Fixation for ER in MIRO and MIGO

Hi:
           Is it possible to keep the ER fixed both at the time of MIGO and MIRO...If possible then please advice.
Br

Hi,
You can set ER as fixed at PO header level in ME21N.. This will do the job.
Regards

Similar Messages

  • About MIRO and MIGO

    Hello,
    I am new for FI module.I want to know about MIRO and MIGO relation and what is it.and from which tables i can find values of it?
    thanks
    soniya

    Hi Soniya,
    Th transaction MIGO is used for posting Goods movement related documents.
    It is actually an Enjoy transaction from where we have options for
    Goods issue
    Cancellation....
    and so on.
    The corresponding entries for Goods Issue will be found in the MKPF.
    MIRO is another Enjoy transaction and is used for Invoice postings OR Commonly known as Invoice verification.
    Consult your functional for more information about this. You be able to understand this faster then.
    Regards,
    Prakash Pandey

  • MIRO and MIGO

    Hi everyone,i would like to know about MIRO and MIGO?

    Hi,
    1.MIGO: Used for all Goods Receipt WRT PO,Partial Goods Receipt of a PO & Adjustment of Physical Inventory Difference etc...
    For more check the links:
    http://e-mory.blogspot.com/2008/02/sap-migo-goods-receipt.html
    http://e-mory.blogspot.com/2008/02/sap-migo-partial-goods-receipt-of-po.html
    http://e-mory.blogspot.com/2008/02/sap-migo-adjustment-of-physical.html
    2.MIRO: Used for Vendor Invoice Verification
    For more check the link:
    http://e-mory.blogspot.com/2007/11/sap-miro-enter-invoice-verification.html
    Regards,
    Biju K

  • GR/IR amount Diffrences between MIRO and MIGO for Document currency

    Dear Friends,
    I have one issue in MIRO Document posting, I will explain the issue by below steps.
    1. I have created Purchase Order with option "Exchange rate fixed" and my PO Exchange rate is 1.8700
    Purchase order details
    Quantity - 2, Price - 23,376.85 and Total PO value - 46,753.70 EUR ( Document currency), local currency is SGD
    2. We posted Single Goods Receipts entry for the above PO and system took exchange rate from PO (1.87)
    GR Accounting document value - 46753.70
    3. We have create two invoice documents for the above single Goods Receipts.
    First invoice posted with correct value and accounting entries are below
    Debit - GRIR Clearing account - 23, 376.85 EUR - 43,714.71 SGD
    Debit - Material account - 0.00 EUR - 2272.23 SGD
    Credit - Vendor account - 23, 376.85 EUR - 45,986.94 SGD
    4. Problem in Second invoice posting only, Refer below accounting entries
    Debit - GRIR Clearing account - 29,221. 06 EUR - 43,714.71 SGD
    Debit - Material account - 0.00 EUR - 4219.52 SGD
    Credit - Vendor account - 23, 376.85 EUR - 45,986.94 SGD
    Credit - Material account - 5844.21 EUR - 0.00 SGD
    Now my questions is why system posted extra one credit line item with value 5844.21 EUR for second invoice, I tried to simulate this same situation again. but I couldnt get this extra line item for credit.
    Please advice and guide me.
    Thanks & Best Regards,
    M.Ganesan

    Hi,
    Both Invoice header details Exchange rate is followed by Exchange rate table. But it did conversion based on PO Exchange rate.
    We didn't maintain Exchange rate type EURO for the currency EUR to SGD.
    Normally system will post the exchange differences in local currency not in Document currency. 
    Thanks & Best Regards,
    M.Ganesan

  • Customs MIRO and MIGO

    Hi,
    I have entered the values of CVD and Customs duty during Customs MIRO as 100 USD for each line item and saved.
    When i do MIGO,asked for commercial Invoice number,entered and saved.
    When i see the FI documents,the each line item value varies from 100USD to 193.75 USD.
    How this change happens and where should i correct?
    Please reply.
    Regards

    Hi,
    In the customs MIRO you need to give the PO number and select Delivery costs than automatically the values will be displayed.Without this if you entered manully that amount is adding to the exisisting values.

