Error while releasing an invoice for accounting.

Hi Experts,
I am encountering an error while releasing an invoice for accounting. The error displayed is 'error in transaction currency'. Please help me out with this.
Regards,
Sunita

Hi Rish,
Simply go to FS00 and click on edit cost element and for CElm Category give some input based on the G/L account type.
You might have to seek help of an FI consultant to do so.
Also in KA01 create this G/L account as a cost element against your controlling area assigned to your Chart of Accounts, you can do so by clicking on Extra's tab in transaction KA01.
Just let me know if it works.
Reward if helpful.
Regards
Ravi

Similar Messages

  • Error while releasing the Invoice to accounts

    Hi friends,
    while I am releasing the Invoice to accounts I am getting the following error. " The maximum number of items for an FI document ('999') has been        
        exceeded. "
    I know why this error is coming. can anyone tell me the solution for this please.
    Friendly
    Rama

    hi
    Please check whether your sales order must be havnig more than 499 line items
    1 line item in sales order will be creating one debit n one credit entri in IF document i.e. 2 line items and in one accounting document you can have atthe most 999 line items so sales order should not contain more than 499 items
    But now you can cancel the invoice. DO partial invoice say for half of the line items in your sales order and do the same process for remianing. Then release it for accounting
    Regards

  • Error while release the invoice to accounting

    Hi I am facing the below error when I try to release the invoice to accounting and i am getting get the following error message.,kindly help me
    Valuation with material cost estimate: error with product "SCRAPM457"
    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 for product "SCRAPM457" in plant "AX01".
    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.
    Thanks
    Supriya

    Hi Supriya,
    The system is not able to find the material cost estimate for this material.
    Until it finds it , system will not allow you to post the invoice to FI.
    Check your KEPC config and see if the costing key is correct.
    If you do not want cost split in COPA then leave a blank in costing key field.
    Thanks,
    Reddy

  • Error while releasing credit block for the order

    Hi all,
    I am getting follwing error while releasing credit block for the order in VKM1
    Incorrect index structure for table IVBEP1
    Text
    Incorrect index structure for table IVBEP1
    Diagnosis
    Internal error.
    Procedure
    Repeat the transaction.
    If the error occurs and you have a CRM System connected to your SAP R/3 System, the document may have been archived in the CRM System.
    If the error occurs again, inform your system administrator. If the error cannot be corrected, call the SAP Hotline directly. Describe which steps preceeded the error.
    But we are not transfering any orders to CRM.The order can be only seen in R/3
    Please assist
    Regards
    Mano

    Hi
    KIndly check the oss note 505876 in may help you
    Regards
    Damu

  • Error while releasing Billing doc to Accounting

    Hi all
    I am gettin the following error while releasing a Billing doc to FI-
    Reconciliation account 240001 or short key 00 is not permitted
    The Billing doc pertains to Export sales and the billing Doc type is Export Invoice. However the Customer Recon A/c is defined as 240000 which is for Domestic Sales. A/c 240001 stands for Export Sales. I am wondering why it is asking for the Export Sales Recon a/c. Does this has something to do with Alternative Recon A/c? Should I set an Alternative Recon A/c and check this? If yes, then should it be defined in SD or FI?
    If any1 has come across this prob, plzz help me.
    Regards

    It is all Fi related, and should be defined by the Fi Consultant.
    But by changing the sort key I think your error can be solved. But I don't exactly know your config settings to recommend any solution.
    Regards
    AK
    Please reward if helpful

  • 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 creating excise invoice for no bond

