In PO taxes value are showing negative

Dear all,
I am facing problem that in some po of the same material showing negative value when we see in taxes of invoice tab. Please guide why this is so...

Hi,
Please open condition from M/06 and check option Plus/minus ,it should be A-Possitive as per your requirement.
Also check tax procedure in which the value of tax condition is maitained , change above setting and then provide new value for tax condition in +ve value.
Hope this will resolve your issue.
Regards,
Sandesh Sawant

Similar Messages

  • Inventory cube - non cumulativekey fig values are showing -ve values

    Hi Guru's,
             For Improving the performance of inventory cube *0IC_C03
    The following steps i did:
    1) Created History cube by taking a copy of actual cube (0IC_C03).
    2) Transferred all the four years of data (2007, 2008, 2009, 2010) to history cube(4 yr data) as a back up to do clustering and for cube remodelling.
    3) After doing all these, loaded the current 3 years (2008, 2009, 2010)data back to the actual cube and kept one year data in the history cube (2007) (i.e maintained only recent 3yrs data in actual cube).
    5) Created a multiprovider includes actual and history cubes and populated the existing report on top of the multiprovider.
    6) After purging one year data from the actual cube, stock values in the reports are showing negative values
    7) To clear that issue i loaded the 2007 year data back to the actual cube (now the cube has all years data as it was before) to avoid the negative stock value, but again stock values are showing negative values.
    How to solve this issues in inventory cube..
    how too eliminate the negative value in reports which was working prperly before data purging( removing the first year data from the actual cube)

    Hi prayog.. 10q for answering... Yeah i went 2 the data targets. And the forumlae is already wrriten like this IF( Debit/Credit = 'H', Qty in OUn, ( 1- * Qty in OUn ) ) for Actual Consum. K.F and IF( Debit/Credit = 'H', Amt. in local curr., ( 1- * Amt. in local curr. ) ) for Amount.....
    So i already said that from one of the infosource the data is flowing through ODS and then 2 CUBE. So i checked out the data in ODS with the movement type and posting date as per in the Report.. I selected the 'Debit/Credit' = H and Movement type and Posting date... But in ODS o/p the keyfig's are not displayed..... This is the problem...
    Cheers,
    Hemanth Aluri...

  • Excise invoice taxing values are not getting updated

    Respected Members
    I have created a sales order and and done the billing and while creating of billing it creates excise invoice.
    Problem is that billing document and accounting document showing the values of BED and taxes but when we go to tcode j1iin and see the excise invoice ,it is not updating the values of tax there.
    There it is showing zeros everywhere in BED AED NCCD etc.
    Please help me out to solve the issue as soon as possible.
    I have copied the pricing procedure TAXINJ to TAXIND and set the values .
    Please tell me where where i have to check the configuration for solving the issues.
    Thanks a lot
    GIve your suggestions as soon as possible.

    Hi,
    Please check with the Customer and Material Statistics group in the Customer and material master respectively.
    Further check with the LIS settings (Sales Area combination with the Update group).
    Reward points if this helps you.
    Regards,
    Harsh

  • Import PO,In J1iex values are showing in USD

    Hello,
    While creating the Import PO. I hace created the Import PO for Our vendor is using the Currency "USD"
    After creation of PO... I go to Custom clearing vendor MIRo... Created the MIRO for BILL of Entry...In Simulte Button i have cliecked the Disply currency field .. And Changed that all to INR... Post from there only.
    While When i go for J1IEX to capture Excise Invoice wrt to PO.. the here the values showing , Excise base value is in INR,, and remaining Values(BED,ECS,SECEss, and AED are in USD).
    why it is showing like this.
    Regards
    sapman man.