  • MIRO and MIGO number range for new financial year

    All SAP Gurus,
    We want same number range to be continued for MIGO and MIRO documents.
    Is it needed to create the number range for MIGO and MIRO for new financial year or same number range will be continued automatiaclly?
    Regards,

    hi,
    The number range to be applied for the MIGO And MIRO documents depends on the YEAR which you have feed while maintaining the number range...If you want a new number range for next year, then you can maintain it from above transactions...Or if you wanna continue wid the same then can use the same number range as well...
    As suggested maintain the number range get it applied, but remember if you maintain the number range as 2010 then that number range will be valid for the given year only...but if you give the number range 9999 then it will be valid upto 9999 year...
    Hope it helps..
    Regards
    Priyanka.P

  • Cost Center in MIRO and MIGO

    Hi All,
    1) A PO is created with one line item on cost center 10010.
    2) Discount condition of 10% is used in CONDITIONS
    3) On doing MIGO, material is charged on 10010 while discount line item is charged on 10020 as defined in OKB9
    4) On doing MIRO, both material and discount line is charged on 10010
    Is there's something missing in MIRO as discount line should be charged to 10020 rather on 10010?
    Looking forward to resolve this issue.
    Warm Regards,
    Nayab

    Hi Raghavendra,
    Thanks for your response.
    As per the configuration,
    I have a PO of Single Item.
    In Item Details I have used Cost Element 900102 & Cost Center 10020 in Account Assignment Tab and
    Condition of 10% discount is used in Conditions Tab.
    When I do MIGO, I get the following entries
    Expense Account   900102 agains cost center 10020
    Discount Account   900106 against cose center 10055
    GR/IR Account 400203
    Cost center 10055 is derived as cost element 900106 is assigned this cost center in KA03 as well as OKB9
    When I do MIRO, following entries are the result
    Vendor Account 55252
    Gr/IR Account 400203
    Discount Account 900106 against cost center 10020
    This cost center should be same as in MIGO due to configuration in Master Data (Txn KS03)
    or cost center in MIGO should be same as in MIRO (i.e. derived from the PO)
    If I put no cost center in KS03 (master data) or OKB9 against 900106 cost element, it prompts to assign CO to this account while doing MIGO.
    Looking foward for assistance in resolving this issue.
    Warm Regards,
    Nayab

  • No accounting document for 561E via MB1C and MIGO

    Dear All
    We are in MTO Scenario.
    we are trying to post initial stock against sales order through MB1C VIA 561E movement.
    the material document is not having an accounting document.
    Please help out.
    I've checked all setting as follows:
    1.) [OMJJ]
    for  Account grouping-561E - val update-qty update-val string(WA01)-Cn(2)-GBB-BSA
           Account grouping-561E -val update-qty update-val string(WA01)-Cn(2)-PRD-PRA
    2.)[OMJJ]
    Update control / WM movement types
          val  qty
    561 -    -     E                    In.ent.st.bal:slsOrd
    561 -     -     E               E     In.ent.st.bal:slsOrd
    561 -    -/     E                    In.ent.st.bal:slsOrd
    561 -    -/     E               E     In.ent.st.bal:slsOrd
    561 -/    -/     E                    In.ent.st.bal:slsOrd
    561 -/    -/     E               E     In.ent.st.bal:slsOrd
    3.)Logistics - General>Material Master>Basic Settings>Material Types>Define Attributes of Material Types
                                             -->FERT     Finished Product
                                                                    -->Quantity/value updating
                                                                                    qty    val
                                                                                1001     FERT  -/       -/
    4.) [OME9] settings
       for account assign cat 'E'  account modifier  'VKA'
    5.) [OBYC]
        for GBB-BSA- chart of a/c-val class-G/L accounts
             PRD-PRA- chart of a/c-val class-G/L accounts
                   are done and OK.
    still we are not able to generate accounting document for initial posting via [MB1C]
    WE HAVE EVEN TRIED TO POST VIA [MIGO], there also no accounting.
    hence, we are also not able to get accounting doc for PGI via 601.
    Please suggest me a solution at the earlist, I will be glad for the same.
    N.B:- if posting through 561, it is ok.
    Regards
    Maheshoe

    Maybe your SO special stock is not valuated that's why you won't get the accounting document.
    http://help.sap.com/erp2005_ehp_04/helpdata/EN/4d/2b92b743ad11d189410000e829fbbd/frameset.htm
    You can manage valuated or non-valuated sales order stock.
    Edited by: Csaba Szommer on Mar 6, 2010 2:02 PM