    Hi,
    Iam creating export excise invoice which is related to NO BOND, while saving the document iam getting the error "No account is specified in item 0000000001" in diagnosis iam getting "No account was specified for account type "S" in item "0000000001" of the FI/CO document.".
    Kindly suggest me how to solve this issue.
    Thanks in advance
    V S Kumar

    hi
    check u r pricing procedure
    whether g/l accounts assigned and also check u r revenu account determiantion settings
    try to read the above said OSS notes
    this error comes because
    Item nnnnnnnn is the item number assigned by accounting.
    When a billing document is transferred, a G/L account (account type 'S') is
    missing for this item.
    The problem is caused by incorrect Customizing in account determination:
    the access of the G/L account via a condition table of account
    determination is successful, however, in the corresponding table, no G/L
    account is stored!
    The account assignment analysis shows (for example).:
    PR00 price 120 G/L account determined from account assignment type
    KOFI
    Solution
    Use the account assignment analysis to check account assignment in the
    billing document.
    For the corresponding condition table of account assignment, maintain the
    missing G/L accounts.
    regards

  • 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

  • Costing Error while releasing the document to accounts in VF02

    Hi Experts,
    We have an issue with Costing while creating accounting document in VF02
    We have implimented new plant for the existing company code.  We had few sales orders open in existing plant.  There are few sales orders which were open in existing plant (plant 01). During go live of new plant (02) we have changed the plant in the existing sales order from plant 01 to  02 (new plant) and complete the billing. But while releasing to accounts it throws an error "Valuation withj material cost estimate error with product xxxxxx"
    This material has DO NOT COST checked in material master and the price maintained in the accounting views. As per our knowledge if the material has do not cost indicator checked it should  not be relevant for costing. And also we don't have BOM for this material.
    Before the new plant there are many sales orders were created for this material  in the existing plant and successfully released to accounts with the valuation Class 3000
    Our analysis.
    THe same material in the old plant has the valuation class 3000, but the valuation class defined in the material master of the new plant is 7010. Since we have changed the plant in the exsting sales order which was earlier created in plant 01 and in the plant 01 it has valuation class 3000, it this is the reason it is getting conflicted and throwing an error?
    Can you please advise?
    Thanks & Regards
    Veda

    Hi Ajay,
    In KEPC with the combination of sales organisation &, billing type  costing key is assigned for the valuation class 7010 (Finished goods) But costing key is not assigned to valuation class 3000 (raw material). and I saw the same setting in quality. Still we are able to create the acounting document. But in case of production it is asking for cost estimate with the costing keys for the valuation class 7010.. Is any other setting which is missing in Quality as we are able to create accounting documents though the costing key is defined for the valuation class 7010. 
    Can you please advise?
    Thanks & Regards
    Veda

  • 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

  • Getting the belwo error while releasing the template for performance

    Hi
    while releasinfg the template for the predefined perfoance process ia getting the belwo error , temaplate gets crrated but not relased
    Decision maker 'Appraisee' is not assigned to category 'Performance Management Process
    Decision maker 'Appraiser' is not assigned to category 'Performance Management Process

    errors you get in the template is that there is any person authorized
    selected in the category group 'Personnel Appraisals'. Please select the
    available persons authorized in the 'Status Flow' to solve this issue.
    please check your template preparation again

  • Pricing Error in Release Billing Documents for Accounting

    Hi All,
    While executing the VFX3  (clear off the billing list) system displaying the error message and when I click the error log the following error message displayed.
    "0090345866 000000 Document  0090345866 has been saved  (Pricing Error)"
    Can anybody through  some light what could be the reason ?
    Awaiting your valuable reasons.
    Srinivasa Chary

    Hi
    As others mentioned you need to look at conditions tab in Billing doc and see if there is any pricing related error. You can also use analysis part to see which condition has problem.
    Another reason could be  > the taxes on sales order and Billing doc may not have been calculated. The reason is there is no tax jurisdiction code maintained for the ship-to party in the sales order.
    If the above is the case, the tax jurisdiction code should be maintained for ship-to from within sales order ( Goto > header> partner > double click on ship-to and the address screen opens up. You can add tax jurisdiction and save the order. This will solve the problem for this sales order alone.
    If you run the new pricing with option copy pricing elements as it is and redermine taxes, your taxes will be calculated.
    This does not automatically correct your billing document error. You need to cancel billing doc (VF11) > reverse goods movement on delivery ( VL09) and unpick delivery and then delete delivery.
    After this, you need to again create delivery with ref to sales order > pick > PGI and then go for billing. This will now rectify the release to accounting issue.
    For permanent problem solving, you need to ask master data team to maintain tax jurisdiction code in ship-to customer using tcode XD03 or VD03...so that the subsequent transactions for this ship-to will be smooth.
    Regards
    Sreedhar Reddy

