Invoice through fb60

Dear SAP Consultants,
                        I am facing the following problem.
The G/L accounts are maintained business placewise. While doing MIRO the G/L accounts are being
picked by the system Business placewise but if the invoice verification is done through FB60 then
the G/L accounts are not properly picked. the system picks the G/L accounts which are maintained in OB40.( which is wrong. )
Thanks & Regards.
Sandeep

Hi
If you are using substitution (OBBH) or user exit then check if only MIRO has been included and not FB60. Then include FB60 also
Thank You,

Similar Messages

  • Vendor Invoice through FB60

    Hi Experts,
    I have very urgent requirement to Post Vendor Invoice Through
    FB60.
    Please suggest me BAPI for this ans suggest code to use that.

    hi,
    check this link.
    http://www.geocities.com/rmtiwari/main.html?http://www.geocities.com/rmtiwari/Resources/MySolutions/Dev/Codes/Report/Z_BAPI_INCOMINGINVOICE_CREATE.html

  • Payment release function inactive while creating invoice through FB60

    Hi,
    I am getting message while creating invoice through FB60 as "Payment release function inactive".
    When I select "Free for payment" after going in payment tab, that time only system is allowing me to go further.
    Is there any  mistake I am doing?
    Pls suggest.
    Thanks,
    Taral Patel

    Hi,
    Check in vendor master in FD02 > Company Code Data > Payment Transactions, whether the payment block is active there or not?
    Also check in OBB8 transaction whether any payment block key is linked to the payment term which is being used in the vendor master.
    Regards,
    Gaurav

  • Configuring double invoice check for vendor invoices posted through FB60

    Dear all
    Can anyone tell me how to configure double invoice check for vendor invoices posted through FB60.
    for miro documents..we can use Tcode OMRDC
    Is there any such tcode which can be used for configuring fi invoices for double checking..
    regards
    Expertia

    Dear Expertia,
    In FI,when checking for duplicated invoices, the system compares the
    following :Vendor, currency, company code, gross amount of the invoice,
    reference document number and Invoice document date.
    SAP Note 305201 clarifies this in a more details; please read it.
    The following fields must be identical for Duplicate invoice check
         Company code                              (BUKRS)
         Vendor number                             (LIFNR)
         Currency                                  (WAERS)
         Reference number                          (XBLNR)
         Amount in document currency               (WRBTR)
         Document date                             (BLDAT)
    If the document is having any one of the above filed different then the
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    Also It will check duplicate invoice check in vendor master data and
    in posting key is there check box selected for sales related
    The setting you making in OMRDC i.e Materials management->Logistics
    Invoice Verification->Incoming Invoice ->Set Check for Duplicate
    Invoices is only valid for MM and not  FI invoices posted via FB60/FB65
    You should check the F1 help on field "Chk double inv." (LFB1-REPRF)
    in the relevant vendor master record (transaction FK03).
    Please also check, that message F5 117 has been set correctly in the
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    Document -> Default Values for Document Processing -> Change Message
    Control for Document Control For Document Processing
    Finally & mainly, go to the relevant posting key is defined as sales
    related in transaction OB41. You have to flag this field if the
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  • Foreign currency invoice Through APP Run Payment

    Hi SAP Guru's,
    My company code currency is "SEK" , and i am posting in FB60 currency is USD then i was Run app It is Showing like this Error
    Job started
    Step 001 started (program SAPF110S, variant &0000000021747, user ID BREDDY)
    Log for proposal run for payment on 02/09/2012, identification B1
    Information re. vendor 65670 / customer  / paying company code 3130 ...
    Payment with currency USD, payment method : No valid payment procedure
    Information re. vendor 65670 / paying company code 3130 ...
    ... payment not possible because of reported error
    End of log
    Step 002 started (program SAPFPAYM_SCHEDULE, variant &0000000008301, user ID BREDDY)
    Step 003 started (program RFFOEDI1, variant &0000000000283, user ID BREDDY)
    Program RFFOEDI1: No records selected
    can any one suggest me if any configuration is needed and how to run "Foreign currency invoice Through APP Run Payment"
    Thanks in Advance,
    Bhaskar Reddy.S

    Hi Vishnu,
    Thanks for your quick replay,it is also very useful answer to me. and i got the solution finally.
    Setps:-
    1) FS00 Under Control Data Tab  I Remove the only Balance in Local Currency Check box
    2)FBZP >BANK DETERMINATION> RANKING ORDER (Select ur company code), We need to maintain The which currency you want to like you have payment method "C" You should maintain
    Payment Method       Currency     Ranking.Order          House Bank
    C                                SEK                 1                            1000
    C                                USD                 2                            1000
    C                                  GBP                3                             1000
    Under  Bank Accounts Folder
    House Bank           Payment Method         Currency      Account ID     Bank Sub account           
    1000                             I                               SEK             SEK1               200101
    1000                             I                               USD             SEK1               200101
    1000                             I                               GBP             SEK1               200101
    Under Available Amounts  Folder
    House Bank          Account ID      Days    Currency    Available for  outgoing Payment
    1000                       SEK1                0           SEK           9,999,999,999,99
    1000                       SEK1                0           USD           9,999,999,999,99
    1000                       SEK1                0           GBP           9,999,999,999,99
    Thanks,
    Bhaskar Reddy.S

