Exchange rate Account

Dear All,
I have done
GR at (Ex-Rate 68)
& IR at (Ex-rate 70 )
The problem is that the Exchange Rate account is not getting hit.
kindly guide
Cheers

Define GL Accounts for KDM in OBYC trxn..
the KDM entry is for
Exchange rate differences in the case of open items (KDM)
Exchange rate differences in the case of open items arise when an
invoice relating to a purchase order is posted with a different
exchange rate to that of the goods receipt and the material cannot
be debited or credited due to standard price control or stock
undercoverage/shortage.

Similar Messages

  • Exchange rate accounting (FI) in header of billing invoice

    Hello.
    I have got a question about the exchange rate accounting (FI) in the header of the billing invoice.
    Situation:
    When creating the billing document: on item level the exchange rate type B is correctly taken for the date of billing as determined in the customer master data and the copy control.
    BUT what can I do to fix in the header of the billing invoice the exchange rate accounting M from the month of the sells document (usually they issue the sells document one month and the billing document a month later)??
    I tried to put the correct exchange rate accounting in the sells document VBKD-KURRF, but the value is not taken automatically in the header of the billing document.
    Pressing F1 I get the message: Exchange rate for FI postings
    The exchange rate that the system applies when you create an invoice.
    Use
    Your system is configured in such a way that it expects:
    No prefix (leading sign) for direct rates
    No prefix for indirect rates
    Can anyone help please??
    Thank you.
    Regards,
    Maike

    If you are maintaining the exchange rate in sale order in the field VBKD-KURSK (Exch.rate-acct. in header accounting tab) then this rate will be passed on to the billing document header Exchange rate-accntg field.
    Check whether the PricingExchRate type field is maintained as blank in the copy controls from delivery to billing.
    Regards,
    GSL.

  • Exchange rate account not defined

    While doing F-04 for a particular bank incoming clearing account, I am getting an error saying : exchange rate account not defined for G/L account and currency INR.
    All the postings in the account are in INR and I have also done settings in OBA1 for KDF.
    Please help
    Thanks

    Why would I need to maintain exchange rate settings if all entries are in local currency?
    One more observation:
    During f-04 clearing, when I toggle between local currency and clearing currency, there is a difference of 25000000.
    Any ideas?
    Thanks

  • Exchange Rate Difference Accounts are Incomplete

    There's a situation where the user is trying to clear the transaction using F-04 for clearing outgoing checks account in CAD. however the system gives a message "Ex rate diff. accts are incomplete for account 1100000 currency CAD".
    This situation exists only in Production and not in QA or DEV. However, there is no configuration change between PRD & QA,
    There is account configured for ExchagenRate difference realized in OBA1 for the reconciliation account 2100000, same as in QA and DEV. not able to figure out where is the issue.

    Hello
    As per the message you need to maintain the exchange rate differences for th account 1100000.
    if there is no exchange rate difference then system wont give that error message, in quality and development exchange rates are not maintained daily thatu2019s the reason it wont give the error message
    please maintain the exchange rate accounts for the account either with currency CAD or without any currency will resolve the issue
    Thanks
    Kameshwar Rao

  • BILLING TO ACCOUNTING - FOREIGN EXCHANGE RATE IN THE PAST

    Hi All,
    1.     In FI, we are maintaining translation rates on regular basis and the translation (FI)/ pricing (SD) date is our reference in SD transactions from Contract to Billing.
    2.     In Contract, we maintain foreign currency, exchange rate, and pricing date.  Here in the contract, we are currently billing an item in the past using exchange rate in the past as well.
    3.             However, when we pass this to billing, pricing date is updated on its current date.
    4.             Because of this, accounting entry that was recognized was also translated on current date.
    Is there any way that we can change the pricing date to the Billing Document so that the accounting entries will pick up translation rates maintained in the past.  Please advise.

    The issue was resolved by also maintaining exhange rate inside SO/Contract in "Exchange-Rate Accounting" field.

  • Exchange Rate different account

    Hi
    Can anybody explain, How posting's are done for
    exchange rate account while doing invoice and subsequent
    credit.
    Regards,
    RRS>

    Dear Prasad,
    Thank you for your earliest reply...But can u please tell me is der any config setting that it will hit only PRD account and not other
    Regards
    Nainesh

  • In FBl5n (after accounting process) exchange rate gets change

    Dear Experts ,
    I am  facing 
    issue regarding in FBl5n (after accounting process) exchange rate
    gets change.
    Due to this, there is a difference in billing
    amount.
    According to the KBA 1481328, If there is a manual entry in
    the sales order field VBKD-KURRF (Goto -> Header -> Accounting),
    then it is copied into VBRK-KURRF. Otherwise VBRK-KURRF is determined during
    invoice creation from the currency tables (Transactions: OB08, OB07 and
    OB22) according to the billing date.
    It is supposed that manual entry has higher priority.
    Why system is
    fetching the exchange rate from OB08 when manual entry has first priority?
    Kindly Advice.
    Regards,
    Shachi

