G/L account determination for Vendor Billing document

Hello,
There are 2 requirements of the same nature.
1) there are duplication and unwanted G/L entries in accounting document
2) Where there is multiple entry, it is getting posted to single G/L account
How to rectify both. i had searched forums and help document, can someone help me with step by step procedure and this is from vendor billing document created from rebates.
Thanks in advance,
Subbu75

You need to take initiative to solve problem first.
If there is any specific problem,forum members will be ready to help you.
Please close this thread.Raise it in ERP Financials

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  • GL account determination for  vendor invoice in cross company sale sales

    Hi
    we are planning to implement cross company sales scenario.
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    1) Sales Order is in co code X and the delivery is from group company  lets say  co code Y
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    4) The automatic vendor invoice GL account determination is via customisation OBCB and OBCE
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    Edited by: pravin_shah1403 on Nov 25, 2011 3:00 PM

    Hi Pravin.
    Did you figure this out?
    I'm seeing that via OBCB we can hit only one G/L account.
    We also need to hit multiple accounts.
    We've figured out how to hit this via user-exit, however I'm hoping that I've missed something in configuration and that a resolution via configuration is possible?
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  • Vendor Billing Document

    Hello,
    I am currently working on Vendor billing document from Rebates. There are 2 requirements that I would need help with:
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    b) how to credit and debit same G/L account thereby to nullify the value.
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    Regards,
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    One post,One Question.Pl close this thread.
    Since subject posted is FI relevant,Hence post as different questions in [ERP Financials |SAP ERP Financials;

  • Accounting determination simulation during billing

    Hello Friends,
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    Thanks
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  • G/L account determination for shipment cost

    Hi Experts,
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    Hi,
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  • How to get general account for a billing document ( BSEG) ?

    Hello,
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    Our main purpose is to get HKONT ( General account ) for a  billing document .
    Thanks in advance for your help

    Hi  Hoa Binh Xanh,
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    Pass VBELN (Billing Document) in above two tables and get the doucment numbers and then if you need further info hit BSEG with the data you got from BSAD and BSID
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    Hope it will solve your problem..
    Thanks & Regards
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  • An accounting document is not required for this billing document

    Hi,
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    regards,
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    Goto VOFA screen and check for ur billing type , what is assigned in the document type field?.
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    Reward points if useful..

  • Accounting entry problem for cancel billing document

    Hi,
    We have manufacturing process  for SO to DC we follow the proces
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    in billing document document flow we can see two accounting entry generated
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    G. Lakshmipathi

  • Account determination error in Invoice document posting

    Problem - When generating the invoice document to customer, an error is displayed - Document is saved (Account determination error). As a consequence of this step, the invoicing is not able to create FI document
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    Account determination is done in G/L account assignment (VKOA screen)
    For my billing document, the system is not able to find the GL account (below are screenshots)
    In VKOA screen, I already defined the GL account determination using KOFI procedure.
    I initially defined in table 2 Cust.Grp/Account Key and it didnt work.
    So I defined in both the tables 1 as well - Cust.Grp/MaterialGrp/AcctKey
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    Hi Nikhil,
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    check the acct asst grp of customer field in billing tab is maintained or not.
    other possible reason may be in your pricing procedure -check whether the accounting keys are maintained or not.
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  • Error in VF02 (Posting keys for account determination for transaction JTS)

    Hi,
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    Posting keys for account determination for transaction JTS do not exist
    Message no. F5598

    Hi Amanulla,
    once we create the Account key in revenue determination we have to assign that account key to respective procedure and condition types.
    check that.
    please award points.
    ravikanth

  • Account determination for cash sale

    Hi, sapcons
    please can any body can help me by sending  step by step notes on account determination for cash sales and rush orders
    my mail id is [email protected]
    thanks in advance
    regards
    srinivas