  • Need Plant Code for Tax GL MIRO and VF01 in SAP

    Dear Expert,
    Our system, for a0 (i.e,s 0% tax) whenever this tax code on po, once  doing miro user adding manually some gl and doing postig
    For this gl plant picking all tax gl, but apart from a0, example 1a, 5b, 10c i.e., 1%, 5%, 10% for this ftxp, ob40 gl a/c maintained.
    If we using a/c creating po and at the time miro, gl a/c posting automatically, but plant is not picking. I need to do the configuration, it should pick from po.
    Plese give any steps or solution to make
    Regards
    Mani.S

    Hi
    Here there is no problem with gl, amount or any field, only plant code.
    If 0% tax code, in miro for service po adding manually gl account after posting for all tax gl system picking from po.
    But 1%., 2%...etc., for this gl available in ob40, that working fine. if doing miro syst picking automatically gl, amt but plant code not picking from po. After posting there is no plant for tax gl (which one picked automatically) for gr ir a/c plant is there.
    How get the plant code from po for tax gl at the time miro, vf01
    Regards
    Mani.S

  • MIRO and MIGO data connect

    hi friends,
    is there any possible to pass data entered in one tcode to another
    eg.. i am entering header text in tcode MIRO has vehicle
    i should get this same header text in tcode MIGO
    is it possible
    thanks
    regards
    raj

    hi

  • Add duplicate check on MIRO and MIR7 by modfying a user exit

    Hi ABAP / SAP Gurus,
    Good day!
    For transaction code MIRO and MIR7, I need to add a check if there are invoice with the same details of VENDOR, CURRENCY, DOCUMENT DATE and AMOUNT on table RBKP. And If there are same invoice, a warning message should be issued.
    I have modified an include program (ZXM08U14) in FM EXIT_SAPLMRME_003. Unfortunately, the warning message is being triggered after the "SAVE" button is clicked.  In other words, the "Warning Message” might be considered as something useless since the document will still be created without the user being informed of the "duplicate".
    I need the duplicate check's warning message to be triggered even before the "SAVE" button is clicked.
    In this light, i have some questions:
    <b>(1) For MIRO, where can I put the duplicate check that will trigger a warning message (if a duplicate has been found) even bofore clicking the save button?  Kindly give the User Exit / Program.
    (2) For MIR7, where can I put the duplicate check that will trigger a warning message (if a duplicate has been found) even bofore clicking the save button?  Kindly give the User Exit / Program.
    (3) Can I use BADI for the said functionality? If yes, kindly provide a simple instruction on how to proceed.</b>
    Thanks in advance!
    And don't worry, I will give appropriate points for helpful answers.

    Hi,
    Check the following Exits and BADI for both MIRO and MIR7:
    LMR1M001        User exits in Logistics Invoice Verification
    LMR1M002        Account grouping for GR/IR account maintenance
    LMR1M003        Number assignment in Logistics Invoice Verification
    LMR1M004        Logistics Invoice Verification: item text for follow-on doc
    LMR1M005        Logistics Inv. Verification: Release Parked Doc. for Postin
    LMR1M006        Logistics Invoice Verification: Process XML Invoice
    MRMH0001        Logistics Invoice Verification: ERS procedure
    MRMH0002        Logistics Invoice Verification: EDI inbound
    MRMH0003        Logistics Invoice Verification: Revaluation/RAP
    MRMN0001        Message output and creation: Logistics Invoice Verification
    Business Add-in
    INVOICE_UPDATE   Business Add-In: Logistics Invoice Verification
    reward if useful
    regards,
    Anji

  • Settings for capture excise invoice in MIGO and other settings

    Hi,
      For excise invoice capture and post procedure which we are following is as follow
    1 : For Local Excise invoice
         After receving goods from Vendor  first we are Doing J1IEX Part 1,  Capture excise invoice  after saving this we are getting part 1 number,  then we are making GR with MB01 ref. to part 1 number , then qyuality inspection then updating material in Unrestricted stock from quality  afetr that we are doing J1IEX  poat  PART 2  here we are getting part 2 number  then invoice verification,
    2 : For import PO
          First MIRO for custom delivery cost we are getting MIRO number,  then J1IEX part 1 ref. to MIRO number and year  then MB01, ref. to part 1 of J1IEX then quality quality to store then J1IEX Part 2 then MIRO for vendor.
    now in many thread i read about capture invoice in MIGO   so i want to know the detail settings which required to be made so that we can perform our ruoutin in short time.
    regards,
      zafar

