Excise Duty and customs duty

Hi,
Will anybody give me an idea how to get the refund og excise duty while doing MIGO ???
What are the steps the user should do ????
Explain me the configuration steps also ?????
Regards,
N. Somasundaram

In case of ADC, you need to use subtransaction type 'IP', then what all amount goes into AED will be treated as ADC, even in J2I9 same will get reflected.
Cheers,
Santosh

Similar Messages

  • Display Both Excise Tab And Customized Tab in MIGO header screen

    I want to display both  Excise tab and My customized tab in header screen in MIGO..But I have seen at a time one tab is displaying.Can anybody tell me
    how I want to diplay both tab at a time??

    Hi DEBDATTA PANDA,
    In MIGO - Excise tab is showing as a part of  customization. In PO if tax values are available that values will show in migo(drop down will show  capture/refer /capture+post few more  ) under excise tab.
    pre req. is mat + Vendor +plant need to be excisable .
    Now on your Customized tab is purely a Z development.only you can tell .
    Also , if you are not seeing excise tab in migo , it means either config or master data missing for material code ,  Vendor, Plant
    regards
    manu

  • Difference between Additional Excise duty and Additional Duty on imports

    Dear All,
    I want to know the difference between additional excise duty on domestic procurement and additional duty on imported material, mainly in context of the credit availing. How much credit we can avail if we procure a capital material (domestic and imported).
    Regards,
    Ashish

    Dear,
    Excise duty is a duty on production or manufacture of goods, It is levied on manufacture of goods and the liability to pay excise duty arises immediately on manufacture or production of goods.
    Additional duty is levied as per custom tarff act and is equal to excise duty levied on a LIKE product manufactured or produced in India.
    Sometimes, foreign sellers abroad may export to India goods at below the amounts charged by them in their domestic markets in order to capture Indian markets to the detriment of Indian Industry.
    Please check: http://help.sap.com/bp_bblibrary/600/html/J84_EN_IN.htm
    http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/808c60ca-013b-2c10-34a2-94d1eb442e6f?quicklink=index&overridelayout=true
    Regards,
    Syed Hussain.

  • Header excise duty getting multiplied by 10 and tds also,

    During MIGO while capturing excise invoice it display the Excise duty amount multiplied by 10.
    for instance, basic price is Rs.100 and Excise Rs.8,in line items it gives rs.8 but in header Rs.80/= and after posting the document in Part 2 entry with rs80/-.
    Same problem we are facing for withholding tax also.

    Please check in Tax Calculation schema have you used any routine.
    This normally happens if you have used some customized routine in your schema...just check and if you have used just inform your ABAPer to fix up the code.
    Hope this will help you
    Enjoyyyyyyyyyyy
    Akshit

  • Excise Duty Not to be Collected from Customer

    Dear All,
    I require help in a scenario, wherein company has already paid excise duty
    to produce the goods but does not collect it from the customer for any
    footwear pair which has been priced less than 250 Rs.
    The company wants excise to appear in the sales invoice so that excise
    invoice can be captured.
    Require your suggestion in configuring this scenario.
    Thanks and Regards
    Adithya

    You have not indicated what will happen if the price is above INR 250.00.
    If the requirement is excise should not be collected only if the value is below INR 250.00, then, through standard it is not possible.  Through exit you can control this.  On the other hand, if you dont want to debit the customer for excise duty irrespective of invoice value, then set the excise condition type as statistical, so that excise invoice can also be generated.
    G. Lakshmipathi

  • Very urgent...accounting entries for (excise duty)taxes and duties on sales

    Hi Friends,
    I'd appreciate if anyone would help me out the entries for excise duty and cenvat utilisation during sales.
    During billing document:
    Customer -- dr
    To sales a/c --(cr)
    To CENVAT SUSPENSE AC (CR).
    Now could anyone tell me what kind of account is cenvat suspense account i.e., current asset or current liability.
    Like wise can anyone help me out with the entries of excise invoice creation, TR6C Challan, Entries for Fortnightly utilization etc. that is all the entries until that particular sale is completed.
    It would be greatly useful if you could even specify the kind of account is (for each account possibly) i.e, if the account is an expense or current asset or current liability.
    If anyone possesses a document in regards to the same plz do forward the same to my mail id:
    [email protected]
    regards
    kim.