    Hi Srinivas,
    Account Determination for Cash Sale and Rush Order will be done in VKOA Transaction.
    Please find below the Process of Cash Sale and Rush Order
    CASH SALE:
    Cash sales is an order type for when the customer orders, picks up and pays for the goods immediately. The delivery is processed as soon as the order has been entered. A cash invoice can be printed immediately from the order and billing is related to the order. Receivables do not occur for the customer as they do for rush or standard orders, because the invoice amount is posted directly to a cash account.
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    In the standard system, sales document type BV is saved for cash sales with immediate delivery type BV.
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    Copy the BV Standard Order and Copy to ZBV and in the functionality of ZBV check whether the field " Immediate Delivery" has the value "X" or not because that creates the Delivery immediately when the cash sale order saved. Do the same for item category BVN as ZBVN. And check whether credit active unchecked or not in ZBVN.
    Do the item category determination for cash sale for which u configured. And at the time of cash sale u will get the invoice. For that u use the output type Rd03.
    RUSH ORDERS:
    In a rush order transaction, the customer picks up the goods or you deliver the goods on the same day as the order is placed. In the standard system, when you save this sales document type, a delivery is automatically created and billing is related to the delivery.
    Process Flow
    In the standard system, sales document type SO is saved for rush orders with immediate delivery type LF. Once the goods have been removed from storage, the goods are picked, and goods issue is posted.
    Once the billing documents are created (for example, in collective processing), invoice papers are printed and sent to the customer.
    For Rush Order the necessary Config Settings are,
    Copy the RO Standard Order and Copy to ZRO and in the functionality of ZRO check whether the field " Immediate Delivery" has the value "X" or not because that creates the Delivery immediately when the cash sale order saved. Do the same for item category TAN as ZTAN. Do the item category determination for cash sale for which u configured. And check whether credit active checked or not in ZTAN.
    Please Reward If Really Helpful,
    Thanks and Regards,
    Sateesh.Kandula

  • Posting keys for account determination for transaction ERS do not exist

    Dear All,
    When I try to create an accounting document for a billing document, the below error happened:
    Posting keys for account determination for transaction ERS do not exist.
    Could any one of you meet the issue before and give me some advice? Thanks a lot.
    Ray

    Dear,
        In your pricing procedure check whether any sales deductions / discounts condition type is maintained and against that maintain ERS account key.
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    try and let us know
    regards,
    SUdhir

  • Account determination for non-valuated material

    hi,
    I have configured account determination for non-valuated material when I try to post the Invoice then error come that GR/IR account required for posting. but my GR is Non valuated so GR/IR account would be ignore then why required GR/IR account by system at the time of Invoice.

    You have to understand the difference between GR non valuated and non-valuated stock
    Non- valuated stock has following attributes
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    2. That means the stock will not have inventory values and further good movements after GR would not have accounting document
    3. Non- valuated stock material can have GR valuated or GR non valuated ,depends on tick /untick of GR non valuated field in the purchase order under delivery tab.
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    Scenario 1:
    in your case if you have created PO with non-valuated material  and without GR -non valuated flag ,there must be an accounting document in GR as follows
    GBB     - Consumption account  - Debit
    WRX - GR/IR account  - credit
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    WRX - GR/IR    - debit
    vendor-           -  credit
    Scenario 2:
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    Vendor -     credit
    GBB -  consumption account - debit
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    Regards
    Raja

  • Account determination error at billing level

    Hi,
    for Account determination error at billing level
    i checked the line item level for the material by highlighting the item, then GO TO > ITEM > ITEM DETAILS. here 5 line items are there , 4 line items have same "Acct asgnmt grp" and 1 line item is different at order level. i gess this is the problem if am wrong please correct me.
    thanks
    Edited by: pandu123 on May 26, 2011 2:24 AM
    Edited by: pandu123 on May 26, 2011 2:32 AM

    Hi Pandu
    A/c deterimation error. 1st you check in customer master sales area data billing tab page with account assingment and go to material master u select particular material see in sales organization 2 tab with account assignment. and go to T.Code VKOA check the combination which is assiged A/c assingmnet group of customer and matrial account assingment group. If it is not come goto VFX3 and specify the customer execute and click on RELEASE FLAG. If it is error go to log see the digonsis.
    Kind Regards
    Chandra Mouli A

  • Account determination for posting area Aggr

    Hi experts,
        i'm very new to ISU and would like your help on an issue.i am using ETHIM to post mass act aggr posting for the serv prov.i get an error *Key selection not defined for application &1, posting area &2* msg no 005..
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    hi Deepak,
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    Regds,
    Naren

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