    Hai,
    Do the following steps for Import Po
    in ur pricing u have to create following
    JCDB IN: Basic Custom Duty
    JCV1 IN : CVD
    JECV IN : Ed Cess on CVD
    J1CV IN : H&SECess on CVD
    JEDB IN : Ed Cess on BCD
    JSDB IN : H&SECess on BCD
    JADC Additional Duty of Custom
    JCV1, JECV, J1CV and JADC will go to Excise MODVAT Accounts and JCDB, JEDB and JSDB will get loaded on inventory.
    In M/06, for all above conditions, keep following controls;
    Cond. class A (Discount or surcharge) Plus/minus A (Positive)
    Calculat.type A (Percentage)
    Cond.category B (Delivery costs)
    Activate "Currency Conversion" and "Accrual"
    now for setoff
    maintain the following conditions in excise default settings.
    JCV1, JECV, JADC
    path: spro>logistic general >tax on goods movements>india >basic settings>determination of excise duty >maintain excise defaults >
    along with ur taxprocedure maintain these conditons in the specified fields
    JCV1 in CVD condition field.
    JECV in ECS conditon field.
    JADC in ACD conditon field.
    in case of secess on CVD, no need to maintain.
    it is hardcodded in the standard
    Vendor in GR 2 (Entry always possible)
    Import scenario
    1.Create material master of import goods.
    2.Create vendor master record of import vendor and Customs clearing vendor.
    3.Maintain CIN settings.
    4.Maintain J1id.
    5.Maintain Pricing procedure SAP standard JIMPOR..,maintain required conditions..JCDB,JCV1...
    6.Assign the schema to respective import vendor in Purchasing view of VMR.
    7.Create import PO ,check in conditions of JCDB, JCV1 the customs clearing vendor(Indian vendor) and percentage is assigned..This can be done by In condition tab select condtion then click on display,then enter.
    Save the PO.
    8.MIRO --Capture Bill Of Entry.(Commercial Invoice No.,).Customs clearing first .Here CVD will b converted to BED.
    9.Capture Excisse invoice--j1iex.
    10.MIGO.
    12.Post Excise Invoice.
    13.MIRO...Payment to vendor(import vendor)

  • The output values are showing different

    Hi,
    the infobject of 0FISCPER listcube output and the same infoobject is showing different values in query output . Some thing is problem in this infoobject . Can any one please give the solution i will award the points.
    Regards
    RK

    Hi Rama krishnan,
    Check the infocube contents for this field and Compare with the query result. if they are not matching then.
    Use RSRT tcode to debug the Query and trace the value of 0FISCPER.
    Note: Check the transformation (update rule) for 0FISCPER. see whether the automatic TIME-CONVERSION is used. it it is used then the system will convert the value.
    this might help u.

  • EHP6 to EHP7 Upgrade Issue: Junk Values are showing for BW data source

    Hi,
      We are upgrading ECC from EHP6 to EHP7. We have custom data source which is build on custom Info set and Info set is built on Pooled table ZXXX. Datasource is showing the junk values in RSA3 after upgrade. I have re-generated the Info set and tested but no use. Below is the RSA3 data screen shot. Can anyone suggest me to oversome this?
    Thanks,
    Prasad

    Hi Prasad,
    Few things to check:
    1. Pooled table data for which the datasource is created.
    2. Reactivate the extract structure - check the dataelement also for date.
    3. Is there any custom code present in Infoset? - if yes then it may be possible that dates are being calculated in that custom code and wrong format is being used there.
    Thanks
    Amit

  • In VF03 display mode, Tax values are getting changed

    Dear Guru's
    We have implemented a routine for MWIG tax calculation in sales order. But we are not seeing the same values in billing document. I am not sure how i am seeing different values for tax in display mode, If i double click on MWIG i am seeing correct value, but on the screen it is different value. Any suggestions on how can i make sure the same routine from sales order is applied in billing document.
    Thanks
    Deepu

    Hi,
    I am assuming that both sales order and the billing document have the same pricing procedure. (and likely so).
    The pricing engine runs on every mode. i.e. creation/change and display mode. Sometimes, some of the values do not flow into KONV, KONP structures (or XKOMV, XKOMP) during the display mode at the first go. So, if you are comparing some of the values with these structures, then, it might not be successful.
    My suggestion here is, put a debugging point in the routine that you have assigned to MWIG and go into the document using VF03. System will go into debug mode. There you can see which value is not being filled or why is the condition not getting satisfied. That way you can be sure what exactly needs to be done.
    Hope this helps.
    Regards,
    Mukund S

  • How can this happen? Quantity Field values are showing doubles in ODS

    Hello BW Gurus,
    I have a staging ODS, on top of it a reporting ODS and a cube. I have loaded the data from flatfile to the staging ODS which looks perfectly fine but coming to the Reporting ODS and the cube, the values in quantity field are doubled. If it was just cube where the values were doubled then I might have thought it could be due to double time loading or may be because of duplicate records. But I can see the Quantity values doubled in reporting ODS (which has Overwrite option).
    Does anyone has any clues? when we had this issue couple of days back - I have deleted the request from Reporting ODS and Cube and re-loaded it which looked perfectly fine.
    But today our issue is back - is it not strange?
    help me if you have any thoughts and thanks so much,
    Swathi.

