Is ECS will come in Export sales?

Hi..
Iam confoguring the Export sales. In SAP help i read only BED is applicable for EXPORT SALES.  Is BED only applicable for export sales?But wt abt for AED and ECS?
regards
jyothi
Edited by: jyothi. on Mar 24, 2008 10:24 AM

hi,
you can follow the following link for understanding the configuration of export oriented excise calculation.
http://help.sap.com/erp2005_ehp_03/helpdata/EN/9e/0b941b0fd64873bc54e8745fb044e7/frameset.htm
regards,
Sidddharth.

Similar Messages

  • Determ VAT regist no in VBRK-STCEG in case of domestic & Export sales in EU

    Hello,
    In case you have come across a scenario to correctly determine the VAT registration no in VBRK-STCEG from SOLD to Party both for domestic sales and export sales , pls share the approach taken. Pls let me know in case some User exit is used to determine the correct VAT registration no or some other approach is taken.
    The suggestions will be appreaciated.
    Thanks ,
    Ambrish

    OK, no issues.
    I wanted to ask u wether u are posting these excise values..?
    and generally excise related condition types do not appear in Export pricing procedure as in export excise in not recoverable from the customer.
    Hence even if tehy appear, tehy should eb statistical in teh export pricing procedure.
    What you can do is,go to J1ID, Maintain excise indicator for customer.then Under the Excise rates, Choose Excise Tax rate.
    here you can maintain, Excise rate(BED %), ECS% and AT1%(higher Ed.Cess) for the chapter id in your material.
    similarly for all the chapter i'ds that you wish to make make an export for... (Remember to enter the Valid from and excise indicator)
    Now, do teh j1iin again,and choose teh utilzation tab,then click on teh pencil icon and choose "Export Under bond".
    If u fail to choose this option, systemw ill not allow you to carete an ARE1 for thsi excise invoice.
    Lemme know if this works.
    Regard;s
    Priyanka M.
    Reward points if helpful

  • Profoma invoice for Export sales from EOU plant rounding problem

    Hello,
    While creating profoma invoice for Export sales from EOU plant according to standard Tax procedure TAXINJ excise duties appears as  JMOD , JECS, JA1X. But due to legal implication we have to bifurcate them in following
    BCD
    CVD
    ECS on CVD
    SEcess on CVD
    ECS on total duty
    SECess on total duty
    Additional CVD
    Now because of rates get rounding of total does not match with bifurcated duties. The duties should match as per below
    JMOD = BCD + CVD + Additional CVD
    JECS = ECS on CVD + ECS on total duty
    JA1X = SEcess on CVD + SECess on total duty
    Regards,
    Nimit

    You can achieve this with standard functionality, but you will have to make some configuration change:
    - Create the new movement type
    - Create the new MM account assignment
    - Create a new schedule line category
    - Create a new item category
    - Create the assignment of the new schedule line category to the / a (new) item category.
    Maybe you have to create a new item category group to ensure that the proper item category in the sales order is being determined.
    Around user exits in MM in account determination: I'm not aware of any (good) ones, but you might want to take a look at the Business Transaction Events (transction FIBF). These are also a kind of user exit and might provide the functionality you are looking for.
    If you can't accomplish the requirement through an enhancement (user exit, BAPI, BADI, BTE) you might want to consider using an intermediate G/L account during the Post Goods Issue. And then during the release to accounting doing an accrual to the "correct" G/L account, since in the (standard) Revenue Account Determination you can use all kinds of criteria.
    Regards,
    Jan Pel

  • Export Sale Bill to be raised

    Dear All,
    We have 4 manufacturing plants and Finished Goods from all plants come to port and from here one bill is raised to the party.
    In SAP we have opened port as a plant and from here we are raising bill's. Now our organisation after 2 years of implement wants sales report plantwise which we are giving from manual records.
    Can any one suggest any good method in SAP?
    Regards,
    Pravin Joshi

    We have implemented FI,CO,MM.SD,PP & HR and in FICO we are using profit center accounting but not activated COPA in CO.
    Presently we are making PGI from 4 plants to Export Plant (Port) and from here we are raising the bill but the issue is that all PGI from diff plants get consolidate in export plant from here again one PGI is done which losses it identity from which plant it has come.
    We want to develop report which will show plant wise sale against the bill raised.
    For this any configuration changes or any new process we are ready to accept.
    Regards,
    Pravin

  • How RG1 reg update for export sales?