  • "Segment" field when invoice posting (FB60, FB70)

    Dear experts,
    We use Segment reporting so we need report balance sheet and income statement on each segment. But when I post invoices through t.codes FB60 (F-43) or FB70 (F-22) I can't enter Segment information for vendor or customer item under tab "Details" in t.code FB60 or FB70, because it is missing. So please help me, how to add this field and make it available in t.codes FB60 (F-43) or FB70 (F-22)?
    Thank you.

    Hi friend,
    I need some documents regarding document split. and segment reports.
    My client Requirement is:
    1) They want segment reports
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    here configuration did Profit Centers as segment
    if we got report with PCA wise then problem wl solve
    can u suggest.
    pls send some document to my mail id: [email protected]
    Regards
    Vinod

  • Importing os Open PO,GRPO and Invoice Through DTW

    Hi All,
        Please tell me what are the exact Templates and Mandatory fields for Open PO,GRPO and Invoice through DTW.
    Kind Regards
      silpa

    Purchase order - oPurchaseOrder DTW template
    Documents template
    -Record Key
    - Vendor Code (CardCode)
    Document Lines template
    -Record Key
    -Line Number
    - Item Code
    - Qty
    - TaxCode
    - Ware House
    Goods Receipt Purchase Order - oPurchaseDeliveryNotes DTW template
    Documents template
    -Record Key
    Vendor Code (CardCode)
    Document Lines template
    -Record Key
    -Line Number
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    - Qty
    - TaxCode
    - Ware House
    AP Invoice - oPurchaseInvoice DTW Template
    Document template
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    - Vendor code
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    Document Lines template
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    Jeyakanthan

  • Excise invoice through J1IS transaction

    Dear Friends,
    At Manufacturing location, 1 unit of material for each Batch is issued for lab sampling. This is done through QA11 transaction with movement type 331.
    In Excise configuration, rounding off is activated and for all outgoing invoices, BED/ E CESS/ SE CESS values get rounded off to nearest value.
    While creating excise invoice through J1IS, since the quantity of material for lab Sample is very less and the excise duty values being calculated are negligible...Ex - 0.48/ 0.32.- for these values system is converting then as Zero. This scenario is applicable for various materials and for each unit for lab sample there is a material document generated.
    Excise invoice is created with reference to each of the material document and the values are being nullified due to rounding off.
    If we change the config settings and deactivate rounding off, then this will also have impact on outgoing excise invoices created through J1IIN transaction.
    Is there any possobility that I can consolidate all the material documents and then rounding off logic is applied on final value?
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    Praveen.

    Hi,
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  • Reverse Freight Amount of A/R Invoice through A/R Credit Memo

    Hi All,
    Using PL 25 SBO 2005 B & also tried in PL 38
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    There is total amount of Invoice is Rs. 960/- out of that Rs.100/- is Freight, when I am reverse the Invocie via A/R Credit Memo, it is showing only 860/-, not taking automatically Freight Amt. I have click on the link to freight and add Exempt -> and Freight Amt 100/-. and added the Credit Note.
    after adding it is also showing A/R Invoice open. and in Balance on invoice is showing appx. Rs. 98 something amt. pending to receive.
    Can any body guide me the correct and proper way to reverse the A/R Invoice which are having Freight.
    Team, Thanks for your support.
    Best Regards,
    Chintesh

    Dear Shrinivasan,
    Earlier, i had choosen customise. Now i have done below process..
    A/R Credit Memo -> selected Customer ->  Copy From -> A/R Invoice -> then wizard appeared -> Draw All Data (Fright and Withholding Tax) -> finish
    Then All data appear in Credit Memo -> click on link to Freight  ->  in the column of Exampt -> added freight.
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    Then close all opened window and check the invoice but it is showing freight amt in balance.
    Can u plz guide me abt its back end entry means Accounting Entry.
    With Warm Regards..
    Chintesh

  • Unable to Change Withholding Tax Base Amount while creating Service AP Invoice through DI API?

    Dear All,
    I am trying to create Service AP Invoice through DI API.
    If I post the document without changing SAPPurchaseInvoice.WithholdingTaxData.TaxableAmount the dount ocument is created in SAP without any problem.
    But if I change amount in above field then DI API throws error Unbalanced Transaction.
    If I post same document in SAP with changed base amount it got posted in SAP without any Issue.
    Where I am doing wrong?
    please guide.
    Using:
    SAP B1 version 9 Patch Level 11
    Location : India.
    Thanks.

