Import PO Invoice Verification

Hi,
As for Local PO the flow is
PO : ME21N,  J1IEX1 PART1 ,  MIGO,  J1IEX PART2, MIRO
But for Import PO
what is the  required FLOW  and why the MIRO is done before MIGO and J1IEX1 part1 FOR IMPORT MATERIAL .
regards,
zafar

Hi ,
You need to do MIRO for Customs dept first and then do the GR .This is because of Statutory norms which is defined by Department of Customs and central excise .The reason being you cannot show in your books the stock lying at the port before settling the customs Liability.In simple terms As per Cental excise act you can claim the ownership of the material only after you pay the Customs dept.
Hence we do MIRO for Customs followed by GR ,and then MIRO for the Import Vendor
Coming to ypur second query as to why Part 1 /2 needs to be captured in J1IEX.The reason behind this is you can avial the CVD(same as BED in normal purchase),ECS on CVD,SHEcess on CVD ,and additional duty of customs.
Regards
Sandeep
Edited by: sandeep13 on Nov 11, 2009 11:35 AM

Similar Messages

  • Auto a/c det for Invoice verification

    Hi
    What is the procedure for Automatic account determination for invoice verification? not for inventory managment
    What are the value strings for invoice verification
    Thanks
    Raju

    Hi,
    Account Determination: -
    Use: - When you post an invoice, the system updates various accounts in Financial Accounting. It determines automatically which amounts have to be posted to which accounts.
    Account assignment is based partly on your entries when you enter an invoice, partly on information stored in the system and partly on the system settings.
    Prerequisites: - The system administration must define and configure the accounts in the chart of accounts when implementing the ERP system in your company.
    Features: -
    ·        Your entries provide the following information:
    ¡        Which vendor account must be posted to?
    ¡        Which amounts must be posted?
    ·        The material master record provides the following information:
    ¡        Which valuation class does the material belong to?
    ¡        Which type of price control is required for the material?
    ¡        Which account must be posted to for the material?
    ¡        Is the stock available smaller than the quantity invoiced?
    ·        Posted documents provide the following information:
    ¡        What is the purchase order price?
    ¡        Has a goods receipt been posted for the purchase order?
    ·        The system settings provide the following information:
    ¡        Is the invoice posted as a net or a gross amount?
    ¡        Which G/L accounts must be posted to?
    Important Accounts for Invoice Verification: -
    The following accounts are particularly important for Invoice Verification:
    Vendor Account: - There is a separate account in the sub-ledger for each vendor that all amounts concerning this vendor are posted to. Making a posting to the vendor account is not the same as making a payment; payment is only made when the Financial Accounting department posts the vendor's payment to a bank account.
    Stock Account: - In the ERP system, there is no separate account for each material. Instead, different materials with similar features are grouped together in a common account (for example, raw materials: acids). The account relevant for a material is defined in the material master record when a material is created.
    The system only posts to the stock account when a price difference occurs for an invoice.
    GR/IR Clearing Accounts: - The GR/IR clearing account is an u201Cintermediateu201D account between the stock account and the vendor account. At goods receipt, the net invoice amount expected is posted to the stock account. The offsetting entry is posted to the GR/IR clearing account. This posting is then cleared by an offsetting entry on the vendor account at invoice receipt.
    Tax Accounts: - The system makes postings to special tax accounts when invoices include tax.
    Price Differences Accounts: - Price differences have to be posted to a price differences account if price differences have occurred in an invoice and when invoices are posted net and no posting can be made to the stock account.
    Cash Discount Clearing Account: - When you post an invoice net, the cash discount amount is taken into account in the invoice, it reduces the value of the items; the offsetting posting is made to the cash discount clearing account, which is then cleared when payment is made.
    Freight Clearing Account: - The stock account is debited with the planned delivery costs at goods receipt and the system makes the offsetting posting to a freight clearing account. This posting is then cleared by an offsetting entry to the vendor account at invoice receipt.
    Also refer link;
    Account Determination for LIV

  • Invoice Verification for IMPORT PO(ASSET)

    Hi All,
    User has created Purchase order against Import Material for asset with Account Assignment category as A.While invoice verification for basic customs duty,ECS and HSES, system debiting the GL account for Asset instead of CenVat clearing.
    In case of PO against import material for asset with out account assignment category as A, system debiting the cenvat clearing account accurately.
    Current Accounting Entry
    Commissioner Of Customs Credit
    Asset under construction(CWIP) Debit
    Required Account Entry
    Commissioner Of Customs Credit
    Cenval Clearing - Debit
    Customs deposit a/c - Debit
    It is bit urgent.Please provide the solution.
    Santosh

    Hi,
    Go to SPRO > MM > Purchasing > Account Assignment > Maintain Account Assignment Categories > Here for "A", remove "GR Non-Valuated" indicator and then try.
    If it is not working for old PO then create new PO and then try.