    Hi,
    Iam doing the Export sales. Iam doing it export under bond. Is it necessary for update RG1 for Export sales? Wt is the process for updating RG1 for export sales?
    regards,
    jyothi.

    RG1 for exports will be updated, similar to regular domestic sale. The process to update register is provided in link & menupath below:
    Link: http://help.sap.com/
    Path: SAP Best Practices --> Baseline Packages --> Based on SAP ECC 5.00 --> Select Country: for eg, Localized for India --> Technical Information --> Building Blocks --> Select Country for eg, India --> Excise Periodic Processing
    Hope the above is helpful.
    Regards,
    Rajesh Banka
    Reward points if helpful

  • Multiple deliveries to one invoice in export sales

    Hi Dear teamsters,
    The client requirement is, In export sales we have to create one invoice for many deliveries.the preriquisite to do is some parameters like payer,payment terms etc should be same,Inspite all above are same in the split analysis the message is "different header data in delivery in foreign trade data. Actually when we are creating the delivery document in header level the organisation view in foreign trade tab there is a field "Number of foreign trade data".for every delivery document one number is coming automatically here & which is in gray mode,cant be changed.Because of this number we r not able to create one invoice for many delivery documents.
    Can somebody give the solution to overcome this problem.from where the number is coming
    Pls its an urgent issue.
    Thanks in advance
    Regards
    Srikanth

    The number is comming from
    Sales & Dist- Foreign Trade-Define No Ranges- General Import/Export Processing.
    But if u delete the No Ranges It will give Dump.
    I Think The problem is ur Foreign Trade Data which is not configured.
    Regards
    jayanth

  • Letter Of Credit During Export sales

    Hellos Experts,
                             This is neo, I work for the client were they have export sales so they have the Letter Of Credit during the process. Now the scenario is that.
    I know some thing like I did the configuration setting for this In IMG (Foreign trade and customs >> Documentary payments) every thing is 5n. and the process which i fallow is
    va01
    vx11n
    vl01n-PGI also
    VF01
    VF02-release to accounting.
    when i am doing the sales order in the line item i am entering the LC num:":82" and saved the document. After this when i see the VX12N the 82 number then the lc value is decreased. after the completing of delivery and invoice and release also when im going to check the value of LC 82 is reamins same.
    here my qutions are:
    1) how to do the export sales process with LC
    2)the process which i fallow is correct or wrong
    3) what is the use of
         a) VKM3
         b) VKm5
         c) VXA3
    4) if during this process do i need to release the document using any special transaction codes
    5) The Main can I use Single LC to Multiple sales Orders.
    thanks and regards,
    Neo
    Edited by: neo.anu on Jul 24, 2010 7:32 AM

    Dear indrajit
    run VX11N and maintain the L/C details there and once saved, a reference number will be generated.  Go to sale order, select at Header tab Billing and assign this reference in the field Financial doc no 
    thanks
    G. Lakshmipathi

  • Excise Values not are not coming in Export sales

    Hello ,
    when i am doing Export Sales , the values i am able to see  but when i go to Utilization and click on Calculate TAX , the values are coming, Zero Vaules are There.
    But in Domestic its working fine
    Pls Help