    First of all, you got the KBA number wrong. It is a KBA 1481238 - How are different exchange rates (Price, FI postings and Conditions) determined in billing documents, not SAP Note 1481328.
    Now, if you manually change the exchange rate in sales order(SO - Goto - Header - Accounting), as per standard this will not be able impact your pricing. As the system always uses the local currency to convert currencies.
    For further detail refer SAP Note 123298 - Euro: Conversion of document currency in sales&distribution. That can be helpful in understanding the standard behaviour and solution to the same.
    In addition to that from Sales Order to Billing, we have copying control field for "Price Exchange Rate Type" which can impact the result for exchange rate determination. Where the option available are:
    A - Copy from sales order
    B - Price exchange rate = Accounting rate
    C - Exchange rate determination according to billing date
    D - Exchange rate determination according to pricing date
    E - Exchange rate determination according to current date
    F - Exch.rate determination accord.to date of services rendered
    Thanks, JP

  • Unrealized Gain/loss from exchange rate

    Hi all,
    Please i need help , exchange rate fixed is checked in PO ,at the point of MIGO system use  exchange rate in PO.When i check Accounting document in MIGO system Debit Stock account and Credit GR/IR account using exchange rate in PO ,but the difference of exchange rate in PO and system exchange rate, Debit Price diff. clearing account and Credit unrealized Gain/loss from exchange rate account ,I need to know if the posting is correct.Thanks. The Accounting Document was displayed as follows:
    Stock account was Debited
    GR/IR account was Credited
    Price difference clearing account was Credited
    Unrealized Gain/loss from exchange rate account was Debited

    Yes the account postings are correct if you are using a Std price control on the material master.

  • Exch.rate-Accounting is fetching of typ 'M' insted 'P' VF01 for Sales Order

    Dear Experts,
             I'm facing some issues during creation of 'VF01' for a sales order(For Repairing Billings).Previously we are creating 'VF01' against OBD for local customers inside India,but we have started  doing for Outside India Customers.For OBD the rate type  and exchange rate-accounting value  is picking perfect (Type-'M') and the most recent exchange value of type 'M'..But for a Sales Order, As the exchange rate is already we mentioned as 'P'(Checked from 'VBAK' table,In customer Table 'KNA1') also in header the exchange rate is showing type'P' ,but picks the latest exchange rate value of 'M' type from 'TCURR' table .
    Process Flow.We goto first VF01.
                           Give Document no and press enter.
                           Then we move to Goto->header->header to check the exchange rate type and exchange rate-accnt.
    There exchange rate type is showing 'P' but Exchange value is picking of type'M'.
    .Why this problem arises and how to overcome from this please provide me a solution.In copy-control everything is perfect.
    So Please help me in this regard
    Thanking you

    Dear Sir,
                Thank you very much for your kind reply.
                 As per your answer I've changed moving average price in Material Master But still the Problem is not solved.
    Actually we r facing problem during Invoice creation with reference to sales Order .At that time the Exchange rate is picking of type 'M' in the Header though in the item Exchange rate is picking of type 'P' (which one is Correct).
    But in case of Creation of Invoice in reference to OBD Both in Header and Item the exchange rate is Picking of type 'P'.
    So please help me out in this regard.
    Thanking you
    Prabhu

  • Exchange rate diff at the time of GR

    Hi All,
    l have an issue which is, when l fix the exchange rate in my PO, at the point of goods receipt, differences are generated. that is,
    at date 01.02.09, exchange rate on PO is fixed.
    at date 11.02.09, goods receipt is done and when the accounting document is checked
    it post a difference between the fixed PO rate and what's maintained on the exchange rate table
    to the forex account. So l get this:
    Dr Stock account
    Dr Price diff account
    Cr GI/IR account
    Cr Forex account
    Note: that IV is not yet carried out here at all. Price control is moving average.
    My understanding is that differences arise between the time of GR and IV, if PO is not fixed.
    Regards

    Hi
    If you fix the exchange rate indicator in purchase order, and doing GR (different exchange rate has been maintianed in OB08), then you inventory will be valuated at PO exchange rate. Difference will go to gain/loss on exchange rate (foreign currency exchange rate account). Same will be negated by price difference account.
    You have one more setting for IV exchange rate in MM - LIV - incoming invoice - how exchange rate difference are treated. Here you maintain the settings for GR and IR exchange rate differences.
    Checking the exchange rate fix in PO has nothing to do with GR and IR rate differences as through out the process the rate is constant.
    Thanks

  • Maintaining a Exchange rate type in CMR

    I have maintain a exchange rate type in Customer master e.g "ZCUS" & wanted to perform the accounting based upon that exchange rate type only .
    When I have created the sales order system gets the Exchange rate based on  the exchange rate type maintain in OB08 . but at the Billing document -Header_data>Accounting tab > Exchange rate-accounting here the exchange rate it is taking Company code setting exchange rate. ultimately accounting documnet is generated with the OB08 exchange rate value u201CMu201D here I need
    Accounting document F-28 also will take exchange rate from u201CZCUSu201D
    I have already checked  VTFL- Pricing Exhange Rate Type  Config setting no use.
    and in sales order header -accounting tab also i have change exchange rate manually

    Hello,
    Please follow the suggestion provided in Solution to Problem A in the Note 22781.
    Regards,
    Raghavendra

  • Pricing exchange rate

    Hi Gurus,
                        In copy controls from delivery to invoice there is one field  " Pricing exhange rate type" having the enteries as
    A     Copy from sales order
    B     Price exchange rate = Accouting rate
    C     Exchange rate determination according to billing date
    D     Exchange rate determination according to pricing date
    E     Exchange rate determination according to current date
    F     Exch.rate determination accord.to date of services rendered
    While the siginificance of the fieild and the allowed enteries is clear, my question is that what does the option B =Pricing exchange rate= Accounting rate actually signify. If this option is selected than which dates exchage rate or what exchange rate the system will consider.

