Inter company elimination question

I have a requirement to eliminate intercompany expense and revenue.
The intercompany revenue accounted by one company is accounted by another company as capitalzed expense( it is accounted as expense and subsequently capitized)
How do we eliminate the these from both the company’s?
If it is one sided elimination it will not square up at group consolidation..

Eliminations entries, like all entries, must balance. Therefore when the revenue is eliminated for one company the same value should be eliminated from the buying company. If the Buying company expenses this, then a simple validation should fit. However if the value is capitalized to be included in an asset, then what Eugene suggested initially is correct.

Similar Messages

  • Inter-Company Eliminations in Hyperion Planning

    Hi,
    I need to implement Inter-Company eliminations concept in Hyperion Planning.
    I know HFM has a functionality to implement inter-company eliminations.Please let me know that how this concept can be implemented in Hyperion Planning and what steps I need to keep in mind while implementing it.
    Thanks & Regards,
    Mayank

    Hi
    This can be achieved by using a Add on
    Check this link
    http://www.citixsys.com/products/interCompany.aspx
    Regards
    srini

  • Inter company consolidation  and Inter Company eliminations in SAP B1 8.8

    Hello Experts,
    Good day!
    Can SAP B1 8.8  achieved inter company consolidation and inter unit/(company) elimination? if yes,How? If no, is there any other options how to achieve this process in SAP B1? Thanks...
    Edited by: P Praveen on Jul 13, 2010 11:19 AM

    Hi
    This can be achieved by using a Add on
    Check this link
    http://www.citixsys.com/products/interCompany.aspx
    Regards
    srini

  • BPC NW Inter Company Elimination

    Dear Experts,
    1) Can Experts tell me About All Steps Involved in Inter Co. Elimination in BPC NW .
    2) Is it Possible to configure and get Results of Inter CO. Elimination with out Inter Booking Matching?
    Thanks in Advance
    Ritesh

    Hello Ritesh,
    1) You will need to have the following setup (high level)
    - Create a Legal, Ownership and Rate applications (there is a How-To Guide in the "EPM How to Guide" on the wiki that exlpains how to setup a consolidation environment
    - Setup currency translation (another HTG available for that) and enter fx rates into the "Rate" application
    - Setup "Automatic Adjustment" Business Rules with your eliminations
    - Enter "Ownership" data to define consolidation method and percentages
    Then you can enter data and run the eliminations
    2) Yes, the matching and elimination process are independent
    Hope this helps,
    Rgds,
    Marcel

  • Inter company elimination scenario

    Dear Freinds,
    I have loaded the data to the ZGLBAL_LL  cube using the datasource 0FI_GL_12  with trading partners and fullfilling the other prerequisistes.
    I need to do Intercompany elimination scenario. What is my next steps in sequence that i need to follow to acheive the Intercompany elimination report. Kindly suggest. Am using the NW7.0
    Thanks
    Prem
    Edited by: Prem Kumar on Dec 10, 2009 2:07 PM

    Hi... the below link may be useful to you...
    http://www.sdn.sap.com/irj/scn/index?rid=/library/uuid/e081e99f-87b1-2b10-448a-a31b1c7a91e8

  • Inter Company Eliminations

    We have to store ICP details but eliminations should not happen during consolidation.
    Kindly help

    If you are using a default consolidation rule then don't specify the plug account while setting an ICP account.
    No ICP eliminations will happen during consolidation.
    Hope this helps
    Varun

  • Inter-Company Matching

    Dear Experts,
    I want to know, WHat is the use of Inter Company Matching?
    How is it different from Inter Co. Elimination?
    Any Example where we can use inter Co Matching with its implecation.?
    Thanks
    Ritesh

    Hi Ritesh,
    The Inter-Company matching and reconciliation process provides the users with the ability to analyze reported Inter-Company balances in advance of actually running the consolidation and posting of inter-unit eliminations. The inter-company matching process support the identification, follow-up and potential resolution of Inter-Company out of balance situations prior to the actual posting of the inter-company eliminations. The result will be more accurate consolidated financial results.
    Here is the link for the How to Set-Up Intercompany Matching -http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/e081e99f-87b1-2b10-448a-a31b1c7a91e8
    Hope this helps.
    Regards,
    Murali

  • Questions on Inter-company and Cross-company sales ordering process..