  • GR for import Vendor before Invoice verification of Customs clearing agent

    Dear MM Gurus,
    I have a client requirement as follows,
    Its a Import purchase with Batch management
    The Import PO is created without taxes because the client does not know the exact taxes applicable.
    The client gets invoice from the vendor only after 7 days after he receives the material.
    But they want to do GR for the material as they need the material urgently for their production before doing Invoice verification for the customs clearing agent.
    In such a scenario how to go about with invoicing for the clearing agent and subsequent posting of taxes .
    Is there any standard procedure available or any round about solutions or user exits. Your suggestions and solutions will be highly appreciated.
    Thanks in advance.
    Arul.

    You can do GR and then do the MIRO for planned delivery costs i,e all the taxes to be paid to customs and then do MIRO for the cost of materials

  • Invoice verification with GR based IV for import PO

    Hi all,
    Kind advice required here.
    We have an import PO where the vendor in VMR has the GR based IV indicator disabled which enables us paying up the custom duty IV.
    Now we receive the goods in partial quantities and there are several GRs for the P.O.But whenever we go in for the IV of the GRs the system is accumulating the GR quantity and giving a single figure & quantity (due to that indicator in VMR ).
    Is there any way by which we can make the IV on GRN basis?
    Because it is requiring manual entries at the time of IV.
    Thank you

    Dear,
    If you create invoice verification against good receipt system give error "Invoice Quantity is greater than good receipt quantity".
    So please check Subsequent Debit in MIRO against good receipt.
    Regards,
    Mahesh Wagh

  • Invoice Verification for Import PO

    Dear Friends,
    We are going live. We are uploading data. For certain Imports, For 10000 Kgs, Import Duties has been paid in february, Out of which, 5000 kgs has been received. For Remaining 5000kgs GRN is pending. So we are creating PO for 5000 Kgs. For these, Invoice verification for custom duties is required for reference during MIGO. So how to create this invoice. What way we have to do this? Please suggest...
    Regards,
    Sridhar

    do MIRO for customs before going for Goods receipt.
    enter PO number no and select  "planned delivery goods" and enter other details and post the document
    go to J1IEX and capture the details ,, go migo and again go to J1IEX and post the document

  • Imports Invoice verification

    Dear Gurus,
    I have following qurey.
    1.For Imports, Invoice verification is done twice i.e. one for Duty and another for Material Can it be clubbed and done by a single transaction.
    2.In case of import verification multiple vendors are associated viz. GOI, Insurer, C & F agent, main vendor etc. Different amounts has to be paid to these vendors. IV can only be done for single vendor at one time. In such a scenario multiple invoicing has to be made for different vendors.
    Please provide your valuable inputs.
    Thanks in Advance.
    Thank you
    Regards
    Amar

    hi
    if u didnt got the answer then why u close the thread
    plz check following doc
    http://help.sap.com/bp_bblibrary/600/html/J83_EN_IN.htm
    reward if helpful
    regards
    kunal

  • Modulepool for import invoice verification & subcontract adjustments

    Hi,
    any one can help me to development of Module pool program for Import Invoice verification.....pls give me atleast guidelines if you are not giving copletedetails. and also another one to develop of Module pool program for Subcontract adjustments.
    thank you in advance...
    with regards
    bheem

    Hi Madan,
    Please check If you have already captured excise. You have to refer excise invoice while doing MIGO. Also ensure the correct excise invoice no. is entered (or) look at J1I7 report to find them.
    Thanks,
    Kumar

