GR/IR Clearing GL Account Reconciliation with MR11

Hi Friends,
Normally there is always a difference between the Delivery and Invoice, i.e. either Delivery Surplus or Invoice Surplus, the report for which we can generate from MR11, using the quantity variance - Less than/Equal to 100%. However, we notice that the total of this report does not match with the net balance in the GR/IR Clearing GL Account. Is there a particular reason for the same? And how can we find out the difference?
Also is there a report that can give us the Supplier Wise - Details of the GR/IR Clearing GL Account?
Thanks for the help.
Regards

Hi Jigar,
Thanks for the response. We checked and found the reports to be matching. The selection paramaters were not correctly defined.
Regards

Similar Messages

  • Reconciliation of MR11 Report - Del/Inv Surplus with GRIR GL A/c

    Hi Friends,
    Normally there is always a difference between the Delivery and Invoice, i.e. either Delivery Surplus or Invoice Surplus, the report for which we can generate from MR11, using the quantity variance - Less than/Equal to 100%. However, we notice that the total of this report does not match with the net balance in the GR/IR Clearing GL Account, even though use the same date for the movements are used in both the reports. Is there a particular reason for the same? And how can we find out the difference?
    Also is there a report that can give us the Supplier Wise - Details of the GR/IR Clearing GL Account?
    Thanks in Advance.
    Regards

    The Report talied after using the correct selection parameters.

  • Document type KR is not picking to Clear GL account with T-code F-03

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    Hi,
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    Regards,
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  • Not able to clear bank statement accounting entry with payment document.

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    Hi
    I implemented the EBS in my company 4 month ago and here are some advises on the problems i experienced in the setup process. As for the setup process it is straightforward just read the manual at help.sap.com.
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    The people in our accounting department complained alot about the output format in the EBS not being userfreindly compared to the advises they recieved in e-mail form from the bank so if not the bulk of your payments can be processed automatically it might not be worth the trouble to implement it. (i still think they uses the the email to postprocess the transactions that was not automatically cleraed)
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  • Process flow of excise duty from procurement to sales accounting entry with amount.

    Dear Expert ,
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    Akshaya

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    CENVAT Receivable (S & H) A/c - Dr
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    PLA Payment (Ecess) A/c - Dr
    PLA Payment (S & H) A/c - Dr
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    COGS A/c Dr
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    2. Billing Document
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    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

  • Auto clearing of Accounting entries posted via MIRO & MR8M

    Hi Gurus,
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    Subject accounting document is there in the open items (FBL1N) and the corresponding reversal accounting document (Generated via MR8M) is also reflecting in the Open items (FBL1N).
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    Since both of our accounting document (generated via MIRO & MR8M) are appearing in Open items system is referring that in our Duplicate Invoice check development which we want to avoid.
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    Shridhar

    Hi Prasad,
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    In stead of F-44, we can set the F.13, background scheduling with daily execution and can clear the documents. Background execution in the night will occupy our space hence need instant result if possible. As well as background execution will happend in the timing after office hours so could be the case that before doing auto clearing someone may get the concern cancelled accounting document pertaining to the cancelled MIRO (Vendor Invoice - Line item) in the open items.
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  • Charge off difference whening clearing customer open item with bank receipt

    Hi,
    Our company users will use F-32 to clear customer open item with bank receipt, sometimes, our invoice is 100 RMB issue to customer, the customer finally pay 99.98, then in F-32, we use charge off difference to post 0.02 difference to a account.
    The user then want to control this, saying for example, if the customer pay only 90, whening using charge off differnce, the system will pop up a error message.
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    Thanks.

    Dear,
    This is done through customer tolerance group using transaction OBA3. Here enter the maximum amount in Loss under the Permitted Payment Differences. you are able to hold tolerance for customer clearing.
    Is this what you wanted?
    Regards,
    Chintan Joshi.

  • Automatic clearing by Account ID (HKTID)

    Hello,
    I want to clear several invoices with one unic payment, the way I choose to clear is by account id (as in the assignment field I have the invoice number informed  when the case is one invice one payment clearing).
    I already have created at OBA7 the following condition:
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    D     1     9999999999     HKTID
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    Thanks for your help
    REgards

    Notice, thera are no automatic clearing in SAP without manual execution start. You must use F.13 and define rules for clearing as I said.
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  • F-03 Clear GL account

    Hi Experts,
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  • Can we clear more line items with different currency within one Vendor

    Dear All,
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    Regards
    Srinivas

    Hi
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  • Bill Accounting issue  frieght clearing  provision account is not getting

    Hello Experts
    Subjcet: Bill Accounting issue  frieght clearing  provision account is not getting cleared at the time of accounting.
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    Hi,
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    Vikranth

  • Automatic clearing of accounting document

    Hi,
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    aman

    Hi All,
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    -Regards
    Kapil

    Hello,
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