    Hi,
    I understood the delivery plant and the sales org. is not in the same company code might be the process, but i want to know some details especially in SAP system how it is realized and processed, hope could kindly help me on below questions!! thanks!!
    1)what is the difference between inter-company sales and Cross-company sales??
    2)What is the general document flow and config. when in below 2 cases:
    Suppose the 2 company code under same sap client system, then what kinds of company code,plant config within the system for inter-compan and cross-company, and finally what kind of document flow will it be in the system.
    Suppose the 2 company code is under diff sap system, then what kind of doc flow in each sap system for inter-company and cross-company sales process???
    Thank you very much!!!!

    Hi,
    Basically there are totally Three types of scenarios
    1. Intra Compnay Stock Transport Order
    In this type of scenario, the stock is transfered between Two Plants which are under the same Compnay Code. The document type used here is UB. Here in this scenario the owner ship on the stock is not changed thats way there will not be any Invoice. The process as follows
    a. Create Purchase Order with document type UB - ME21N
    b. Create Replenishment Delivery with Document type NL - VL10B
    c. Picking and PGI - VL02N
    Now stock will be shown in Transit, you can check this using T.Code MB5T.
    d. Do MIGO to receive the stock into ordering plant.
    2. Inter Compnay Stock Transport Order
    This is called as Cross Compnay STO. Here the stock is sent from one plant to another plant which are in two different Compnay codes. That means the Ownership on the stock is changed in this scenario, that way there will be Intercompnay Invoice IV is reaised. Here the stock is just moved to one plant to another plant but not to any customer.
    The Process is as follows
    a. Create a PO using type NB - ME21N
    b. Create a Cross Compnay Replenishment delivery using type NLCC - VL10B
    c. Picking and PGI in VL02N
    d. Inter Compnay Invoice IV is raised by Supplying Compnay code to the Ordering Compnay Code - VF01
        for this a customer created in Supplying Compnay who represents the Ordering Compnay and the invoice is raised against to that customer.
    e. MIGO to receive the stock in Ordering Plant
    f. MIRO to do invoice verification and do Vendor account update. This also can be done by EDI triggering, to update the Vendor Account. That means with this step, ordering compnay will update into its vendor account that he has to give certain amount to the compnay who supplied the stock.
    3. Inter Compnay Customer Sales
    This is similer to the 2 process, but here instead of sending to Plant we will send the stock directly to Customer of other compnay code.
    The process is as follows
    a. Customer raises  normal sales order in another compnay code of type OR - VA01
    b. But if the plant of that compnay does not have stock, then in the order the plant is changed to other compnay code plant.
    c. Delivery is created in supplying Compnay against this Order - VL01
    d. Picking and PGI is done - VL02N
    e. But the stock is sent direclty to customer from supplying plant.
    f. Ordering compnay will raise normal invoice F2 to the customer
    g. Supplying Compnay will raise Intercompnay invoice IV to the Ordering Compnay.
    But for all these process there are some configurations can be done, like
    the material should be extended to both the plants
    a customer is created in supplying plant who represents the ordering plant so that IV can be generated to that customer.
    Supplying Plants should be linked to ordering Sales Org and Distribution channel. etc.
    Hope this is clear.
    Thanks
    Praveen

  • Inter company billing relevancy - Question

    We have one order type (A) which we want to make it not relevant for inter company billing. The order type used to use the same delivery and intercompany billing type (ZIA) other order types (B, C...) which are relevant for inter company billing.
    We have removed the inter company billing type from the order type (A) definition. And we have added a requirement in copy control to stop the inter company billing from this order type (A).
    Now the inter company billing doc is not created any more due to the copy control requirement. But when I run billing due list, it still shows that the delivery for this order type(A) is relevant/due for inter company billing.
    I guess the reason is that since order type A shares that same delivery and billing doc type with other order types, the copy control from the delivery and billing (inter company) still shows the flow from the delivery to the inter company billing type is valid, thus still trying to create the inter company billing. (Since I cannot remove the copy control from the delivery type to the inter company type)
    So my questions are: Did I missing anything else to exclude this order type from inter company billing? Do I have to use a different set of delivery type to make the deliveru due list NOT to show that the deliveries for order type A are due for inter company billing?
    Thanks.