    Hello Dinesh and Vikash,
    My issue has taken a twist and here is the new problem:
    on Friday the report was fine
    on Saturday the report was fine
    on Sunday we had problems with Reporting ODS as it was  showing all double values. (I cleaned the reporting ODS and Cube and reloaded the data) after that the report worked fine.
    on Monday the report was fine
    on Tuesday again we got duplicate values (for few plants) now in staging ODS as well, which has completely with 'overwrite' option with one to one mapping with no routines.
    I loaded the same file in DEV. and this was working fine?
    I debugged the code that was fine too.
    I think this is a strange Issue.
    Please let me know your ideas,
    Thanks so much,
    Swathi

  • Excise values are not showing in billing

    hi all,
    In RG23D register BED, AED, ECS values are showing correctly, but in order (VA02) or in billing (VF01) excise values are not showing. So, what could be the reason and what need to be checked?
    thanks.

    mohan prabu,
    Its Surprising, how come it is not appearing in Order and billing but yet it is passed to register RG23D.
    1. Check Whether you have maintained those condition types in your pricing procedure.
    2. Check whether you have maintained VK11 i.e., Values for those Excise Condition Types.
    3. Check whether you have activated Statistical indicator for those condition types.
    4. Proceed performing Analysis in Item details --> Conditions Tab --> Click Analysis tab provided to check whether the conditio types has been executed or not.
    5. Check your Config Settings
    IMG --> LG --> Tax on Goods Movement --> India --> Basic Settings --> Determination of Excise Duty -->  Maintain Excise Defaults
    Check these initially and let us know your outcome...
    Regards
    Sathya

  • Tax Line items are  showing seperately as per exp in FB60

    Hi,
    In FB60, I have booked the two expenses with same tax code. While simulating the entry the tax lines are showing separately as per expenses. For example:
    Suppose my tax code = AB which is equal to 10% maintained in FTXP.
    At present entry is coming as follows through FB60 is:
    Debit Postage expenses 450 tax code AB
    Debit Postage expenses 450 tax code AB
    Debit Tax 50
    Debit Tax 50
    Credit Vendor 1000
    But we need the entry is follows
    Debit Postage expenses 500 tax code AB
    Debit Postage expenses 500 tax code AB
    Debit Tax 100
    Credit Vendor 1000
    Please let me know where did I do the mistake in configu2026u2026..
    Regards,
    Nikhil

    Hi
    Dont enter tax line itmes manually, just enter the tax code in exp line items and select calculate tax check box then simulate
    So that system will generate automatic single line item as per your wish
    Reg
    Vishnu
    Edited by: vishnu g on Feb 10, 2012 3:21 PM

  • Please tell me in which tables tax related values are stored in for FI/CO .

    Hi,
    Iam working on a FI/CO report, and I need tax values to calculate the total loaded cost i.e. (Material cost + un-planned cost + taxes)  for the parked PO.
    the fields that I will use to search the tax values are tax codes(MWSKZ) & the tax jurisdiction code(TXJCD).
    Please help me out to find the tax values.
    Thanks in advance.
    Regards,
    Sanjay.

    Hi,
    you ask: But what before the invoce is posted? where are the taxes stored.
    what do you mean exactly ?
    the tax-condition? - they is stored in tables KONP/V
    -> you can get the values with fm RECP_FI_TAX_CALCULATE
    and you can calucalte tax with fm's:
    CALCULATE_TAX_FROM_GROSSAMOUNT
    CALCULATE_TAX_FROM_NET_AMOUNT
    A.
    Message was edited by: Andreas Mann

  • Lov Values are not showing for Discoverer Reports in Application

    Hi,
    I developed some discoverer reports, those reports having parameters with LOV. Those LOV values are showing in Discoverer Desktop, but after registering those reports in Oracle applications those LOV values are not showing. Pls let me know how resolve this issue.
    Regards,
    Hanimi.

    Hi,
    Also it is necessary to know how the LOVs are defined. Are they based on Application flexvalues for example? In which case it may be that you have not got your NLS language parameters set correctly when connecting from Applications.
    Rod West

  • Inc tax prices not showing??

    I have a strange problem, for some reason the tax inc prices are not showing where they should.
    see site eg product:
    https://simona01.worldsecuresystems.com/simona/tops/black-and-white-spot-oversize-top
    In the large product page the inc tax price is displayed, which is correct.
    However when you add that product to the shopping cart, the shopping cart summary shows ex tax price. (either I'm going mad or this used to be ok up until today??)
    Then the shopping cart also shows ex tax, even when I have the {tag_productinctaxamount} inserted.
    The tax rate also shows 0% when it should be 10%
    So of course I checked the product entry, all is correct. Have checked a couple of other items, all the same problem.
    Ahhhhh! Store was just about to go live!