  • Excise Duty (IS-OIL) - Invoice verification and accounting ED

    Hello experts,
    I have a case in my importation process with excise duty (IS-OIL). I have the following scenario: Purchasing Ed free material and receive it in ED paid Storage Location. So I use Handling type 00 and Valuation type TAX in the PO excise duty item data. I woul like to kwon Which is the standard process for the invoice verification of the excise duty cost when the handling type is 00 and the valuation type TAX?. And How can I do the invoice verification (MIRO) if there is not a specific line in the purchase order history for the excise duty cost?
    I have another case in the accounting of movement type 301 (transfer posting between 2 plants). The accounting posting is the following:
    Examle:
    Account                       Transaction
    1. STOCK FUEL          S                    BSX (Stock account)
    2. STOCK FUEL            H             BSX (Stock account)
    3. STOCK EXCISE DUTY     S             SVO (ED Account)
    4. EXCISE DUTY FUEL           H             ZZP (ED Account)     
    The problem is that the 4th account must be STOCK EXCISE DUTY ACCOUNT from SVO transaction.
    I would be grateful if someone could help me with these cases.
    Thank in advance.
    Pablo

    Dear Prashant,
    Thanks for reply, but i checked my excise cond types, in all conditions, cond cat is blank & cond class 'A' is maintained i.e. Discount & Surcharge.
    My problem is that, my excise value is not got posted in net receivable value in accounts. This problem arise, when we make sales order, Net Value field doesn't pick excise there & while invoicing, it post only the base value & rounding off adjustments at header level. I don't know, from where this Net Value field in sales order is picking the value but my problem will solve if my grand total value(base valueexciseedu cess+higher edu cess) will pass to Net Value field while making sales order. Kindly help.

  • While invoice verification system calculating tax on delivery costs also

    hi Guru's
       i am facing problem that , wile invoice verification system calculating tax on delivery costs also , and when i am removing tax code in front of dilivery costs , invoice is not posting , i can use zero tax code for delivery costs , but i dont want to use  any tax code for delivery cost , what should i do 
          please help

    HI,
    invoice is not posting , i can use zero tax code for delivery costs , but i don't want to use any tax code for delivery cost , what should i do
    You have to use tax code for that with ZERO tax code,its like import condition where we used zero tax code
    No other option!!!
    Regards
    Kailas Ugale

  • System messages related to Invoice Verification

    Hi Experts,
    Could you please explain when system will issue below four messages during MIRO (Invoice verification) transaction.
    M8   286   Different invoicing party & planned in purchase order & E E
    M8   287   Different invoicing party & planned for del. costs item in PO & E E
    M8   288   Different invoicing party & planned in purchase order & E E
    M8   289   Different invoicing party & planned for del. costs item in PO & E E
    Generally whenever business users are creating invoice with the vendor other than the PO vendor, system will issue these messages.
    But for above mentioned 4 messages, description is almost same. That's why I am confusing. In my case message nos 286 & 288 are very  important.
    I am getting messages no 286 during creation of Invoice with different vendor other than PO vendor.
    So for the remaining 3 messages, I am not able to test business processes.
    Could you please explain when system will issue these messages (other than 286) during MIRO.
    Thanks in advance
    Regards
    KRK

    Hi,
    As per my knowledge the first 2 (286,287)are standard and other 2 are copied from standard they only change that message numbers.
    Thanking you

  • Invoice verification and logistic invoice verification

    Hello,
    What is the different between invoice verification and logistic invoice verification?
    My Japanese client need to work with t.code: VXJ2 - customs declaration for import billing documents - Japan
    When i run this report, it finds no data.
    I read the help for this transaction and it says that only invoice verification (and not logistic invoice verification) is supported for this transaction.
    Best regards,
    Avishai Kaplan

    Hi Avishay, 
    Logistics Invoice Verification 
    Logistics Invoice Verification is a part of Materials Management (MM). It is situated at the end of the logistics supply chain that includes Purchasing, Inventory Management, and Invoice Verification. It is in Logistics Invoice Verification that incoming invoices [Seite 11] are verified in terms of their content, prices, and arithmetic. When the invoice is posted, the invoice data is saved in the system. The system updates the data saved in the invoice documents in Materials Management and Financial Accounting.
    Logistics Invoice Verification is closely integrated with the components Financial Accounting (FI) and Controlling (CO). It passes on the relevant information about payments or invoice analyses to these components.
    Features:
    In Materials Management, Logistics Invoice Verification has the following features:
    u2022 It completes the material procurement process, which started with the purchase requisition and resulted in a goods receipt.
    u2022 It allows invoices that do not originate in materials procurement (such as services, expenses, course costs) to be processed.
    u2022 It allows credit memos to be processed, either as invoice reversals or return deliveries.
    Invoice Verification 
    The main aim of invoice verification is to ensure that vendors are paid the correct amount at the right time ( not too late but also not too early ). The process should have a high incidence of fi rst-time matching, to ensure that as little time as possible is spent trying to manually match invoices that appear to be incorrect.it is important to include as few steps as possible in the process, considering that the process of handling payments
    does not in itself add value to the company or to the vendor.
    Main steps: 
    The capture of the vendoru2019s invoice details
      The matching of those details to the details that we
    believe to be correct
      The investigation of any mismatches
      The release for payment of matched invoices
      The accounting entries involved ( including taxes and
    delivery costs )
      The details recorded for audit purposes 
    Hope this information helps you out in understanding the differences  between the two
    I ncase of any further clarification do put a message
    In case if this information is of any help to you please do reward accordingly
    Thanks  & Rewards
    Pavan

