Import PO for different plants having diff. excise group
Dear All ,
How to capture & post the Excise Duty for an Import PO ,
Where the PO is created for different plants .The plants have
different excise groups.
Regards
R B Panda
The only way to do it is to assign a small notional value (like 0.01 USD) to the item, so that the conditions tab does not disappear.
The only problem will be that the GR/IR clearing account will have an open entry, which can be cleared via MR11 with minimum accounting impact.
Regards,
Aroop
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Number range userexit same type of PR but for different Plant
I would like to have the same type of PR but for different Plant, I would like to have different Number range.
The exit MM06E003 M06B0003 Mo=06B0004 not work for ME51N.
Any other exits help for thisHI
Put this code in EXIT_SAPLMEREQ_009
DATA pr_header TYPE mereq_header.
DATA pr_items TYPE mmpur_requisition_items.
DATA pr_item TYPE mmpur_requisition_item.
DATA: l_item TYPE mereq_item.
DATA: l_zmm_numrange TYPE zmm_numrange.
MOVE-CORRESPONDING eban TO l_item.
CALL METHOD im_req_header->get_items
RECEIVING
re_items = pr_items.
READ TABLE pr_items INTO pr_item INDEX 1.
CALL METHOD pr_item-item->get_data
RECEIVING
re_data = l_item.
CHECK l_item-werks = '6301'.
CALL METHOD im_req_header->get_data
RECEIVING
re_data = pr_header.
SELECT SINGLE * INTO l_zmm_numrange
FROM zmm_numrange
WHERE werks EQ l_item-werks
AND doc_type EQ 'PR'
AND bsart EQ pr_header-bsart.
IF sy-subrc EQ 0.
ex_range = l_zmm_numrange-numki.
ENDIF. -
Change the issue quantity for different plants
We are facing a problem in the following issue.
A material is being used in two plants. The material is procured from vendors in packets. The pack quantity varies for each plant for the same material since it is procured from different vendor. The base unit of measure for the material in the material master is maintained as NOS and the unit of issue is PAC. The alternative unit of measure in the material master can be maintained for only one PAC. If the pack quantity varies for different plant, how to maintain in the material master.
For example : -
Plant I u2013 Vendor A u2013 Pack quantity u2013 200nos.
Plant II u2013 Vendor B u2013 Pack quantity u2013 300 nos.
While creating reservation in plant II for one pack, the stock keeping quantity is 200 nos. On issue the issue quantity is 200 nos, but our requirement is the system should issue 300 nos. Kindly give solution to the problem.Hy afzal,
I don't think it is possible to maintain different Conversion factor for 2 different plant for a single material.
Acording to me there is 3 way to comeout of this problem.
1) Create different Material codes for both plants.
2) Insted of using alternate unit of measure use Batch specific unit of measure.But for this Materials are Batch Managed.
[Batch Specific Unit of measure|http://help.sap.com/bestpractices/BBLibrary/Documentation/Q24_BB_ConfigGuide_EN_US.doc]
3) Try to convince one of the vendor to change its packing qty/Packet.
Regards,
Dhaval
Edited by: Dhaval Choksi on Jul 31, 2008 11:25 AM
Edited by: Dhaval Choksi on Jul 31, 2008 1:26 PM -
Excise modvat accounts not defined for EWPO transaction and 13 excise group
Dear All
During execution of report in j2ier1 I am getting following error.
For One plant it is giving following error
Excise modvat accounts not defined for EWPO transaction and 13 excise group.
And for other plant it is giving following error
Excise modvat accounts not defined for GRPO transaction and 11 excise group.
Please give the inputs on this issue.
Thanks and regards
deeptiDear Laxmipathi
Thanks for your reply.I have checked as per your guidelines and found the following setting are already there.
EWPO Credit CENVAT clearing account
EWPO Debit RG 23 AED account
EWPO Debit RG 23 AT1 Account
EWPO Debit RG 23 BED account
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EWPO Debit RG 23 SED account
EWPO RE Credit CENVAT clearing account
EWPO RE Debit RG 23 AED account
EWPO RE Debit RG 23 AT1 Account
EWPO RE Debit RG 23 BED account
EWPO RE Debit RG 23 ECS Account
EWPO RE Debit RG 23 SED account
GRPO Credit CENVAT clearing account
GRPO Debit CENVAT clearing account
GRPO Debit CENVAT on hold account
GRPO Debit RG 23 AED account
GRPO Debit RG 23 AT1 Account
GRPO Debit RG 23 BED account
GRPO Debit RG 23 ECS Account
GRPO Debit RG 23 SED account
GRPO IP Credit CENVAT clearing account
GRPO IP Debit CENVAT clearing account
GRPO IP Debit CENVAT on hold account
GRPO IP Debit RG 23 AED account
GRPO IP Debit RG 23 AT1 Account
GRPO IP Debit RG 23 BED account
GRPO IP Debit RG 23 ECS Account
GRPO IP Debit RG 23 SED account
I have checked the these settings in the development and found that these are same.But on executing the same report in developement i am not geting the error for GRPO for the plant for which error is showing in production.
