Excise in case of concessional duty

Dear All,
We are using TAxinn tax procedure.I have maintain the the conditon as JExp for BED and the access seq used is Conunty/Plant/Control code. The condition record maintain for this combition.
To some customers we sales goods are at concessional rate means 50 % excise duty.How this can be capture.
Regards,
deepti

Hi
Apart from following configurtion create condtion table with Material/Plant/Alt Tax classification for customer/Alt Tax Class. for Mat.
Now create Tax classification indicator for customer (50% Consession)and half tax percentage indicator for mateiral in tax customizing under basic funtion,
Now create condition record with both indicator for 50% rate
During sales order you have to manually chage the tax indicator for material and customer in this special case, by this change system automatically pick the 50% discount rate.
Regards
Shambhu Sarkar

Similar Messages

  • Excise invoice posted with Zero duty value

    Hi,
    My client has an STO process where they will generate a proforma Invoice with Excise duties,
    Initially when proforma was created excise duties were not reflecting since condition records were not maintained, user was not aware of that and created a excise invoice also with 0 Duty value.
    After this condition records were maintained and invoice was updated with excise values. But we are unable to update the excise tables through the same excise invoice no. This transaction is a back dated one for which client has already filed excise returns with SAP Excise number series, Can we pass a JV through FI to adjust the entries or any other solution.
    Regards,
    Zehran.

    Client has done PGI with ZERO quantity
          also done billing
    if i go to cancel that cancel invoice in J1IIN
         it is not allowing to cancel
    If your copy control is in line with standard settings, first of all you cannot post the goods issue without any quantity and also generation of billing is not possible.
    Coming to your second issue, please try in J1IH instead of J1IIN.
    thanks
    G. Lakshmipathi

  • Additional Excise in case of Depot

    Dear All,
    I want to debit customer for addtional excise in case of depot.
    Can any one help me out with the solution???
    How can I post excose entries in System. ??
    Thanks & Regards
    Rasik Waghela

    Hi
    Hope it will solve your problem,
    Create supplimentry invoice request instead of debit memo for the amount you want to debit to customer, with the supplimentry invoice request you can create invoice (It dont require delivery as it is supplimentry invoice) based on commercial invoice you can create excise invoice for the amount which you want to debit the customer.
    Hope it will solve your problem. If solve then give points
    Regards
    Shambhu Sarkar

  • Excise in case of partial delivery

    Hi,
    Need the solution for the following issue
    I have maintained FERT in the sales order. The FERT is a combination of parts which can be delivered partially. e.g. A Computer where the parts like monitor, keyboard and CPU can be delivered individually.
    The delivery is through project using CNS0 and the billing is milestone billing.
    Now, I want the excise on all these items so how can this be treated? Here the parts are not delivered at a time and SO contains only 1 FERT.

    Do you mean to say that you want to deliver the component of a BOM material, I think if you have maintained seperate price on the basis of component then you will be able to deliver the material components seperately, and during billing the pricing procedure is calculated at item level so automatically the excise values are passed on.
    regards,
    Sudhir

  • Posted Excise duty not appearing in MIRO

    Hello folks,
    We are capturing Excise invoice in MIGO and then as per the vendors
    excise invoice we change the ED in the captured excise invoice and then
    post it. We have noticed that in some cases the exise duty posted in
    J1IEX is not the same which is appearing in MIRO. first we assumed that
    it is appearing only for the changed items, but then we found this is
    only in case of some invoices and not for the all invoices of those
    items.
    please let me know what to do.
    regards
    Ashish

    Why do you change excise duties while posting ? Vendor is a dealer ??

  • Excise tab is not displayed in MIGO

    Dear All,
    i am getting one problem,
    eg:-  when i received a material in MIGO with Excise Details, all are happening properly, but when i am going to see the Material Document in Display mode, that time i am not able to see Excise tab.
    due to that problem, i am not able to post Excise invoice in system.
    <<<Text removed>>>>>
    Moderator message : Please post thread with appropriate subject.Please follow forum rules.
    Edited by: Jeyakanthan A on Sep 20, 2011 12:21 PM