    HI
    You have to use the User exit
    Ask your abapper to write the below code
    FUNCTION J_1I7_USEREXIT_DUTY_IN_EXPORT.
    ""Local Interface:
    *" IMPORTING
    *" REFERENCE(YVBRK) TYPE VBRK
    *" EXPORTING
    *" REFERENCE(SUPPRESS_CALCULATION) TYPE J_1IEXCHDR-STATUS
    *If you do not want the excise duty to be calculated for a particular
    *transaction then you need to mark the flag supress_calculation as 'X'
    *This flag when left blank will trigger calculation of ED during j1ii
    *When it is marked, the ED copied from billing will be left as it is
    SUPPRESS_CALCULATION = 'X'.
    ENDFUNCTION
    Re: ARE-1&ARE-3
    regards

  • Local and Export sale same excise invoice number range

    Dear gurus,
    How to have Number range for Following same.
    Object- J_1IEXCLOC- Factory sale invoice
    Object - J_1IEXCEXP- Export Sales Invoice
    ie. 00000001-Factory sale invoice
        00000002-Export sale invoice
    ie. Sales area is different for both
    Reg,
    Amol

    Try with my suggestion given here
    http://scn.sap.com/thread/1024034
    G. Lakshmipathi

  • EXPORT SALES DOCUMENTS AND TAXES

    Hi Experts,
    I had recently faced few scenarios regarding export sales process.I would like to share with all of u regarding those questions.
    1) What is ARE-1,ARE-3 on what basis excise department will give these forms and how we map them in sap?
    2) How excise department decide the BOND VALUE in export sales case?
    3) If you see in J1IBN01 there are different options like LOUT,REBATE,RUNNING BOND,.ETC. What are the major differences between them? And how rebate amount claimed from the excise department and what is the process to map that in sap?Same with other options too..???
    4) What are all the forms we have to submit in export sales scenario to the customs??
    5) What are all the taxes we have to configure for export sales and what are the basis??
    6) What is return process in export sales?If the customer wants to return we have to deduct the shipment cost and customs expenses and submit few documents again.So what are the documents we have to submit and how we determine the costs in sap?
    7)There are different licenses like EPCG....etc,Would like to know what are all the licenses and use,benefit and mapping in sap??
    EXPECTING ANSWERS ASAP.
    Thanks a TON in ADVANCE..If anybody can answer..

    Before posting, read the forum rules on top of your thread.
    G. Lakshmipathi

  • Creation of RG1 for Export Sales

    Hi,
    Frends,
    For Export Sales Customer wants to create RG1, but i dont know how to create that can u pl send me some tips of creation of RG1.
    Thanks and Regards
    Babu Rao

    Hi Babu Rao,
    RG1 register is a register of Daily stock account. Whatever stcock you produce n move to warehouse specifically for excisable finished goods, RG1 captures all these movements of material to your warehouse/store. And thr is standard program given in by SAP to create RG1. Mostly, u dont need to create a Z report for that.
    Rg1 consists of fields like
    for matl XXX   -
    closing bal(quantity till last day); 
    quantity mfged today;
    total quantity;
    excise duty payable on them etc
    By T code J1iex u will be able to create the RG1 or some other registers. then update the entries in the registers(then registers will show new data)
    update registers- j1i5
    extract data- j2i5
    print register- j216
    in this sequence only. because this is the procedure for maintaining any register. In each code, u will find selection criteria, n need to choose register that u intend to maintain.
    If u need to create RG1 specifically for exports' use tables :
    vbrp, vbrk, konv, kna1
    j_1iexchdr (excise header), j_1iexdtl(excise item), j_1imtchid(for matl chapter id)
    from j_1iexdtl(excise item), u can find tables of excise values.
    from vbrp, fetch the document no., matl number
    hope this will help you.
    Reward, if it helps.
    Prashant

  • How to pass fields in task description so that it will come in  sap inbox

    Hi all.
    (<b>very urgent)</b>
    I am doing one workflow on vendor payment workflow.
    I want to pass some fields in the task description so that that they  will come in the user decision description.
    Pls help me solving this.
    Please replyif more clarification is needed.
    Good points will be rewrded for solution.

