Excise Entries in case of sales return

Dear sap mites
Can any one guide me during sales return how excise gets reversed as we would have already paid to the govt during sales how do we take input credit back
please do explain with  GL account entries and an example if possible will be very grateful to you
Its of high priority as i have a presentation in front of my client

Ideal way of Excise Entries incase of return may not be cancelling Excise Invoice through J1IIN, as it may be possible that through Excise Invoice, say 10 Quantity was despatched & Return is only 2 quantity.
The Option widely used is as under:
Incase of Return Sales Order:
T.Code for copy control: VTAF
Source Document: F2
Target Document: RE
Item category REN
Considering the above settings are done:
Create return sales order RE (with Reference to Billing Document) & the data will be copied as it is in Return Sales Order - RE. For Eg: here you require to change to quantity from 10 to 2, as you want to take back into Inventory of only 2.
Incase of Return Delivery:
T.Code for copy control: VTLA
Source Document: RE
Target Document: LR
Item category REN
Considering the above settings are done:
Create Return Delivery through T.Code VL01N & do PGR (Post Goods Receipt). This will add the stock to blocked stock. This will take care of Inventory.
To address the issue of how to take Credit for Excise, use T.Code: J1IH --> other Adjustment & based on the credit to be taken, make the necessary entry.
Incase of Credit Memo:
T.Code for copy control: VTFA
Source Document: RE
Target Document: Credit Memo
Item category G2N (Check in System)
First in VA02, remove the Billing Block in Return Sales Order - RE & save the document. Now in T.Code: VF01, enter Return Sales Order Number & select the appropriate Billing Type (Credit Memo) & Enter& Save. This will create Credit Memo.
Hope this helps you.
Regards,
Rajesh Banka
Reward suitable points.

Similar Messages

  • CIN - Excise created in case of sales return

    Hi all,
    After reading lot of post about argument in object, I have undertand that, in case of sales return, to create excise invoice I have to do:
    T.Code J1IH and do the following:-
    Customer Credit
    Choose the 'Additional Excise' input the original excise invoice reference, document year, company code, plant and excise group and execute. There input manually what value you need to give credit and save.
    Cenvat Debit
    Choose 'Other Adjustments' and here also, maintain the datas whatever you input as above and save.
    Is correct, If I have a return referred to an invoice with BED, CESS and S&HCess, to use "Additional Excise" (RG23A) to insert BED and S&HCess and "Other Adjustments" (PLA) for CESS? this means 2 excise documents to rectify excise amounts in case of return.
    Thanks in advance for every contribution to clarify this dubt.
    Gianpaolo

    "Additional Excise" subscreen is for differential excise posting, ie, in case you made any mistakake in ED Calculation or excise invoice. In order to correct that, we use that.
    Rgds
    Sumanth.G
    Consultant/Systems Analyst - SAP SD/MM

  • EXCISE DUTY IN CASE OF SALES RETURNS

    Hi,
    When we create a RE document with reference to a billing document which is excise based, then all excise values also gets copied to the RE document and when we create the credit memo for this RE then excise values also gets posted to cenvat suspence account.
    Now for returns how do we reverse excise or credit taken ?
    Pls explain the process ?
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    Krishna

    Hi,
    In J1IH ... U had written Credit Entries and Debit Entries... i would request to know that debit entires means debit entries done or to be done ...
    Like when we do sales:
    Billing:
    DR - Customer
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    Excise Invoice
    Dr - Cenvat SSE
    Dr - Payables
    now when we do goods returns:
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    In Returns
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  • Excise duty credit in custmore sales return

    Hi Experts
    When we receive the sale return from customer we follow the below process.
    Create sales order with order type sales return
    Create return delivery. It create stock for return material.
    VF01 Accounting entry pass in customer account.
    J1IH for cenvat credit.
    My question is that can we take this cenvat with reference to VF01 document  or any other document. I don't want to do J1IH. I I get cenvat by J1IH it show excise invoice due list.
    Regards
    Parkash

    Hi Parkash,
    Please go through the below links there are lot of threads on sales returns excise capturing.
    Go through the forum rules of engagement.
    Excise duties not flowing while creating return excise invoice
    SALES RETURN J1IH
    Excise Returns
    Sales return excise invoice
    Regards,
    S.Himavanth.