    Hi,
    I think that the next notes suggest a solution:
    Note 209934 - Reason f rejection ineffect w intercompany billing
    Note 308989 - Consultant note for cross-company transactions (and related notes)
    Note 338922 - Analysis note for cross-company transactions (delivery)
    Note 502877 - Delivery without reference relevant for intercompany billing
    Note 301254 - Creation of billing index
    Note 386370 - Check report for the billing due list (billing index)
    I hope this helps you,
    Regards,
    Eduardo

  • What are the questions they  will  ask for inter company sales?

    hi all gurus,
    pls. let me know the process of inter  company sales and the questions can
    ask in the interview.
    thanks all
    arun

    Hi Arun,
    Plz check these links which have most FAQs and interview questions on SD.
    http://storage-search-swicki.eurekster.com/SAPSDfaq/
    http://www.sapfans.com/sapfans/sapfaq/faqsd.htm
    http://www.sap-img.com/sap-sd/important-tips-for-interview-for-sap-sd.htm
    http://www.sap-img.com/sap-sd/sap-sd-interview-questions.htm
    http://www.sap-img.com/sap-sd/interview-questions-and-answers-on-sap-sd.htm
    http://www.sap-img.com/sap-sd/some-sap-sd-interview-questions-1.htm
    http://www.sap-img.com/sap-sd/some-sap-sd-interview-questions-2.htm
    http://www.sap-img.com/sap-sd/sd-questions-on-corporate-structure.htm
    http://www.sap-img.com/sap-sd/short-sap-sd-questions-1.htm
    http://www.sap-img.com/sap-sd/short-sap-sd-questions-2.htm
    http://www.sap-img.com/sap-sd/short-sap-sd-questions-3.htm
    http://www.sap-img.com/sap-sd/sd-faq.htm
    http://www.sap-img.com/sap-sd/link-between-sap-sd-mm-and-fi.htm
    http://www.sap-img.com/sap-sd/why-do-we-assign-division-to-sales-organisation.htm
    Plz mark helpful answers and close the thread once it is solved/answered.
    Thanks,
    Vinay

  • SEM-BCS: Cons Group Field Required for Inter-Unit Elimination

    Hi!
    I need help.
    I need to use document type for manual postings that allows me to indicate the cons group field.
    I understand the PL10 is cons unit dependent only and not cons group.
    I know that PL12 allows cons group posting.
    But from what I understand PL12 is not captured in the inter-unit elimation task.
    Is there other way?
    Appreciate response.

    Hi Adam and Eugene,
    Thanks for the helpful response.
    However I want my manual entries related to inter-unit elimination to reflect in one cons group only,  considering that we have different hierarchies in our system.
    The manual entries related to I/U elimation is basically an adjustment to the intercompany accounts. The purpose of my manual entries is to minimize the value of the difference of my intercompany accounts.
    for example: (before interunit elimination)
    Company A has intercompany accounts receivable of 100 USD with trading partner Company B
    However, Company B recorded 50 USD intercompany payable with trading partner Company A. Company B has understated figure of 50 USd
    To manually adjust in the BCS system,  I'll post in Company B debit inventory and credit intercompany payable 50 with trading partner Company A.
    Question is I want my adjusting entries to relfect only at the top hierarchy (one cons  group) and not at the other cons group
    Is there a way?
    Please advice.
    Thank you so much

  • Inter - Company Stock Transport Order Issue

    MM SAP Gurus,
    When I try working on "inter company stock transport order between two company codes."
    I found the errors while creating PO(using document type UB)
    ie.
    *1st Error -Material 1 not maintained in Plant 2.
    2nd Error - Customer 1 does not exist (please check entry in plant 1)
    3rd Error - Not possible to determine shipping data for material1)*
    i couldnt find out the error................................
    Here is the configuration done by me......
    Company codes:c1,c2
    Plant for c1:p1
    Plant for c2:p2
    I m going to create and transfer stock from p2 to p1.
    Here i m using stock transport order with billing(SD)
    Purchase org for c1:porg1
    Vendor for c1,porg1:v1
    I assigned plant p2 in additional purchase data of vendor v1.
    Sales area for c2:sorg2,ds2,d2
    Customer for sales area(sorg1,ds1,d1):cust1
    Now i go to mm->purchasing->purchase order->setup for stock transport order
    > for receiving plant p1 i assign cust1,sales area(sorg1,ds1,d1)
    > delivery type for supplying plant:NLCC
    >checking rule RP.
    i assigned doc.type UB into receiving plant p1 and supplying plant p2.
    Then, in ME21N used doc type UB, these r the errors::::::::::::::::::::::::::::::
    *1st Error -Material 1 not maintained in Plant 2.
    2nd Error - Customer 1 does not exist (please check entry in plant 1)
    3rd Error - Not possible to determine shipping data for material1)*
    I already maintained all this.
    The doc type NB also I tried ,,,,,,,but same errors r being shown.
    Also where to create the inter company a/cs for billing?
    Please check the attached file for the error and let me know.
    Thanks & Regards
    Keerthi ...