    Hi!!! Kim,
    Entries related to Excise –
    When Availing of Cenvat Credit – (T.Code – J1IEX)
    (GL A/Cs against ETT – GRPO)
    RG23A BED A/C Dr. (BS GL – Current Assets)
    RG23A E.Cess A/C Dr. (BS GL – Current Assets)
    RG23A S&H E.Cess A/C Dr. (BS GL – Current Assets)
    To Cenvat Clearing A/C (BS GL – Current Liabilities)
    RG23C BED A/C Dr. (BS GL – Current Assets)
    RG23C E.Cess A/C Dr. (BS GL – Current Assets)
    RG23C S&H E.Cess A/C Dr. (BS GL – Current Assets)
    To Cenvat Clearing A/C (BS GL – Current Liabilities)
    When Billing Document is created, Corresponding A/C Entry -
    (GL A/Cs from VKOA & Tax Codes)
    Customer A/C Dr. (Recon GL – BS – Current Assets)
    To Sales A/C (P&L GL – Income)
    To BED. Recovered A/C / Cenvat Suspense A/C
    To E.Cess Recovered A/C / Cenvat Suspense A/C
    To S&H E.Cess Recovered A/C / Cenvat Suspense A/C
    When BED / E.Cess / S&H E.Cess Recovered A/Cs are used -
    These are P&L A/Cs & Grouped as Income A/Cs in FS Version.
    When Cenvat Suspense A/C is used  -
    It is BS A/C & Grouped in Current Liabilties in FS Version
    When Creation of Excise Invoice - (GL A/Cs against ETT - DLFC)
    E.D Paid A/C  / Cenvat Suspense A/C Dr.
    To BED. Payable A/C (BS GL – Current Liabilities)
    To E.Cess Payable A/C (BS GL – Current Liabilities)
    To S&H E.cess Payable A/C (BS GL – Current Liabilities)
    When E.D. Paid A/C (P&L GL - Expenditure)
    When Cenvat Suspense A/C (BS GL - Current Liabilities)
    When TR6 Challan & Deposit of Cash into PLA A/C - (JV by FB50 / F-02)
    PLA on Hold A/C Dr. (BS GL – Current Assets)
    To Cheque Issued A/C  (BS GL – Current Assets)
    Updation of TR6 Challan in J1IH – (GL A/Cs against ETT – TR6)
    PLA BED Dr. (BS GL – Current Assets)
    PLA E.Cess Dr. (BS GL – Current Assets)
    PLA S&H E.Cess Dr. (BS GL – Current Assets)
    To PLA on Hold A/C (BS GL – Current Assets)
    When Fortnightly Utilization – (T.Code – J2IUN)
    Utilization from RG23A Registers / RG23 C Registers (GL A/Cs against ETT – UTLZ)
    BED. Payable A/C Dr. (BS GL – Current Liabilities)
    E.Cess Payable A/C Dr. (BS GL – Current Liabilities)
    S&H E.cess Payable A/C Dr. (BS GL – Current Liabilities)
    To RG 23A BED A/C Cr. (BS GL – Current Assets)
    To RG23A E.Cess A/C Cr. (BS GL – Current Assets)
    To RG23A S&H Ecess A/C Cr. (BS GL – Current Assets)
    BED. Payable A/C Dr. (BS GL – Current Liabilities)
    E.Cess Payable A/C Dr. (BS GL – Current Liabilities)
    S&H E.cess Payable A/C Dr. (BS GL – Current Liabilities)
    To RG 23C BED A/C Cr. (BS GL – Current Assets)
    To RG23C E.Cess A/C Cr. (BS GL – Current Assets)
    To RG23C S&H Ecess A/C Cr. (BS GL – Current Assets)
    Hope that this information will serve your purpose.
    Please give necessary marks.
    Regards...
    Ameya D. Mohoni...