    Hi,
    You have two issues:
    1. Capture excise in MIGO t.code
    2.Display mode of Material Document , need to view Excise tab.
    For 2nd issue you need get authorization for  Display Material Document with excise details
    For 1st issue follow setting:
    As you needed excise to be capture in t.code:MIGO, you need to do following settings:
    Select check boxes of "EI capture" & "Post EI in MIGO" in MIGO Settings segment in Maintaining Excise Group setting in following path:
    SPRO --- >Logistics general - > tax on Goods Movements- >India --- >Basic setting --- >Maintain Excise Groups
    NOTE: Also set "Duty different at GR"  check box in case manual entry excises value in case of Dealer Invoice.
    Also set entry of 101 Movement Type for capturing Excise Duties in following path:
    SPRO --- >Logistics general - > tax on Goods Movements- >India - >Business Transactions->Specify Which Movement Types Involve Excise Invoices
    Regards,
    Biju K

  • CIN-Two Export scenarios-Duty not paid & Duty Paid

    Hello SAP SD CINers,
    I have a basic requirement which is that one industry exports without duty paid (which is always the case) and other duty paid which means in the Billing document & the Export Excise Invoice the Price will be statistical but the Taxes like JEXP (IN: A/R BED %) will be accounted for.
    The solution as formulated by us is that we have a new series created and then all seems right but the problem here is that it is very very difficult to get a new series from Customs for different busines scenario as normally only two are sanctioned like Home consumption and for Exports.A new Shipping Point be created specially for this scenario which can then be maintained in the Excise/Series group determination but the problem here is that one needs a new Series Group to be maintained which should have utilization not clicked as normally for exports it is ticked off for no utilization but here we need to carry out utilization.Hence, the requirement for a new Series is generated.This is very difficult to convince the Authorities to sanction a new series grouop as this is normally not done.
    Could you CIN masters suggest something for this.
    In Std SAP, we can have two order types for e.g. OR & RE to have the same No. range int. assignment which will cause the number maintained to find the next available number for both OR as well as RE..OR can have number "1" and RE can have number "2" & so on and so forth.Duplications dont happen here but in case of CIN Excise Invoices, this happens if we shift between Series "EX" (for export) & new Series say "S1" both of which have Object " J_1IEXCEXP" have same from -to numbers.
    This problem can be easily be solved by making the changes in the source code which allows this two series groups to have the same number range and the numbers shouldn't get duplicated and the sytem should take in next available number just as this is done for Sales Orders.But that is a change, so we would request for some solution within the existing setup.
    I am sure this problem must arise with almost all Indian export factories so there must be some workaround for this problem.
    Kindly advice as this is very challenging scenario.In case of further queries, kindly send query for this & i will  be looking forward to valuable inputs from you all regarding this.
    Thanks All in advance.
    Regards,
    Dinesh Relwani.

    Hello SAP SD CINers,
    I have a basic requirement which is that one industry exports without duty paid (which is always the case) and other duty paid which means in the Billing document & the Export Excise Invoice the Price will be statistical but the Taxes like JEXP (IN: A/R BED %) will be accounted for.
    The solution as formulated by us is that we have a new series created and then all seems right but the problem here is that it is very very difficult to get a new series from Customs for different busines scenario as normally only two are sanctioned like Home consumption and for Exports.A new Shipping Point be created specially for this scenario which can then be maintained in the Excise/Series group determination but the problem here is that one needs a new Series Group to be maintained which should have utilization not clicked as normally for exports it is ticked off for no utilization but here we need to carry out utilization.Hence, the requirement for a new Series is generated.This is very difficult to convince the Authorities to sanction a new series grouop as this is normally not done.
    Could you CIN masters suggest something for this.
    In Std SAP, we can have two order types for e.g. OR & RE to have the same No. range int. assignment which will cause the number maintained to find the next available number for both OR as well as RE..OR can have number "1" and RE can have number "2" & so on and so forth.Duplications dont happen here but in case of CIN Excise Invoices, this happens if we shift between Series "EX" (for export) & new Series say "S1" both of which have Object " J_1IEXCEXP" have same from -to numbers.
    This problem can be easily be solved by making the changes in the source code which allows this two series groups to have the same number range and the numbers shouldn't get duplicated and the sytem should take in next available number just as this is done for Sales Orders.But that is a change, so we would request for some solution within the existing setup.
    I am sure this problem must arise with almost all Indian export factories so there must be some workaround for this problem.
    Kindly advice as this is very challenging scenario.In case of further queries, kindly send query for this & i will  be looking forward to valuable inputs from you all regarding this.
    Thanks All in advance.
    Regards,
    Dinesh Relwani.