    Business partner
    ●     Vendor master u2013 supplying plant
    Create the vendor for the purchasing organization of the receiving plant.
    Assign the vendor to the supplying plant in the vendor master record.
    From the menu, choose Logistics ® Materials Management ® Purchasing ® Master Data ® Vendor ® Purchasing ® Change (Current). Go to the Purchasing View and choose Extras ® Additional Purchasing Data.
    ●     Customer master u2013 receiving plant
    Create a customer master record for the receiving plant. From this, both the address and the data that is relevant for shipping point determination, such as transportation zone and shipping condition are taken.
    From the menu, choose Logistics ® Sales and Distribution ® Master Data ® Business Partner ® Customer ® Create.
    The above is from help.SAP:
    http://help.sap.com/erp2005_ehp_04/helpdata/EN/4d/2b90dc43ad11d189410000e829fbbd/frameset.htm
    Plz check this link for tht information.
    So, basing on this: I have customer 1 and vendor 1 for CC1......
    --> Customer 1 is assigned to the receiving plant with sales area1 in setup STO configuration.
    --> Vendor 1 is assigned to the supplying plant in the vendor master.
    --> My question for u is:
      1)  In ME21N, in the vendor field u assign the vendor from CC1 or CC2 (Because it says the vendor - external supplier if u read in F1 in tht vendor filed)
      Company code , Purc Org, plant all this will be from CC1 in ME21N, right?????????
    Material exists in both the plants P1 and P2.......right?????
    2) How to configure the inter - company accounts for the billing in sd for this STO scenario.???
    Please clarify these things.....
    You will be appreciated and rewarded too.
    Thanks
    Keerthi

  • Inter Company Credit Memo (Internal Credit Memo)

    Hi,
    I have searched the forum using: 'Inter Company Credit' ' Internal Credit Memo' and 'IG'.
    Found some information but still do not have full picture.
    We use an inter company process - similar to cross company selling - where company code A supplies company code B via an inter company PO.  Company code A then bills company code B using the standard inter co billing type (IV), this has output RD04 set up which makes the posting via an idoc into the receiving company code's financials.
    This all works very well.
    Although we are now at the stage where we need to issue internal credits ie company code A credits company code B - for example goods did not arrive.
    Seems that this is a real grey area - searched everywhere - internet, SAP, books etc.  I have not found any comprehensive information ie full process and configuration required.
    I have learnt that all inter-company billing must be in relation to a delivery - is this correct?
    I have 2 scenarios:
      1.  Goods are returned back to the supplying company code, so therefore need to to raise an internal credit memo.
    Can returns order RE be used for this, using company code's B internal customer number as the account number?  RE is set up with the inter-company billing type IG, so this would bring the stock back on hand into company code A.
    The credit would then be processed against the rtns delivery (LR) but how would billing know which billing type to use, in other words does billing know that we are trying to process an inter company transaction?
      2.  Goods are not returned - just wish to process a credit.
    As a delivery document is required, we still need a delivery to be created in this process.
    I have found SAP note 24756 which explains the set up  of new order type, doc flow, item cat etc -  I think this is all required so that the returns delivery used is just a dummy delivery therefore not relevant to warehouse / PGI.  Is this set up still required?
    Does anyone out there have any experience in this area?  I think there is a real lack of knowledge in this area......I'm really struggling!!!!!
    Incidentally we require the credit to be processed via idocs same as normal billing.
    We are on 4.6C.
    Many thanks in advance.
    Regards
    Guy