  • RE.Can We do (MIGO) Batch No based Logistics Invoice Verification(MIRO)

    Dear All
    While doing invoice verification reference to MIGO Doc. we are not able to see Vendor Batch No field in MIRO Screens.
    I.e
    Item No. 10  100No's as per DC/Invoice Received stores were Accepted. But in Production QC Accepted 80 No's 20 Rejected in Batch.625268.
    Batch.625261 = 20No's
    Batch.625268 = 25No's
    Batch.625263 = 25No's
    Batch.625305 = 40No's
    While doing Invoice verification FI do MIRO only for accepted qty. But FI User reduced Qty. in Batch 625263 instead of 625268.
    Because in MIRO screens We are not able to find Vendor Batch Field form MIGO.
    Please advise how to GET Batch Field in MIRO Screen.
    Regards:
    P. Ramana Reddy.

    Hi Anil,
    could you tell me which PO type to be used in such case.
    Secondly it is quite confusing to me.
    In your reply, you had mentioned that you post the inbound delivey document prior to booking the CVD using MIRO. then how you are able to post it again using VL32N (change Inbound delivery Transaction)
    Actually i'm looking for scenario as mentioned below.
    1 Import PO is created with all applicable tax condition
    2 Inbound Delivery is created (using VL31N), but not Posted.
    3 MIRO Invoice is booked for CVD Duties.
       For MIRO Invoicing System Should propose the Qty and Value based on the inbound delivery
    4 then we will do the Good Receipt either from VL32N( by Posting the Inbound Delivery) or from MIGO against Inbound delivery.
    5. Later we will post the Vendor Invoice.
    In Step 3, if i have to book the MIRO (CVD Portion) Manually, then i have no issue in my process.
    Can you through some light on how i can make the system to propose the CVD Value while creating MIRO for custom duties.
    Regards,
    S Anand

  • Alternative recon gl at invoice verification level (MIRO)

    Hi sap gurus,
    Plz help me in this regard.
    can we change the reconciliation account at invoice verification stage (miro).
    I tried by doing through alternative recon configuration and i did all configs by flaging on the recon acc ready for input in gl accounts, and again maintaining same ledger accounts in alternative recon configuration.
    but i got the result in f-43 but not in miro. Please any one help me in this regard.
    my requirement for the above is in our org one vendor is both domestic and import.
    in his case we have to enter any one recon account. so, what i am thinking is if it permits to change recon account at miro level we can select either import or domestic recon acc.
    best regards,
    ravi.K
    Edited by: ravi kuruba on Apr 22, 2008 1:38 PM

    hi,
    thank you very much for imm response and one thing it is possible to change rec acc in vendor master record, but it is not affected rec acc at miro level for that transaction.
    in detail button we see g/l that is reconciliation account I want to change that one.
    please try to give some valuable information.
    thanks and regards,
    ravi.k

  • Logistics Invoice Verification - Configuration

    Hello Friends
    Please explain the importance of below configuration path related to Logistics Invoice Verification.
    SPRO - Materials Management - Logistics Invoice Verification - Incoming Invoice - Tax Treatment in Invoice Reduction
    What is the meaning of Tax reduction in complaint document and Tax reduction in original document?
    I have gone through the help (F1) but I am not 100% clear on this topic. Hence request for your explanation with an example.
    Best regards
    Vijayakumar TVN

    Hi, have you checked help.sap.com..see below links:
    http://help.sap.com/saphelp_46c/helpdata/en/3f/cb2d28e4ded31184080004aca6e0d1/frameset.htm
    http://help.sap.com/saphelp_46c/helpdata/en/27/098ba835e1d311ba4d0800060d888b/content.htm
    http://help.sap.com/saphelp_470/helpdata/en/a8/b99284452b11d189430000e829fbbd/content.htm
    yogesh

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