    hi
    >is there will be any effect in our existing procedure We want to follow both for some time , after that we will do only in MIGO,
    yes u can use both simultniously
    but in MIGO if u capture,  the step of updation J1i5 will be ommited (it will take palce automatically)
    like currently ur doing capture >update >post
    in migo only capture and then post
    >second think is that now while posting the capture excise invoice in J1IEX we rae entering part 1 number, so can we do woth >this while capturing it thorugh migo or we have to post with vendor excise invoice number only.
    You can do capture and post simultaniously in migo only
    the separate transaction is given as persons or users  may be diffrent for GR and excise
    if the same user want to do the GR and cap and posting then yes he can
    for capture and posting u also have to tick Post Excise Invoice Captured in MIGO in excise grp settings
    regards
    kunal

  • How to restrict the quantity & rate of MIRO with MIGO and PO

    Hi friends,
    Can any body tell me how to restrict the quantity & rate of MIRO with MIGO and PO.
    e.g. if we have done MIGO for quantity 10 and the rate maintained in the PO is Rs.100.Then at the time of MIRO system should not allow to change the quantity and rate.
    How we can do this?
    Regards  
    Purnesh Sharma

    Hi,
    You are misunderstanding the use of MIRO.
    If you change the details in MIRO you are NOT changing anything. You are just entering the price and quantity from the Invoice.
    If this price and or qty is different from the GR aqty and PO price then the system will block the invoice for payment (and it can issue messages toinform the buyer if configured correctly).
    The whole design of MIRO is based on the principle that you enter EXACTLY what the vendor has put on the invoice. By preventing the users from changing anything you will get NO mismatched invoices, but you will not be paying the vendor the amount specified on their invoice. This will surely cause problems.
    If you do want to ensure that ONLY the GR qty and the PO price are used and cannot be changed then why not consider using ERS (Eveluated Receipt Settlement. this is basically self billing.
    Effectively you will be paying the vendor based on what you have received in MIGO multiplied by the price from the PO. (which is what you would be doing if you stop any changes in MIRO)
    Steve B

  • Partial qty MIRO and GR for import PO

    Hi,
      For import PO first we are creating PO for vendor and we enter only qty and 0%  tax for import PO  after getting material as per schedule qty we are creating new PO for the recieved qty only and we are adding all the custom condition as delivery cost in second PO then we process further like MIRO  and GR ,  but to avoid this we are trying to make only one PO on import vendor and adding all the custom codnition in that PO in development server and we process the MIRO, J1IEX, and GR process for partial qty for one material and for one material we have taken ful qty. first time it works OK  ,  now when second time we want to do MIRO , J1IEX and GR againt same PO we are facing probelm like In MIRO when we enter PO number it is showing some amount in Balance amount filed which is generally 0 ,  in MIRO it is also showing the some material for which no open qty and also for partial qty if we enter qty more than open po qty system is not giveing any error,
    Can you some stpes and tips  what configurationwe need,  actual requirement is we want that we will create import PO o etime by adding all the custom condition as delivery cost and ref. to that material we want to do MIRO, J1IEX and GR  for partial qty.
    regards,
      zafar

    Hi,
      I have two points,
    While after  recieving import material first we do the miro for custom condition in this we enter the custom vendor code in the invoicing party, and below next to PO number field we generally select option no. 3 i.e Goods / service item + planned delivery cost with this all conditions come in the miro but our requirement is only those codnition should come in which invocing party is which we have enter in the header fied of MIRO ,
      so insted of 3 option Goods / service item + planned delivery cost ,  if we select option 2 Planned delivery cost our problem get solve so i want to know what is the effect if insted of 3 option we select option 2.
    regards,
      zafar

  • Print out put for miro and incomming excise invoice(j1iex)

    Hi guru's
    my client need print out for miro and incoming excise invoice.Plz help me in configuring them.
    thanks
    with regards

    hi,
    Do check the NACE transaction...
    Message schema is nothing but a program which will come into action whenever there will any need of output...
    So, check your message schema...Define the output type as per your requirement...
    Condition table consist of all those Fields which will be taken into consideration, whenever you trigger the message output...and those fields will be taken into consideration for the req. output...
    Access seq. will provide you the scequence in which the fields are be read and perform an output...
    At last printer determination is main, by which you'll print output...
    hope it helps..
    Regards
    Rahul.

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