  • Custom Duty + Excise Duty

    Dear All,
    I have to manage following scenario in SAP for imported items:
    Total Quantity Imported: 5000
    For this QTY i am going to follow SAP import process
    Step1: PO
    Step2: GRPO
    Step3: A/P Invoice
    The above mentioned 5000 quantity is lying with Customs.
    This quantity is moved from customs to clients warehouse in Batches on which different taxes are applied.
    Lets say i am going to move Total 5000 quantity in 3 batches: Batch1- (2000 quantity), Batch2- (2000 quantity),
    Batch3- (1000 quantity)
    On every batch transfer from custom to clients warehouse they apply following taxes
    Ex: For Batch1
    Quantity----
    A = 2000
    Unit Price----
    B =    30
    Total----
    C  = 60,000 (A* B)
    Custom Duty @10%.........................D = C * 10%
    Excise Duty @ 14%----
    E = (C +D) * 14%
    ECess @ 2%----
    F =  E * 2%
    Hcess @ 1%----
    G  = E * 1%
    Total Excise----
    H = EFG
    Custom Duty Cess @ 2%----
    I  = ( D + H) * 2 %
    Custom Hcess @ 1%----
    J  =  I * 1%
    Till posting A/P Invoice i am able to manage the flow.
    I require guidance on how to manage this Tax on the Imported items.
    Inputs will be appreciable
    swapnil

    Hi Swapnil,
    1. In the Item master, purchasing data tab there is setting of customs Duty first define the duty there.
    2. Create the Tax code.
    3. Make sure that all your Vendor's are set as multi currency.
    4. Create the import PO
    5. Create the GRPO to customer warehouse.
    6. Create the Incoming Excise on the GRPO.
    7. Create the Landed Cost Document and update the actual custom duty.
    8. Create the A/P Invoice on GRPO with check on import flag on Tax tab.
    9. Go to Inventory transfer select from Wh customs & in the Item code press (Ctrl+Tab), select the Goods receipt PO option in Bonded warehouse.
    10. This will automatically copied GRPO in Inventroy transfer, then make the transfer for Batch1.
    11. Pass the equivalent IEI & OEI entries.
    11. For the second Batch transfer system automatically show the balance qty in Bonded Wh, the do the second transfer and then the third one.
    Regards,
    Datta Kharat

  • Export Sale without Tax and Without Excise duty

    Hi Experts
    The Scenario is like this
    The material has no tax and no excise duty (e.g Books)
    how to configure this Export sale scenario  for Books
    Thanks in advance

    Dear
    For creating Export sales scenario, create  Export sales org ZEXP, create distribution channel might be EX, do the required plant etc assignment to Sales org-distribution channel.Create seperate sales order , delivery and billing type and maintain required copy control between them. Create export customer, custommer pricing procedure02 in customer master sales area data-sales, document pricing procedure "N" in VOV8 & vofa.
    If u are following taxinn, then you may copy jinexp for pricing prosedure. Pricing procedure must contain condition types for frieght and insurance. Then assign the procedure to sales area.
    Please maintain account determination in vkoa with sales org customer account grp, material account grp, account key. Assign separate GLs according to the requirement
    pls revert for any further query
    Thanks
    Chandra
    Edited by: Chandra Mukherjee on Dec 15, 2009 10:05 AM
    Edited by: Chandra Mukherjee on Dec 15, 2009 10:13 AM

  • GL account for excise duty for sales and excise JV

    Hi
    When i did billing in VF01, entry posted:
    Customer A/c Dr. 115
    Sale Revenue A/c Cr. 100
    Excise collected on Sale Cr. 15
    (We can split Rs.15 to BED, E.Cess and SH E.Cess a/c )
    During excise invoice creation, entry posted:
    Excise duty(expenditure) A/c Dr. 15
    Excise duty BED payable Cr. 12
    Excise duty E.cess payable Cr. 2
    Excise duty SH E.cess payable Cr. 1
    Now i want to know where we specify following GL accounts. Do we specify in VKOA or ETT table:
    1. Excise collected on sales A/c
    2. Excise duty(expenditure) A/c
    Please suggest.