    Normally, when you create any billing document in foreign currency, at item level, you can see a field KURSK from VBRP which would be copied from sale order field CMKUA in table VBAP.
    This is based on the assumption that your copy control for Pricing Exchange Rate Type is blank.  On the other hand, as per your question, if you maintain "B", then whatever exchange rate maintained in ob08 will be copied to billing for item level also. 
    As you would be aware, exchange rate from ob08 will be copied to billing at header level.
    thanks
    G. Lakshmipathi

  • Invoice verification----exchange rate problem

    Dear All.
    We use expense Purchase order. When PO do goods receipts, the debit account is assigned to the expense account through account assignment category. The accounting process is as follows:
    But when the purchase order’s currency is foreign currency ,when the exchange rate at the time of the good receipt is differ from the exchange rate at the time of the inovic receipt.there exist exchange rate difference. Currently the system process as follows:
    Do good receipts:(exchange rate:  usd/rmb = 7.75).
    Dr: expense account   usd  100 (rmb 775)
    Cr:  GR/IR         usd.  100 (rmb 775)
    Do invoice receipts:(exchange rate:  usd/rmb =8).
    DR: GR/IR            usd  96.875 (rmb 775)
       Expense account   usd 3.125 (rmb 25)
    CR: AP-vendor        usd 100  (rmb 800)
    Now I have a problem.:How I should configure in order to the exchange rate difference(RMB25) can be into exchange rate account not the original expense account.

    Define Auto posting for exchange rate difference : OBA1.
    Anyway, u should tick GR-non valuated option for expense PO then this problem will not be occurred.
    Rgds.

  • Exchange rate problem between GR&IR for PO with account assignment category

    ear SAP experts.
    We have used expense puchase order through account assignment category.
    the cost object include cost center,sale order,order.because we don’t use Fixed assets module in SAP,when purchase fixed assets,we also use account assignment category but no need to fill assets number(Not use account assignment category A).
    the processing in current system when there is exchange rate difference between GR&IR  as follows.
    purchase order Currency :USD  company code currency:HKD
    example 1-- when something purchased into expense account,
    Good receipt  (1USD=7.75HKD)
    Dr :expense account  100USD    775HKD
      Cr: GR/IR        100USD    775HKD
    Invoice receipt
    Dr : GR/IR         100USD    775HKD
        Expense account            25HKD
    CR: Vendor        100USD    800HKD
    Example 2-- when something purchased into Fixed assets account,
    purchase order :USD  company code currency:HKD
    Good receipt on Oct .01. 2007  (1USD=7.75HKD)
    Dr :Fixed assets account  100USD    775HKD
      Cr: GR/IR           100USD    775HKD
    Invoice receipt on Dec.01.2007  (1USD= 8HKD)
    Dr: GR/IR              100USD     775HKD
       Fixed assets account                25HKD
      Cr: Vendor            100USD     780HKD     
    The fixed assets is depreciated from Nov,2007.
    There is one problem that after the fixed assets is depreciated, the value for the fixed assets is added , the finance clerk have to adjust the added value from fixed assets account to Exchange Difference-Gain/Loss account by manual.
    Our problem is
    How to configure in order to make  the exchage rate difference into Exchange Difference-Gain/Loss account for purchase order with account assignment category,not the original assigned account in purchase order item.
    Many thanks
    Fanny

    Hi Fanny
    Even though the question is bit unclear, I guess you are looking for the T-Code OBYC. Use transaction key KDM for configuring the exchange gain/loss
    S Jayaram

  • Cost elements for account Profit or loss on exchange rate valuation

    I am running transaction F110 and among the invoices to be paid there are foreign denominated invoices. I have 4 business areas set up and have one GL account where all the gains and losses arising from the exchange rate fluctuation are posted (this account has been assigned a cost element).
    When I run F110 i get error that the gain/loss on valuation account requires a CO object. I thot the system would be able to determine all the CO objects from the invoices selected for payment. In a payment run, there are a number of invoices belonging to different CO objects.
    Is there a way i can get around this. If i delete the cost element will i be able to draw up financial satements per business area.

    Hi,
    You can set up in OKB9 for Co Object determination.
    You can set Business Area as mandatory in OKB9 and then click on Detail per business Area and another screen will open up, there you can enter, Cost center against Business Areas.
    This will resolve your issue.
    Regards,
    SAPFICO

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