  • Excise Invoice in Background

    Dear Friends,
    We have a provision fo creating excise invoice (J1IIN) in background, when we create commerical invoice (VF01).
    This config is in CIN setting "Maintain Excise Groups" (a tick is provided CREATE EI)
    We have a plant from where both domestic & export business is done.
    But we are facing problem with excise invoice creation in case of exports.
    In case of domestic invoice the excise invoice gets created automatically & the duty rates also flow.
    But in case of export invoice the excise invoice gets created but duty rates doesnt flow.
    When we cancell the export excise invoice & recreate thru J1IIN the duties now appear flowing.
    There is some problem whe excise invoice gets created automaticaaly in case of export.
    Please Help.
    Regards,
    Dhananjay

    Hi,
    There are four types of exports Export under bond, Deemed Exports, Export under claim for rebate & Export under letter of credit. In Tax on goods movement for out going exice invoice i think you have not maintained Maintained default Excise groups and Series Groups correctly (Export type). Maintain this automatically system will create export invoice automatically when you do the billing.
    & Apply user exit J_1I7_USEREXIT_DUTY_IN_EXPORT where you can pass the field SUPPRESS_CALCULATION value as 'X' If it is applicable.
    Refer Notes 927189 and 125161
    Regards

  • Selling of Scrap received with credit of 4% addl. Duty

    Hi friends,
    Provision of Sales Bills [ Excise Invoicing] with Addl. Duty 4% ie instead of our existing tax pattern 1421 on excise part with 4% on Sales Tax part, a new pattern 1421+4 on excise part with 4% on sales tax part.
    For information the amount of addl. Duty 4% is no way can be calculated directly from the basic price of the invoice, since it is from B/E [ Input Document], So in such cases the addl. Duty 4% per mt is to be feedable at the time of preparation of Sales Orders wrt to base input document, to arrive exactly in the output.
    Also note that the sales tax 4% has to be calculated on the total arrived after inclusion of 4% addl. Duty.
    Please help me 
    Regards
    shrinath.

    Dear Shrinath
    Please make a try with the following:-
    1)  Create a condition type copying PR00 with C in the field Manual entries.  This can be renamed as ZR00
    2)  Go to V/08 and maintain as follows:-
    Step:::CType:::::Description:::::::::::::From::::::To:::
    100:::::PR00::::Price:::::::
    110:::::ZR00::::Addl.DutyValue
    115:::::::::Subtotal for excise:::::::::::::100:::::::110
    120:::::JMAN::::Manual excise::::::::::115
    125:::::UTXJ::::Tax Jur.code::::::::::::::115
    130:::::JMOD::::A/R BED::::::::::::::::::120
    135:::::::::::::Base Price::::::::::::::::::::115
    140:::::JEX2::::A/R BED::::::::::::::::::::130
    145:::::JAED::::A/R AED:::::::::::::::::::115
    150:::::::::::::Base Price+ED::::::::::::::135::::::::140
    155:::::JEXA::::A/R AED::::::::::::::::::::145
    160:::::JSED::::A/R SED::::::::::::::::::::115
    165::::::::::::BaseBEDAED:::::::::::::150::::::::155
    170:::::JEXS:::A/R SED:::::::::::::::::::::160
    175:::::JCES:::A/R CESS::::::::::::::::::115
    176::::::::::::BaseBEDAED+SED::::165:::::::::170
    180:::::JCED:::A/R CESS:::::::::::::::::::175
    185:::::JECS:::A/R ECess::::::::::::::::::140
    190:::::JECX:::A/R Ecess:::::::::::::::::::185
    195:::::JA1X:::A/R SHrCess::::::::::::::::140
    200:::::JA1Y:::A/R SHrCess::::::::::::::::195
    205::::::::::BaseBEDECess::::::::::::::176::::::::185
    210::::::::BaseBEDECess+SHcess:::200::::::::205
    215:::::JIN7::::A/R CST Payable:::::::::::210
    220::::::::::Net for TCS :::::::::::::::::::::::::205::::::::::215
    225:::::ZTCS:::Tax Coll.at source:::::::::::220
    Now in your sale order, you can manually enter the condition type ZR00 and its value so that duty components will be taken care of automatically.
    thanks
    G. Lakshmipathi
    ps:-  really this took a more time for me