    Unfortunately, I don't have enough experience with intercompany billing to consult you on these questions. Also I've never worked with a release older than 4.7.
    You might want to read [SAP Help|http://help.sap.com/saphelp_470/helpdata/en/dd/5614e7545a11d1a7020000e829fd11/frameset.htm] and request your manager to get a consultant specifically with the intercompany experience for a few days.
    When posting on SDN, I'd recommend to ask only specific questions when you run into an issue (after you've done research and tried to resolve it yourself, of course). Large "blanket" posts rarely get any response here (and for a good reason).
    I'm guessing that your sales org. error is because one of these prerequisites is missing:
    - Permissible combinations of plant and sales organization must be defined
    - Sales area data (sales organization, distribution channel, and division) must be assigned to each plant that participates in intercompany sales processing
    This is mentioned in SAP Help (see link above).
    Good luck!
    Update - additional reference materials:
    [How to configure Inter Company Billing|http://www.sap-basis-abap.com/sd/configuring-intercompany-billing.htm]
    [SD Book on Google (fragment)|http://books.google.com/books?id=GzH8bvbV6RAC&pg=PA277&lpg=PA277&dq=SAPintercompanybilling&source=web&ots=5CB4kVqJR_&sig=C_tGc5EmJg3AMZhhs83700WGU5U&hl=en&sa=X&oi=book_result&resnum=8&ct=result#PPA276,M1]
    Edited by: Jelena Perfiljeva on Jan 14, 2009 9:20 AM

  • Inter company STO-how to reduce the stock where no physical stock is kept in receiving plant

    Dear All,
    I am facing one issue. Suppose if there are two plants belongs to two company codes A & B.Plant A is in TN & Plant B is in AP (both belongs to two different states). Plant B is the place where no physical stock is kept, it is a place where JJ form & other documents are given to the vehicle to move it to other state. From there it ll move to end customer.
    In plant A stock reduce-- inventory credit
                                        COGS----Debit
    In plant B stock increase=---Inventory debit
                                             GR/IR--credit
    Now my problem is in plant B no stock is kept, my client wants to reduce the inventory automatically without any manual entry (since no stock in plant B)
    Can i use MB1A to reduce the stock automatically & what would be the actual entry for that. How to offset the other account which is getting debited against inventory?.
    Regards
    Subbu.

    Hi,
       It seems to be a combined scenario of third party and inter company STO scenario, where you want to send the send the stock directly to your customer. Standard SAP doesnt support the third party scenario for a vendor assigned to the plant. The standard design is well explained in the note: 1918552 - Third Party Purchase in Cross Company STO: error 06769
       If you dont want to update the stock in the receiving plant, use a consumption account assignment category (like K) in the intercompany STO, so that the stock will be directly consumed. But one question - how do you map the goods issue to the customer and the outgoing excise invoice? Could you please share the details.
    Regards,
    AKPT

  • How to assign more than one inter-company customer?

    Hi
    I'm new to Inter-company sales process. Recently I configured and tested the inter-company sales process in the system and is working perfectly.
    My Question:  How can we assign more than one customer as inter-company customers to a sales organisation? In the standard process we are only able to assign one customer at a time as inter-company customer. Could you guide why this is?Does any one ever got such a requirement in project?
    Regards
    Sanjay

    Dear Reazuddin,
    This is my client requirement. (Detail Missing in the question:: 7 Companies, 4 sales organisations, 6 Plants/facilities.)( It is involved in a lot of intercomany transactions. It wants its customers from its sales territories to be able to place order from the sales org. under that territory.)  I do not know why does SAP not allow us to assign more than one inter-company customer?
    Regards
    Sanjeev
    Edited by: winhearts kr on Nov 22, 2010 4:14 AM

Maybe you are looking for

  • EMac can't find new AP Express card

    I bought a new Airport Express card for my downstairs eMac X.4.6. I am writing this on my wireless laptop so I know the Airport wireless is working. I have installed the card twice in the eMac to be sure connections were secure. When I run the Setup

  • Ripped from CD, iTunes wants authorization!

    iTunes is giving me the "This computer is not authorized to play this song" message. The problem is, these are songs I ripped from my own CD. I dont have a single DRM track on my Mac, never have, never will. Tried repairing disk permissions, didnt fi

  • Built-in camera question

    hi everyone, the green light of the built-in camera is turned on as if it was active but when i go into photoboot or imovie nothing appears on photoboot there's only a green square and on imovie not even the black screen comes up. anyone know somethi

  • I want to create a distinct (default) ringtone for calls from people not in my address book?

    I want to have one default ringtone for calls from people who are not in my address book.  I would also have a distinct ( different) ringtone for those people IN my address book.

  • Need Space between rows

    Hi!! I am using jdeveloper 11.1.1.5 I had dragged and dropped GlJrnlHd as a af:PanelForm And i had given rows = 2 and columns = 4 I need to provide space between 2 rows How can i acheive this could any body pls help me!!!