    Hi ,
    maybe you can find solution to these note 1812344
    1846344  - Overview Note for SAP Business One 8.82 PL12
    Symptom
    This SAP Note contains collective information related to upgrades to SAP Business One 8.82 Patch Level 12 (B1 8.82 PL12) from previous SAP Business One releases.
    In order to receive information about delivered patches via email or RSS, please use the upper right subscription options on http://service.sap.com/~sapidp/011000358700001458732008E
    Solution
    Patch installation options:
    SAP Business One 8.82 PL12 can be installed directly on previous patches of SAP Business One 8.82
    You can upgrade your SAP Business One to 8.82PL12 from all patches of the following versions:8.81; 8.8; 2007 A SP01; 2007 A SP00; 2007 B SP00; 2005 A SP01; 2005 B
    Patch content:
    SAP Business One 8.82 PL12 includes all corrections from previous patches for releases 8.82, 8.81, 8.8, 2007, and 2005.
    For details about the contained corrections, please see the SAP Notes listed in the References section.
    Notes: SAP Business One 8.82 PL12 contains B1if version 1.17.5
    Patch download:
    Open http://service.sap.com/sbo-swcenter -> SAP Business One Products -> Updates -> SAP Business One 8.8 -> SAP BUSINESS ONE 8.82 -> Comprised Software Component Versions -> SAP BUSINESS ONE 8.82 -> Win32 -> Downloads tab
    Header Data
    Released On
    02.05.2013 02:34:18  
    Release Status
    Released for Customer  
    Component
    SBO-BC-UPG Upgrade  
    Priority
      Recommendations/additional info  
    Category
      Upgrade information  
    References
    This document refers to:
      SAP Business One Notes
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  • System Calculating HCess twise while posting MM Invoice through MIRO

    Dear Gurus,
    System calcuating Highter Cess twise while posting MM invoice through MIRO.
    Please guide where could be problem... Pls provide standard steps need to verfy one by one to analysis the same.
    Regards,
    Venkat

    Dear Santosh,
    We are using TAXINN-Condition based method. We are maintaing JSEP as HCESs condition and JHX1 as Off-setting conditiong type.
    But system calcuating condition value against both in IV........
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    Venkat

  • Creation of Invoice through FB70

    Hi Friends
    Due to some reasons, Accounting Invoices created through SD Documents are wrong . Now we want to cancel all Invoices and re enter though FB70 by way of LSMW. What will be the implications by following this method that is direct FB70 without SD invoices.
    Can anybody suggest LSMW steps for mass upload of Invoices through FB70 trasaction
    Regards
    Ramana

    Hi
    I suggest not to re-create the documents directly through FB70.
    Before that search for some OSS notes, as definetly there might be problem in future, if you are not able to generate billing documents.
    Also, your inventory valuation also might go for a toss.
    Sit with your SD consultant and see if there is some in customisation settings on SD side like Billing type....
    Coming back to LSMW you can do it at any time, if you are not able to get any breakaway but keep this option as ur last one. I dont really recommend this.
    Let me know if you require any further information.
    If you need LSMW steps i can forward the same.
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  • Vendor return Excise Invoice through J1IS in foreign currency

    Hello Experts.
    Scenario is like:
    We have two group company which are 100% EOU . and we have inter company process.
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    In case of any rejection, Plant B need to raise return Excise invoice through J1IS.. but the problem is that , In J1IS we can raise invoice in INR only. But the requirement is like Plant B also need to raise Excise invoice in same currency i.e EUR.
    Is there any method or process through which we can raise return excise invoice in Foreign currency.
    Ashwani

    Hi Amit:
    As we have two EOU unit . one EOU unit use to sale material to another unit as export sale. and do billing in EUR.
    Suppose i have to return few material back to first EOU unit, than  vendor return Excise invoice should be in EUR as it was billed to me in EUR.
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  • Check Duplicate Invoice in FB60 and F-43

    Dear Experts,
    I want to check duplicate invoice in FB60 and F-43. Normally, system only check if company code, vendor, currency, reference no. and invoice date are match. If I only want to check for company code, vendor, currency, reference no. are match except invoice date.
    Anybody can help?

    Unfortunately, standard SAP only allows a fixed duplicate invoice check in F-43/FB60.  Unlike LIV, you cannot configure which fields get checked.
    Use BTE 00001110 (process module) and build a function that reads the MM LIV duplicate invoice configuration (table t169p).  The BTE will be called appropriately for F-43/FB60.  I developed and implemented this a while ago and it works great.
    I hope this is useful.

  • How to send invoice through email with output type RD00?

    What are the configuration settings to send invoices through email with output type RD00?

    Hi,
    Please go through the following links:
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    [e-mail|Re: EMAIL BILLING DOCUMENT TO CUSTOMER THROUGH SEND MAIL OPTION IN VF02]
    After triggering the output,goto T.Code SOST and process it.
    So that e-mail will be triggered immediately.
    You can use External send/EDI/simple mail for this.
    Regards,
    Krishna.

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