Please guide me.
deepti -
Excise modvat accounts not defined for CAPE transaction and TS excise group
Hi Guys,
Suddenly we are facing issue during exicse invoice capturing with MIGO
system is giving following error
"Excise modvat accounts not defined for CAPE transaction and TS excise group
Message no. 8I402
While in Excise account assignment table CAPE is Linked to Modvat Clearing Account which is further liked to correct GL
Can any one explain the cause of this issue Points will be awarded
Regards,
AshishHi
Pls maintain the following:
1. SPRO->Logistics General -> Tax on Goods Movements -> India -> Account Determination -> Specify Excise Accounts per Excise Transaction
Pls note the Sub Tansaction type is IP for ETT CAPE.
ETT <b>Sub Trn Type</b> DC Ind Account Name
CAPE IP CR Credit ONHOLD CENVAT on hold account
CAPE IP DR Debit ONHOLD CENVAT on hold account
CAPE IP DR Debit RG23AED RG 23 AED account
CAPE IP DR Debit RG23BED RG 23 BED account
CAPE IP DR Debit RG23SED RG 23 SED account
CAPE IP DR Debit RG23ECS RG 23 ECS account
2. SPRO->Logistics General -> Tax on Goods Movements -> India -> Account Determination -> Specify G/L Accounts per Excise Transaction
Check the G/L accounts for Excise Transaction Type CAPE and maintain the same G/L accounts for ETT CAPE with <b>Sub Trn Type IP</b>.
Hope this clarifies.
Thanks -
Excise modvat accounts not defined for DLFC transaction and 01 excise group
Dear All,
While creating excise invoice through i am getting the error Excise modvat accounts not defined for DLFC transaction and 01 excise group. So i am not able to save that excise invoice. we have used the TAXINJ procedure.
I had already maintained the settings SPRO > Logistics general > Tax on
goods mvmt > India > Business trasacttion > Outgoing excis einvoice >
Maintain default excise series group
and also maintained settings, SPRO > Logistics general > Tax on goods
mvmt > India > Account Determination > Maintain Subtransaction Types
Please help me inthis aspect to come out of this problem
Regards,
Suresh Yadav.Hi Suresh,
Maintain G/L accounts for DLFC transaction under SPRO > Logistics general > Tax on goods
mvmt > India > Account Determination > Specify G/L accounts per Excise Transaction.
Regards,
Rajesh -
Excise modvat accounts not defined for GRPO transaction and 50 excise group
Hi Gurus,
1.While saving an Outgoing Excise Invoice for a Factory Sale.(TAXINN)...... the system generates "Excise modvat accounts not defined for GRPO transaction and 50 excise group"
Can someone help me in this...
Thanks
Sasihi,
go tax on goods movement,acc.det.,specify G/L acc.for excise transactions
select your excise group, Excise Transaction Type (GPRO), Chart of Accounts, Company code & relevant GL Accounts & Save.
Now you can proceed.
Hope this helps you.
Thanks & Regards
Krishna Mohan -
Excise modvat accounts not defined for CAPE transaction and g1 excise group
hello
while doing migo of asset and capturing its excise
i am getting an error
excise modvat account not defined for Cape transaction and g1 excise group.
please help
thanks
vijay1. SPRO->Logistics General -> Tax on Goods Movements -> India -> Account Determination -> Specify Excise Accounts per Excise Transaction
Pls note the Sub Tansaction type is IP for ETT CAPE.
ETT Sub Trn Type DC Ind Account Name
CAPE IP CR Credit ONHOLD CENVAT on hold account
CAPE IP DR Debit ONHOLD CENVAT on hold account
CAPE IP DR Debit RG23AED RG 23 AED account
CAPE IP DR Debit RG23BED RG 23 BED account
CAPE IP DR Debit RG23SED RG 23 SED account
CAPE IP DR Debit RG23ECS RG 23 ECS account
2. SPRO->Logistics General -> Tax on Goods Movements -> India -> Account Determination -> Specify G/L Accounts per Excise Transaction
Check the G/L accounts for Excise Transaction Type CAPE and maintain the same G/L accounts for ETT CAPE with Sub Trn Type IP.
Regards
vijay -
Maintain number range object for object J_1IINTNUM, year 2009, excise group
Hi SAP Guru !
Plz tell me the solutions quickly, Even after mantaining the required Objects in "J1I9" , when I am going to post GR , once again it is saying that ........
1 - > Maintain number range object for object J_1IINTNUM, year 2009, excise group
Message no. "4F159" .
2 - > Maintain number range object for object J_1IRG23A1, year 2009, excise group 21
Message no. 4F159
3 - > Maintain number range object for object J_1IRG23A2, year 2009, excise group 21
Message no. 4F159
Regards,
Sandear sir
while maintain number range , in the number column, it should be 01. other than 01, you will get same error.
so please check it should be 01 in the number column and year and number range interval .
regards
jrp -
Excise modvat accounts not defined for GRPO transaction and 21 excise group
Hello SD Gurus,
I am getting Following message while process of reversing ARE1
I have followed following step to reverse .
