    if you are planning to create separate billing documents, you need to make sure that "billing type" is same.
    let me know if you need more info.
    pl reward points if u find this info useful.
    thx
    ramesh

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