    Please go through the ETT GL determination in detail your doubt will get clear.
    In ETT  we put GL for BED, ECS, HSECS (AT1) for payable and receivable through which CENVAT SUSPENSE A/C get triggered through these three accounts. these we maintain in specify excise account per excise transaction.
    Hope this will help you to understand the basic.
    Reward points if helpful
    Tanveer

  • Any provision to configure Custom Duty or Excise Duty in Advanced Pricing

    Hi,
    Any provision to configure the 'Custom Duty' or 'Excise Duty' in Advanced Pricing ?
    Thanks!

    hi,
    For this either you can cancel your Invoice doc...
    Or
    CAn Post the GR asit is and then make a credit memo for req. amount....
    hope it helps...
    Regards
    Priyanka.P

  • Reg ; Abt  PROCEDURES FOR Sales tax and excise duty ... (J1IEX..ETC)

    Hi sap seniors,
       Can anybody (HELP)tell me details abt SALES TAX ,EXCISE DUTY ,MANUAL EXCISE AND TAX CODES.While creating PO and posting the invioce using MIGO,MIR7(PARKING INVOICE), What r all tax procedure to be followed by mm-consultant. As a MM -FRESH CONSULTANT i m interested to know all TAX PROCEDURE related to MM-MODULES.
    note;Especially for taxcodes AND STUDY ABOUT TAX PROCEDURES. please send any training materials regarding this sales tax--
    THANKS IN ADVANCE FOR ALL MY SAP GURU'S
    BY
    mm

    HI Sakthi,
    First of all we will start with Excise Basics
    You are producing a product with a raw material and sell it in market as finished good.
    Now for the product you need raw material say its costing 100/- on which you pay 16% tax which is 16/-.
    You are producing the finished goods with your cost inclusion of say 50/-.
    Now the inhouse product cost is 100/-(raw matrl) and processing cost of 50/- which is 150/-.
    You sell your product in the market at 16% tax on it, so your product market value becomes 150/- + 16%(on 150/-).
    Excise duties are handled like this :
    as you buy raw matrl at duty 16/- this will be taken as CENVAT into your account. so you have 16/- in your account.
    as you sell matrl with duty 24/- you need to pay excise of 24/- Since you have 16/- in your hand need to pay Excise Amount to Gov't ( 24-16) : 8/-
    The excise records are maintained for these as :
    Raw matrl purchase and issues to production : Maintained in RG23A register, of which Part I is for quantity and Part II is for amount(Cenvat amt)
    Production details are maintained in RG1 Register, including despatch details and balances.
    The excise duty payable to Gov't is maintained in Personal Ledger Account (PLA).
    The total monthly report of purchase production despatches - quantity/value is submitted to Excise Dep't via RT-12.
    Hope this gives a clear picture.
    Now how things work in SAP
    see there are two type of excise is levied on the product 1. which can be claimed 2. which can not be claimed and then later on it gets added to the material value. In you case if BED is 16% then you can claim 16 rs if its claimable in SAP knowns as Deductible and if its not then material will cost you of rupees 116.
    Now after manufacturing yo said your cost of material is 150 rs now you calculate the 16% on that which comes 27 rs so at the time of sale you get this amount of duty from your customer. So Govt rules states that whatever duty you have paid at the time of purchase you can get set off from the duties at the time of sale. so in your case as you have already paid rs 16 and 27-16=11rs are supposed to be paid by you to goverment.
    Following are kinds of excise registers
    RG23A -For rawmaterials
    RG23C-for Capital goods
    RG1-finished goods
    The above are movements of excisable goods maintained in a plant.
    RG23D-
    This is movements of excisable goods maintained in a depot.
    PLA-Personal ledger account
    This is the bank account from which you transfer any money owing to the excise authorities.
    Register RT-12
    This is a monthly report that summarizes the CENVAT and PLA information from the other registers.
    Part1 entry-
    it will depict quantity or the volume of goods movement
    Part2 entry-
    accounting entries will be captured
    Regards
    Vivek
    -- Reward for the Effort 

  • Need to Charge only Excise Duty Cost to customer.

    Hi Gurus,
    I need to sell lot of materials.Out of all these material , i have 1 material whose only excise duty price, i need  to charge to customer not the actual price
    On the basis of its price the excise duty will get calculated.
    How should i proceed?Pricing procedure is same for all customers.Pl. Help me regarding the same.