    I am having a similar problem the tax value is showing initially but when selecting the destination state for the tax the actual tax value disappears. Subsequently when adding another sale item to the list the second item's tax is initially displayed but disapears when adding a third sale item! Can anyone shed some light on this please?

  • Deductible tax value is not displaying in MM pricing procedure

    Dear Team,
    We are using the TAXINN condition for ED,VAT, CST and ST.
    ED and CST are the Non-deductible taxes. We are taking the input credit for other two conditions.
    All these tax values are correctly displaying in "Invoice tab-Tax". From these, non deductible tax values (ED & CST) are displaying in MM pricing procedure in NAVS condition type. But the deductible tax values (VAT & ST) are not displaying in MM pricing procedure. JEXS condition is also available in MM pricing procedure
    Could you pl provide the suitable solution to display these values in MM pricing procedure.
    Thanks & Regards,
    R.Saravanan
    +91 9003024258

    Hi,
    I've the same problem that you. Do you remember which solution you used ?
    Thanks in advance,
    A. BARBIER

  • Excise values are not copied to Commercial invoice in trading process

    Hi All,
    I have an issue while creating VF01 the Excise condtion values (BED, AED) not copied to commercial Invoice.
    Other inputs about the scenaio:
    The process is 1Customer schduleing agreement->outbound delivery->J1IJ->commerical invoice(VF01)
    We had vendor agreement in which 3 line items were crated with qty of 500, 1000 and 1500 qty
    for the first line item when we created total cycle upto VF01 the Excise values are copied where as for the 2nd and 3rd line items the excise values are not being copied to VF01. Here note the only difference beween these 3 line items is mateial code is different.
    J_1irg23d table is showing the BED and AED condtion values for the 2nd 3rd line item aswell.
    Checked PO also for the 2nd and 3rd line item showing the Excise tab in which Excise values are showing.
    MIGO and MIRO were created with correct PO only
    We maintan the condtion reocrds for BED and AED as 100%, what ever the Excise values maintained in MIRO the same will be copied to VF01.
    Once again just would like to reconfrim the issue is out of 3 line items of the sheduling agreement for the first line item BED and AED are copying to VF01 where as for the 2nd and 3rd line item BED and AED values not copying to VF01.the only difference is material code between the line items.
    Please let me know if you need any further details.
    Thanks in advance.

    Thanks sir for your reply.
    have you declared the receiving plant from overseas as a Depot?
    Yes  it was defined as depo plant in configuration of plant settings.
    Actually i should have mentioend total cycle before. However, i have mentioend in my OP as
    MIGO and MIRO were created with correct PO only
    But anyway please check my total cycle as below.
    ME31L (vendor agreement)
    MIRO(customer custom vendor payment)
    MIGO(with ref Vendor agreement/PO) here the excise duties are captured as well, we will not do seperately JIIG.
    MIRO( actual vendor payment)
    VA31(customer agreement )
    VL01N(outbound delivery)
    J1IJ(with ref delivery) here we sellect the MIRO invoice
    Vf01( commerecial invoice)
    Upto J1IJ all the values calculated and copied ok. Only during VF01 the BED and AED values anot being copied. Even i tried the update button but not updated.
    For time being we are entering the BED and AED condition values into VF01.
    thanks,
    Message was edited by: surya prakash

Maybe you are looking for

  • I purchased a film via Apple tv, but it is not showing up on my computer

    Any suggestions?

  • Exchange rate in billin

    I need in formation on maintaining exchange rate in billing ......either to change manually or to pick the new one from the records. Please assist itss urgent Regards Maddy

  • File command in Java

    Is there an equivalent package in Java for the 'file' command on Unix? I want to determine the file type from the Data, not the extension or MIME type. Thx. --jon                                                                                        

  • IPod playlist missing

    I have a new computer.  Just this week purchased a few tunes and discovered the rest of my playlist is missing.  I've looked in all the iTunes files and none of it is there.  So, I have a few just purchased but not downloaded, and I have the original

  • Cisco Prime upgrade (Standard to Pro)

    Hello Can anyone help answer a query we have regarding an upgrade we need to do on Prime Infrastructure, PI. We are running PI version 1.3 on VMware in a standard deployment. We want to upgrade to a Pro deployment. My understanding is that the only d