  • Excise Entries at the time of Return

    Hi All,
    We are implementing CIN. Can any one guide me what would be a journal entry for Excise at the time of Vendor Return and Customer Return?
    When we do Customer Return I believe its a manual JV which we need to pass for Excise (correct me if I am wrong)
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    Please let me know.
    Thanks
    Best Regards
    Shashi

    Hello,
    For customer return you can use J1IIN (Cancel Excise Invoice)
    For Vendor return you have to use J1IH
    Regards,
    Prasad

  • Excise of Sales Return

    D Friends,
    In case of Sales Return the doc flow is VA01-> VL01N (PGR)-> VF01 (Credit for returns). We don't do J1IIN. So pls tell how the Excise is reversed.
    Thanks a lot.

    Hi
    As Suggested you can make a Journal Voucher entry for Excise reversal .Since for returns there is no excise document created as of practical, So there is no need of creating a return excise document using transaction J1IIN.
    But still we need to take back the credit of Excise paid on the returned goods , so for that we can settle through JV using J1IH.
    Thanks              
    RB

  • Customer Sales Return in Depot

    Hii,
    There is a scenarion where in materials are sold from a Depot. The process we are following is that we are preparing the sales order, then the delivery document with respect to the sales order. After the delivery document is created we are updating the RG23D register through J1IJ, with reference to the delivery document. Then we are preparing the billing document with reference to the delivery document.
    Now during sales return we are preparing the sales return order with reference to the billing document, then the return delivery and finally the credit memo with reference to the return order.
    Now can you please let me know how we will update the RG23D register in case of sales return,
    Regards
    Ritam

    Returns from Customer to Depot
    1)  Create a Depot return sales order in VA01 with reference to original billing document
    2)  Create Delivery
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    Returns from Depot to supplying plant
    1)  Go to J1IG and click on red icon from the toolbar.  Enter material document number created during MIGO, year,series group of Depot and hit Enter button.  Now click on "Item" so that you will be taken to next screen where you can see line item for RG23D cancellation.  Save so that system prompts you asking whether you want to cancel the entry. Click YES.
    2)  Verify this by going to tables J_1IEXCHDR & J_1RG23D.  Check GRPO entry in both the tables where the status must have changed to "D"
    3)  The original excise invoice can be cancelled via J1IH and check whether DLFC entry has the status "R" and at this time entry CEIV is also created confirming excise invoice and CENVAT reversal.
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  • Credit memo -Depot sale return

    Hello Guru,
    I am facing problem in credit return memo regarding excise amount.
    Since this is depot scenario after doing J1IJ i am doing invoice where excise value is picking from J1IJ...which is ok.
    when i am doing depot return with reference to invoice it is copying right excise value from invoice.....which is ok.
    But when i am doing my credit memo for return it is not copying excise value from sales return order.
    Copy control is ok i.e. D.
    Values of excise in return credit memo is copied from the orginal sales order.
    Also i tried with doing first J1IG to capture return excise and then i did vf01, even though i am not getting the excise value which is in sales return order.whie generating the credit memo system is doing the recalculation of pricing.
    Regards
    amit Varma

    HI,
    Please follow the below link and check the configuration as per standard SAP:-
    http://www.sap-img.com/sap-sd/sap-sd-cin-configuration.htm
    Thanks & Regards,
    Rahul Verulkar

  • 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

  • Excise duty reverse entry effect in case of vendor return

    All SAP gurus,
    At the time of vendor return of excisable material (with movement type 122).
    When reversing is done Excise duty shows reverse in Part2 but also shows in J2IUN Report of Monthly excies duty Debit.
    It require to debit be excise duty only one time (RG22-PART 2 OR J2IUN).
    Is it possible?
    Please guide regarding standard procedure / entry in utilization in case of vendor return.
    Regards,