  • Excise JV

    Hi MM Gurus,
           Pls Let me know the importance of fields and when we need to perform those functions in J1IH such as Material writeoff, Material Non productive, Additional excise and Cancel Excise and also Other adjustment , TR6 challan. And whether these TR6 challan will be posted by finance or MM people.
    Pls let me know with example.
    And also after doing J2I8 for Capital transfer of Credit we need to do J2IUN.
    In the above in doing Material write off or Matl non prod do we need to enter duties manually or do we need to click GET excise invoice .
    Thanks n Regards
    Girish
    Edited by: Girish CM on Aug 21, 2008 5:09 PM

    Hi,
    CENVAT Adjustment Postings (J1IH u2013 Excise JV)
    Use: - You use these functions if you need to make an adjustment posting to any of your CENVAT accounts. You can make adjustment postings to account for:
    u2022 Scrap
    u2022 Materials that you have not used in production
    u2022 Additional excise paid by vendors
    u2022 Money that you have transferred to your personal ledger account
    u2022 Other transactions
    You can also use this function to cancel excise invoices.
    Features: - Each of the different types of adjustment postings are documented separately. However, they all work on the same principle, as follows.
    Reference Document: - On the initial screen of the transaction, you specify the reference document, that is, the document which the adjustment posting is to refer to u2013 either an internal document, such as a material document or a subcontracting challan u2013 or an external document, such as an incoming excise invoice
    You also specify which registers are affected by the posting. In many cases, the adjustment will have to be remitted to the authorities on a fortnightly basis. The adjustment will then be included when you run the Remittance of Excise Duty Fortnightly report. If the adjustment has to be remitted immediately, you specify which register is affected.
    Excise Details: - When you proceed to the detail screen, the system automatically shows the line items from the reference document, if it is an internal document. You specify how much excise duty is to be adjusted and which CENVAT accounts the adjustment posting is to be made to.
    When you edit the excise details, there are a number of functions that are available, depending on the type of adjustment posting:
    u2022 Assigning excise invoice to line items
    u2022 Specifying which G/L accounts are to be adjusted
    u2022 Displaying balances of CENVAT accounts
    When you save your changes, the system creates an accounting document to make the appropriate postings.
    1. Making Adjustment Postings for Scrap
    Use: - You follow this procedure if you have scrapped a material and want to reverse the excise duty debited to your CENVAT account.
    Procedure: -
    1. J1IH - Excise JV > Create > Matl write-off.
    2. Enter data as required, including:
    u2022 Document number (This Document is of Movement Type u2013 551 i.e. GI for Scrap)
    Enter the number of the document that you used to scrap the material.
    u2022 CENVAT account selection group box
    Specify which account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment.
    3. Click on u201CEnteru201D button.
    The system displays the information from the material document.
    4. Adjust the posting date as necessary.
    5. Adjust the excise duty for each line item either:
    u2022 Manually
    u2022 By assigning the line item to an excise invoice
    6. Specify which G/L accounts are to be posted to.
    Here you can change Debit A/c as per your requirement.
    7. Save the adjustment posting.
    System will post Excise JV Document, Accounting Document Part2 Serial No.
    2. Making Adjustment Postings for Materials Not Used in Production
    Use: - You follow this procedure if you have not used a material in the production process and want to reverse the excise duty debited to your CENVAT account.
    Procedure: -
    1. J1IH > Excise JV > Create > Matl non-prod.
    2. Enter data as required, including:
    u2022 Document number
    Enter the number of the material document that the adjustment posting is to refer to.
    u2022 CENVAT account selection group box
    Specify which account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment.
    3. Click on u201CEnteru201D button.
    The system displays the information from the material document.
    4. Adjust the posting date as necessary.
    5. Adjust the excise duty for each line item either:
    u2022 Manually
    u2022 By assigning the line item to an excise invoice
    6. Specify which G/L accounts are to be posted to.
    Here you can change Debit A/c as per your requirement.
    7. Save the adjustment posting.
    Excise JV Document, Accounting Document with Part2 Serial No has been successfully created
    3. Making Adjustment Postings for Additional Excise Paid by Vendors
    Use: - You follow this procedure if a vendor has increased the amount of excise duty that it originally charged you and you want to debit the difference to your CENVAT account.