    Create one more condition type with calculation type as percent with negative sign in V/06.  Have the access sequence as Customer / Material (or whatever combination you require) and maintain 100% in VK11. Maintain this condition type before your excise condition type and assign the From-To step number accordingly. 
    So whenever you create sale order, system will search for this combination and wherever, you maintain 100% discount, this will reflect in your sale order and accordingly, only the duty portion will get debited.  Wherever you have not maintained the 100% discount, then the selling price and duty as well will get debited as there will be nil value against this condition type in sale order.
    G. Lakshmipathi

  • Excise Duty (IS-OIL) - Invoice verification and accounting ED

    Hello experts,
    I have a case in my importation process with excise duty (IS-OIL). I have the following scenario: Purchasing Ed free material and receive it in ED paid Storage Location. So I use Handling type 00 and Valuation type TAX in the PO excise duty item data. I woul like to kwon Which is the standard process for the invoice verification of the excise duty cost when the handling type is 00 and the valuation type TAX?. And How can I do the invoice verification (MIRO) if there is not a specific line in the purchase order history for the excise duty cost?
    I have another case in the accounting of movement type 301 (transfer posting between 2 plants). The accounting posting is the following:
    Examle:
    Account                       Transaction
    1. STOCK FUEL          S                    BSX (Stock account)
    2. STOCK FUEL            H             BSX (Stock account)
    3. STOCK EXCISE DUTY     S             SVO (ED Account)
    4. EXCISE DUTY FUEL           H             ZZP (ED Account)     
    The problem is that the 4th account must be STOCK EXCISE DUTY ACCOUNT from SVO transaction.
    I would be grateful if someone could help me with these cases.
    Thank in advance.
    Pablo

    Dear Prashant,
    Thanks for reply, but i checked my excise cond types, in all conditions, cond cat is blank & cond class 'A' is maintained i.e. Discount & Surcharge.
    My problem is that, my excise value is not got posted in net receivable value in accounts. This problem arise, when we make sales order, Net Value field doesn't pick excise there & while invoicing, it post only the base value & rounding off adjustments at header level. I don't know, from where this Net Value field in sales order is picking the value but my problem will solve if my grand total value(base valueexciseedu cess+higher edu cess) will pass to Net Value field while making sales order. Kindly help.

  • Excise duty adjustment in case of customer sales return

    Hi Frnds,
    While my customer return the finished goods I am making sales return order ,done the PGR & make the credit note.
    Now I want to adjust the excise duty through J1IH
    In j1ih which option I have to choose <other adjustemnet> or <add. excise>
    In Add. Excise tab.  the Gl account detremine are :
    C   0013113920     115.00               CENVAT clearing
    D   0024822000     5.00               CENVAT Input SECess
    D   0024820000     100.00               CENVAT Input BED
    D   0024821000     10.00               CENVAT Input ECess
    Whereas In case of Other adjustment tab GL account determine are
    C  0024822000     5.00               CENVAT Input SECess
    C  0024820000     100.00               CENVAT Input BED
    C  0024821000     10.00               CENVAT Input ECess
    D  0013113920     115.00               CENVAT clearing
    Please suggest me which option is correct.......Other adj or Add excise tab.
    In my opinion it should be Add. Excise where Clearing account is credited.
    Please Give me the solution & logic.
    Regards
    Sunil

    Please help me

  • Purchase order report with basic price and Excise duty values

    Hi All,
    Is there any standard report in SAP to get the Purchase order basic price / qty and its Excise duty values ? Since we are including Excise duties for non - codified items (w/o material master and with cost center 'K') Purchase order and the ed values are added to the cost and the requirement is to see the split up (Basic priceEdEcs+Hcs)for these Purchase orders for the vendors. If there is no std report then please let me know how to link Purchase order table with this Condition value table in query to get the desired report.
    Thanks in advance
    Benny

    Hi,
    there is no standert report to fullfill this requierment
    you have to create this report with the help of abaer
    for that which tax code you are using its importnat thing
    for po table EKPO
    1. A524 (Normal supply point / Material) it will return condition record number for condition type.
    2. KONP (Conditions (Item)) .
    3. J_1IMTCHID (Combination of Material Number and Chapter ID).
    4. J_1IEXCTAX (Tax calc. - Excise tax rates
    5 get the IR no. from RBKP and RSEG, and get the relevant FI doc no. and goto BSET table
    for IR number  to get from table apply logic for doc type RE ,you will get fi number nad in refernce field you will get invoice number + fiscal year
    Map this by refernig on po for which grn and invoice happen
    Regards
    Kailas Ugale

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