    Please help me

  • Excise Documents in case of Return Process

    Hello All,
       I am following the below process for Return to Depot from customer, please correct me if I am wrong;
    1) Create Return Order (RE)
    2) Create Return Delivery and PGI
    3) Transfer Posting from Return stock to Own (MB1B)
    4) Excise Invoice at Depot (J1IG - for the material document generated)
    5) Create Billing Document
    Now for Plant to Depot Returns (Return STO), I am following this process;
    A) Create STO with Return Indicator (ME21N)
    B) Create outbound Delivery document (VL10B)
    C) Create Goods Receipt (MIGO - Mvt Type 161)
    D) PGI Outbound Delivery
    The following questions arise;
    1) Is the above process that I am following correct?
    2) When and how should I create excise documents for the Plant to Depot Return
    3) In the first case, I have only updated RG23D with J1IG, Should I also do a J1IJ? if so is it for which delivery documnet, created during case 2) or for the one in case B)?
    Many Thanks
    Raj

    Ideal way of Excise Entries incase of return may not be cancelling Excise Invoice through J1IIN, as it may be possible that through Excise Invoice, say 10 Quantity was despatched & Return is only 2 quantity.
    The Option widely used is as under:
    Incase of Return Sales Order:
    T.Code for copy control: VTAF
    Source Document: F2
    Target Document: RE
    Item category REN
    Considering the above settings are done:
    Create return sales order RE (with Reference to Billing Document) & the data will be copied as it is in Return Sales Order - RE. For Eg: here you require to change to quantity from 10 to 2, as you want to take back into Inventory of only 2.
    Incase of Return Delivery:
    T.Code for copy control: VTLA
    Source Document: RE
    Target Document: LR
    Item category REN
    Considering the above settings are done:
    Create Return Delivery through T.Code VL01N & do PGR (Post Goods Receipt). This will add the stock to blocked stock. This will take care of Inventory.
    To address the issue of how to take Credit for Excise, use T.Code: J1IH --> other Adjustment & based on the credit to be taken, make the necessary entry.
    Incase of Credit Memo:
    T.Code for copy control: VTFA
    Source Document: RE
    Target Document: Credit Memo
    Item category G2N (Check in System)
    First in VA02, remove the Billing Block in Return Sales Order - RE & save the document. Now in T.Code: VF01, enter Return Sales Order Number & select the appropriate Billing Type (Credit Memo) & Enter& Save. This will create Credit Memo.
    Hope this helps you.
    Regards,
    Rajesh Banka
    Reward suitable points.

  • Process flow of excise duty from procurement to sales accounting entry with amount.

    Dear Expert ,
    Kindly any one help the process flow of excise duty calculation from procurement to sales accounting entry with amount.  for example.- if material amount is Rs. 10,0000 and excise duty is 8% , edu ecss 2 % , and sec ecss 1%. I want know the accounting entry on- MIGO, J1IEX, MIRO, F-43  AND , PGI, BILLING DOCUMENT, J1IJ , TR6 CHALLAN, J2IUN.
    Regards
    Akshaya

    Hi,
    In case of
    A. Procurement : there are two types of procurement viz. Local and Import
    LOCAL
    1. MIGO
    Inventory A/c Dr
    To GR?IR
    2. J1IEX
    CENVAT Receivable (Basic) A/c - Dr
    CENVATReceivable (Ecess) A/c - Dr
    CENVAT Receivable (S & H) A/c - Dr
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    No excise entry through SAP direct posting but through manual posting in case using TAXINN procedure.
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    PLA Payment (Ecess) A/c - Dr
    PLA Payment (S & H) A/c - Dr
    To PLA on Hold A/c
    IMPORT
    1. MIRO
    ECS+SECS on Cus+CVD A/c Dr (consists of ECS on custm+cvd and S & H on custm+cvd)
    CVD Clearing A/c Dr (consists of Additional Duty CVD and CVD)
    Customs Clearing A/c Dr (consists of Basic Customs)
    To Customs Vendor
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    Inventory A/c - Dr
    To GR/IR A/c
    To Customs Clearing (consists of Basic Customs)
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    3. J1IEX
    CENVAT Receivable (Basic) A/c - Dr
    CENVATReceivable (Ecess) A/c - Dr
    CENVAT Receivable (S & H) A/c - Dr
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    No excise entry through SAP direct posting but through manual posting in case using TAXINN procedure.
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    PLA Payment  (Basic) A/c - Dr
    PLA Payment (Ecess) A/c - Dr
    PLA Payment (S & H) A/c - Dr
    To PLA on Hold A/c
    Sales
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    COGS A/c Dr
    To Inventory
    2. Billing Document
    Excise
    ED Suspense A/c Dr
    To Liability for BED
    To Liability for ECS
    To Liability for S & H
    Customer
    Customer A/c Dr
    To ED Suspense A/c
    To Revenue
    To VAT / CST
    Hope your doubts are clear.
    Regards,
    Tejas