    Procedure: -
    1. J1IH > Excise JV > Additional excise.
    2. Enter data as required.
    In the Document number field, enter then number of the document sent to you by the vendor.
    3. Click on u201CEnteru201D button.
    4. Adjust the posting date as necessary and Enter Vendor Name.
    5. Enter the amount of excise duty in either of the following ways:
    u2022 To enter line items for different materials and the excise duty accordingly, choose u201CDetailsu201D button and enter the line items in the table.
    Here Enter Material code, quantity as per excise invoice, reference document (i.e. GRN Document), batch no., BED and Ed Cess Amount to be posted.
    u2022 To enter the excise duty only, choose u201CHeaderu201D button and enter the excise duty in the totals fields at the foot of the screen.
    6. If the duty qualifies as countervailing duty (CVD):
    a. Select CVD applicable.
    b. Enter the CVD amount in the BED amount field.
    7. Specify which G/L accounts are to be posted to.
    8. Save the adjustment posting.
    System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.
    4. Making Adjustment Postings for Money Transferred to PLA 
    Use: - You follow this procedure to make an adjustment posting when you transfer money to your personal ledger account (PLA).
    Prerequisites: - You have already transferred the money to your PLA at the bank, using a TR6 challan, and have posted the corresponding accounting document.
    Procedure: -
    1. J1IH > Excise JV > TR6 challan.
    2. Enter data as required, including the document number.
    You can enter either the challan number OR the number of the accounting document (This document is to be first created through T. Code u2013 FB50. In this Document Debit PLA on Hold A/c and Credit Bank A/c with the Amount to be transferred in PLA CENVAT Accounts)
    3. Click on u201CEnteru201D button.
    If you entered the accounting document number, the system displays the information from it.
    4. Enter the amounts against the accounts that you require.
    5. Save the adjustment posting.
    6. System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.
    5. Canceling Excise Invoices
    Use: - You follow this procedure in order to cancel an outgoing excise invoice. It reverses any excise duty accounted for.
    Procedure: -
    1. J1IH > Excise JV > Cancel exc. inv.
    2. Enter the number, year, and series group of the excise invoice that you want to cancel.
    A dialog box appears.
    3. Choose Yes.
    4. Before posting the document check the Accounting document going to be generated.
    Here click on u201CDetermine G/L Accountsu201D button.
    5. Save the adjustment posting.
    System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.
    6. Making Adjustment Postings for Other Transactions
    Use: - You follow this procedure if you want to make an adjustment posting that does not fall into any of the other categories of adjustment offered by this function. You can only use an external document as your reference document.
    Procedure: -
    1. J1IH > Excise JV > Other adj.
    2. Enter data as required, including:
    u2022 Document number
    Enter the number of the external document that you want to refer to.
    u2022 CENVAT account selection group box
    Specify which account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment.
    3. Click on u201CEnteru201D button.
    The system displays the information from the material document.
    4. Adjust the posting date as necessary and enter Vendor code as per requirement.
    5. Enter the amount of excise duty in either of the following ways:
    u2022 To enter line items for different materials and the excise duty accordingly, choose u201CDetailsu201D button and enter the line items in the table.
    Here fill details like Material Code, Quantity as per Excise Invoice, Batch No, Reference (i.e. GRN Document), BED and Ed Cess Amount manually.
    If you want system to propose the BED and Ed Cess Amount, Click on u201CGet Excise Invoiceu201D button and select the proper Excise Invoice from which the proportionate amount is to be copied.
    Select the u201CExcise Invoiceu201D and click on u201CContinueu201D button.
    It will copy BED and Ed Cess and SECess amount as per the quantity mentioned here. It will be proposed in proportion of selected Excise Invoice quantity and value.
    u2022 To enter the excise duty only, choose u201CHeaderu201D button and enter the excise duty in the totals fields at the foot of the screen.
    6. Specify which G/L accounts are to be posted to.
    7. Save the adjustment posting.
    System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.
    TIPS to simplify Excise JV transactions: - (J1IH)
    1. Assigning Excise Invoices to Line Items 
    Use: - When you make an adjustment posting, you follow this procedure if you want to specify the original excise invoice associated with a line item.
    Procedure: -
    1. Select the line item that you want and choose Get excise invoice.
    The system displays a list of all the excise invoices that you have posted from this vendor for this particular material.