  • Error while passing the invoice to accounting

    Hello,
    while passing the document i am getting the following error,
    Rule 3ZH1000#002 not found
        Message no. GB102
    Diagnosis
        A subrule has been specified which does not exist.
    System Response
        None
    Procedure
        Check the name of the subrule and create a new one if necessary.  The
        subrule may belong to a different class.
    I had WM settings, so i just deleted the assignment between Storage location and Warehouse.
    Is my error due to this?
    Please help me in removing the error.
    Thanks.

    Hi
    a validation rule is active in the system. Try running the program RGUGBR00. Also take help of FI Consultant
    Regards
    Sanil Bhandari

  • COPA Value Field +/- Error while releasing Billing Document for Return orde

    Hi,
    We have done Sale Order - PGI - Delivery and Billing for Quantity 10 and the customer returned 10 Qty due to some problem.
    When i am doing the return process billing, I am getting the below error...
    9000000892 000000 Check value field assignment for condition SGL1*
    When condition "OR01" (application "V") was transferred to the value field "ERLOS" in operating concern "OR01" in
    Profitability Analysis, the following became apparent:
    o   The condition can take both positive and negative
        values
    o   The flag "Transfer values with +/- signs" has not be
        set in Customizing for value field assignment.
    Inconsistencies in the data could occur as a consequence.
    Can any body help me on this issue
    Is there any consequences if i activate +/- sign in KE4I for the above value field Please suggest me
    Thanks
    KC

    Hi Kischow
    You shud tick the +/- indicator only if
    1. any One condition type repeats in the pricing procedure and can have +ve and -ve values
    2. Two cond types in pricing procedures are assigned to same Value Field and the cond types can have +ve and -ve values
    In COPA, all values are transferred as absolute values without + or - sign, with some exceptions ofcourse....
    So, if you dont check + / -  indicator in the cases mentioned above, say, +100 and -80 will be transferred as 100and 80 and the result will be 180 instead of 20
    Regards
    Ajay M

Maybe you are looking for

  • Getting error in ABAP coding after Upgradation of kernel

    Today our basis team has updated kernel. Now while writing code for Ex: write:/ u2018SAPu2019.  Its giving error Field "u2018SAPu2019" is unknown. It is neither in one of the specified tables nor defined by a "DATA" statement. I want to know is there

  • TS2972 where is the show menu in itunes

    I am trying to do home sharing.  I do see the other computer and the music on it.  Then you are supposed to click on the music, then go to the home share window and export it.  I cant find the show menu.

  • Zend_AMF and NetConnection: Non descriptive error

    Hi, I am trying to make a simple call from my flash to Zend_AMF in a flash file. I am calling the same server function in Flex and it works but not from the flash. I have been trying to find the solution for 3 days now so any help is wellcome Here is

  • Pre-order Iphone 4

    Hello, I have a 3g right now. It was my first Iphone and Im really excited about the Iphone 4. Ive never pre-ordered a phone before, so I have a few questions. My upgrade eligibility went from April 10 to Sept 10 and now its at 6/11/10. My guess is t

  • Pricing procedure Doubt

    Dear SAP Guru's        I have 4 scenario's like scrap sales, deemed export, domestic sales and jobworks - and i have a customer 300000 - i assigned all the pricing procedures. but in XD01 we assign customer pricing procedure which is mandatory like 1