  • Excise configuration in case of Third party sales

    In case of third party sales of a excisable material, where the goods are supplied directly to customer by the vendor.
    However the customer invoice is sent to the customer my organization
    How will the excise entries take place?
    Because in this case goods are not supplied from my depot, Also i need to charge the customer for excise, since the goods are excisable.
    Can I claim the excise benefit for the above sale process?
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    Regards
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    As the goods are not delivered from your factory premise and are delivered for vendor.
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    Thus, no requirement of Excise configuration in case of Third party sales.
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  • Customer sales return - excise inv creation issue

    Dear expert,
            We are testing the "Customer sales Return" scenario for one of our client. Our process is,
    1. Create sales return order (VA01) with ref or without reference
    2. Create return delivery (VL01N)
    3. Perform Post goods Receipt (VL02N)
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                   Since we planned to create the credit note with reference to "Return delivery", we have defined the CIN related customizing as "Assign Billing Types to Delivery Types".
               Then we tried to create the excise Invoice using Transaction J1IIN. But we are getting the error message as
                                  Billing document 3134000001 does not exist
                                  Message no. 8I422
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    Warm Regards,
    Nag

    Dear Experts,
             Thanks for your quick response.
    Yes, already we maintained the billing relevance field in item category maintained as "A" & Copy contorl in VTFL also. Due to this we can able to create the "credit Note" in Transaction VF01. But during excise Invoice creation only we are facing the above mentioned issue.
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    Please give your valuable feedback on this.
    Warm Regards,
    Nag

  • Report linking  Delivery , Receipts , Purchase Return & Sales Return Entry

    We have Service Contract for Supplying Inventory to Our Indirect Customer.
    For Example:We have signed service contract with  IBM whose customer is Bank of India, now once Bank of India logs any complaint call to IBM for faulty part, IBM ask us to supply new part from our inventory to Bank of India and collect faulty part from Bank of  India, after inward of faulty part from bank of India we then send same faulty part to IBM against which IBM send us the new part hence the cycle gets completed and our inventory regain its level after four transaction.
    Each of Inventory in this transaction is managed serially
    To cater to this business scenario, we prepared Delivery Transaction against Bank of India(Bank of India is defined as customer)(For Serial no abcd1234) and prepared  sales return entry of faulty from Bank of India (For serial no pqrs6789), then prepared goods return entry (For Serial no pqrs6789) against IBM (IBM is defined as vendor) and in last prepared GRPO entry for inward of Inventory from IBM.
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    Hi
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    c.whscode,b.quantity,status,case when c.direction=0 then 'Inward' when c.direction=1 then 'Outward' end as direction ,d.intrserial,d.suppSerial,d.Batchid
    from odln a inner join dln1 b on a.docentry=b.docentry
    inner join (select * from sri1 where basetype=15) c
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    (select 'SR' as doc_type,a.docdate,a.docnum,a.u_rmano,a.numatcard,a.cardcode,a.cardname,a.docstatus,c.itemcode,c.itemname,
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    where not a.u_rmano is null
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    c.whscode,b.quantity as prQty,status,case when c.direction=0 then 'Inward' when c.direction=1 then 'Outward' end as direction ,d.intrserial,d.suppSerial,d.Batchid,1 as [quantity]
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    inner join (select * from sri1 where basetype=21) c
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    where not a.u_rmano is null) pr
    on grn.u_rmano=pr.u_rmano}

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