    2. Select the excise invoice that you want and click on u201CEnteru201D button.
    The system:
    u2022 Enters the excise invoice document number in the Ref. doc. field (Reference document).
    u2022 Calculates how much of the excise duty from the excise invoice should be apportioned to the line item and enters it in the excise duty fields.
    If you then overwrite these amounts, you should also overwrite the reference document number with an explanatory text, since there is no point in maintaining the link to the reference document anymore.
    For e.g. you have a line item with ten plates of glass that you have broken and are to be scrapped. You have three excise invoices from the same vendor to choose from. You pick one for 20 plates of glass with BED at INR 200. The system automatically apportions INR 100 to the line item that is to be reversed.
    2. Specifying Which CENVAT Accounts to Adjust
    Use: - When you make an adjustment posting, you have to specify which CENVAT accounts are to be adjusted.
    Procedure: -
    1. Choose Determine G/L accounts.
    A dialog box appears that shows how much will be posted to which G/L accounts. The accounts that are displayed depend on the excise group and the CENVAT account that you entered on the selection screen.
    2. Add another account, if you need to, and adjust the other postings so that the credits and debits match.
    3. Enter a business area and cost center, if necessary.
    4. To close the dialog box, click on u201CEnteru201D button.
    3. Displaying CENVAT Account Balances
    To display the balances of your CENVAT accounts, choose Balances.
    The system displays the balances only of the CENVAT accounts that are affected by your G/L postings.
    J2IUN u2013 Monthly Utilization
    In the selection screen, put following details
    Under u201CGeneral Datau201D Tab
    u2022 Company Code u2013 6100
    u2022 Plant u2013 6105
    u2022 Excise Group u2013 05
    u2022 ADC Subtransaction Type u2013 IP i.e. SUBTRANSACTION TYPE FOR IMPORTS - ADC
    Under u201CExcise Invoice Selectionu201D Tab
    u2022 Period -
    Under u201CPosting Datau201D Tab
    u2022 Business Area u2013 u201CA1u201D
    u2022 Fortnightly Payment Posting Date -
    Under u201CCross utilization b/w Service tax and CENVATu201D Tab
    u2022 Service tax credit account -
    u2022 ECESS on ser tax account -
    u2022 SECess on ser tax account -
    After putting all the necessary Selection Details, Press u201CExecuteu201D button
    In the output Screen, select the line of Excise Duty like; BED, ECS and SECess one by one and click on u201CSelect Dutyu201D button to views the relevant Accounts for Excise duties;
    Now put the duty amount to be utilized against the u201CACCOUNT NAMEu201D from which you want to utilize.
    Same procedure is to be repeated for ECS and SECess also.
    Now click on u201CSimulateu201D button to verify the Accounting Entries of Monthly Utilization
    System generates FI Entry during Monthly Utilization
    CENVAT Payable for BED, ECS & SECess - Dr
    CENVAT Receivable for BED, ECS & SECess - Cr
    Now u201CSaveu201D the Utilization Document.
    After posting the document, system will generate a message as below
    Part 2 post and accounting document XXXXXX generated.
    Note: -
    There is no transaction type for determining the accounts of the fortnightly utilization.
    The credit account of the transaction type u2018DLFCu2018 is used as the debit account here.
    For the credit side we pick the debit accounts from the GRPO, EWPO and TR6C transactions.
    So it is mandatory that whether you use EWPO or not you should have maintained the account determination for all transaction types for a given excise group.
    So check the account determination for all above ETTs.

  • Capturing and posting excise referencing Inbound Delivery

    We have the next scenario for capturing and posting excise referencing Inbound Delivery:
    1º) We create an import purchase order with excise and customs conditions
    2º) We create the customs invoice in MIRO
    3º) We create an inbound delivery and post GR
    4º) We update the "RG 23A Part 1" with J1I5 transaction.
    5º) We capture the excise invoice in J1IEX with reference to Goods
    receipt.
    When capturing the excise invoice none amount (duty value) is obtained
    and if you try to set any value the system clears them to zero when
    pressing "enter". Also, the exc. base amount is obtained wrong.
    We have tested another option:
    1º) We create an import purchase order with excise and customs conditions
    2º) We create the customs invoice in MIRO
    3aº) We create an inbound delivery.
    3bº) We capture the excise invoice in J1IEX with reference to inbound delivery. In this case all the duty values are obtained ok.
    3cº) We post the inbound delivery in VL32N.
    4º) We update the "RG 23A Part 1" with J1I5 transaction.
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    Both scenarios failed. can you provided any solutions to any of them?

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