1. go to transaction code J1ia101
2. select at reversal screen
3.give the created ARE1 doc no.
4. given the reson for reversal
5 go to utilization tab
6. give the payable amount in PLA bed Account
7. click on item display
8 click on balances
system gives following error message
Excise modvat accounts not defined for GRPO transaction and 21 excise group
Message no. 8I402
I have checked in SPRO for acount assignment in following path
Tax on Goods Movements --> Account Determination --> Specify G/L Accounts per Excise Transaction
Thanks for promt replyGo to IMG --> Logistics General --> Tax on Goods Movements --> India --> Account Determination --> Specify Excise Accounts per Excise Transaction.
Here maintain Excise Transaction Type GRPO with respective G/L accounts
thanks
G. Lakshmipathi -
Excise modvat accounts not defined for GRPO transaction and T1 excise group
Hi All
I am getting the error Excise modvat accounts not defined for GRPO transaction and T1 excise group
i have maintained this still iam getting the same error.
IMG -- Logistics - General -- Tax on Goods Movements -
India -
Account Determination --- Specify G/L Accounts per Excise Transaction
i have to maintained the assignment of exise group, ETT - GRPO, Co. code, chart of account & GL accounts for getting modvat.
Thanks in advance,Hi,
Check in the above path which you have mentioned whether you have maintained the G/L accounts for the Exicse Group & Company Code for which you are trying to do a excise posting.
Also check whether you have maintained the G/L accounts for all the columns ( esp the Modvat ) such as RG23ABED,RG23CBED etc..
Note:
Make sure you havent maintained any sub-transaction types for the above combination.
Thanks & Regards, -
Excise modvat accounts not defined for EWPO transaction and L1 excise group
Hi
I am getting this error 'Excise modvat accounts not defined for EWPO transaction and L1 excise group' while running J2IER1.
I have maintained necessary GL Accounts in 'Specify G/L Accounts per Excise Transaction'.
Kindly let me know, how I can solve this issue.
Thanks
HariHi,
Go to SPRO > Logistics - General > Tax on Goods Movements > India > Account Determination > Specify G/L Accounts per Excise Transaction
And maintain the G/L account for excise group L1, ETT EWPO and your company code
Regards,
Gaurav -
Materail for different plants.
Hi Experts,
One material is having different plants . if I create or change of material , I want to fetch the plant based on material.
Example :
Matnr 10043 plant UK01
Matnr 10043 plant UK02
Matnr 10043 plant UK03 ......If i make changes to Material 10043 for plant UK02 . I want to fetch UK02 value based on material 10043. Is there any key field to identifychanges to material-plant based on material from marc or any table ?
Thanks - VinayHi ,
Actually I am writing a program to fetch plant value based on material.
Thanks - Vinay. -
Number range of accounting document for different plants
whenever a billing document is created in SD (using the T-code VF01); an accounting document will be simultaneously created in the FI module. one document type(TS,number range---60:1 to 9999 ) have four plants .different plants have own number range and sequential document number .
eg: doc. type num.range fr to plant cty co code
TS 61 1 1000 PLANT_1 3100
62 1001 2000 PLANT_2 3100
63 2001 3000 PLANT_3 3100
64 3001 4000 PLANT_4 3100
How can that carry out this function ?
thank you for your help !Hi leung,
As Mr.Rohit has mentioned it has to be done with the z table and the available user exit.
Wht we have done is.we have created no ranges in obj rv_beleg.Eg
AA 0000000001 to 0000099999
AB 0000100000 to 0000199999
AC 0000200000 to 0000 299999.
Using the user exit we have created a Z table.And assignd for this ombination in the Ztable.
Plant X Billing type A AA
Plant Y Billing Type A AB
Plant Z Billing type A AC
Once this combination matches the appropriate invoice no range gets picked up.
Regards,
K.Vivek -
InfoPackage to load multiple flat file for different plant
Hi
There is a requirements to load the data from multiple flat files by different plant into BI which source data is coming from other system. Each flat file has it own naming convention.
As data has to load via infopackage into the targeted cube. Then I have to create multiple infopackage in order to load the data according to the number of flat files that provided. However, new plant will be created due to expansion of bussiness. If that is the case, additional infopackage is required to create as and when there is a new plant.
Is there a way to create a infopackage to load the data from flat file by plant? Your advice is much appreciated.
Thanks and regards
Kang RingHi,
The best way I can suggest is....
1. Create a folder in AL11 for your requirements.
2. In InfoPackage under Extraxction Tab you can have File Name , just side of this you can fine ABAP Routines ICon there you click on that and asks Name give some and then it will takes to your into ABAP Code there you can access the AL11 and then write code in such way that to take file irrespective of the File name, whatever the file is there in that Folder it ahoud take from that AL11 Folder path.
3. Load the Data using PC.
4.At the end of the PC Delete the File in AL11 folder , becasue we don't need it for next load.
Else
See the thread
Re: Automation of load from application server
Thanks
Reddy
Edited by: Surendra Reddy on Jun 4, 2010 11:03 AM
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