    Hi Tapu,
    You did not find your BO means in the workflow container you has not mentioned ur BO. What is the Element name for your Object that will come here.
    In your workflow template container should have Expression of ur Object(BUS2081). So, Create the Element for Expression in Wf Container.
    Example in User Decision:
    Title:  Make Sure your Decision of Sales Order
    Agents:
    Expression: &SALESORDER& ( F4)
    Decision Option:
    Approved:: Send Notification                            Approved
    Rejected:: Send to Initiator with Reason           Rejected
    Thanks and Regards,
    Prabhakar Dharmala

  • No BED,Cess & HS Cess values are getting stored in export Sales after J1iin

    Hi,
    This is a problem which is CIN based (Country India) for Export Sales. We configured following thing –
    Excise Registration      -     1
    Excise Group     -     1 let’s say it is G1
    Series Group     -     2 let’s say they are S1 & S2
    (S1 – Domestic / Export Sale & S2 – 57 F4)
    Sub Transaction Type     -     2 let’s Say ES & IP
    (ES – Export Sale & IP - Import Purchase)
    Tax Procedure – TAXINN
    Maintained Proper “Defaults Condition Type”
    Also maintained all default “DLFC” and also additionally maintained “DLFC” with “ES - Sub Transaction Type” for Excise Accounts per Excise Transaction
    Maintained all required GL account per excise Transaction i.e
    G1 - DLFC - Co. Code -      -  All Required GL
    G1 - DLFC - Co. Code - ES -  All Required GL
    Maintained Default Excise Group & Series Group
    S. Org - Dis.Ch. - Div - Sh. Pt - Plant - G1 - S1 - Export Under letter of Undertaking - ES
    Pricing Procedure -     Export pricing consist containing “PR00”, BED, Cess & HS Cess (maintained in  both % & total). No account keys and statistical tick maintained except PR00 . So total 7 condition Types. Also proper condition record maintained.
    Now for my Domestic sales everything is working fine. Here Both excise tables i.e J_1iexchdr & J_1iexcdtl are getting updated after J1iin for BED, Cess & HS CESS.
    But in case of J1IIN of Export sale we are not able to store the values of ED, Cess & SHE Cess. Interesting thing is that these values are appearing initially while creating J1IIn through billing doc no. but as soon as we save it, only excise Invoice no is getting generated but no BED, CESS & HS Cess values are getting updated in tables.
    So can anyone is having any clue why this values are not getting stored. I want these values in Excise Invoice for ARE 1 processing.
    (We are using local number range for export invoice also)
    Early response needed. Thanks

    OK, no issues.
    I wanted to ask u wether u are posting these excise values..?
    and generally excise related condition types do not appear in Export pricing procedure as in export excise in not recoverable from the customer.
    Hence even if tehy appear, tehy should eb statistical in teh export pricing procedure.
    What you can do is,go to J1ID, Maintain excise indicator for customer.then Under the Excise rates, Choose Excise Tax rate.
    here you can maintain, Excise rate(BED %), ECS% and AT1%(higher Ed.Cess) for the chapter id in your material.
    similarly for all the chapter i'ds that you wish to make make an export for... (Remember to enter the Valid from and excise indicator)
    Now, do teh j1iin again,and choose teh utilzation tab,then click on teh pencil icon and choose "Export Under bond".
    If u fail to choose this option, systemw ill not allow you to carete an ARE1 for thsi excise invoice.
    Lemme know if this works.
    Regard;s
    Priyanka M.
    Reward points if helpful

  • Export sale

    Hello,
                I would like to know:
    1. In domestic sale the excise duty will be shown in the net value column or the tax column in the billing doc?
    2. In exports sale no excise duty will be charged from the customer?
    3. While creating ARE1 doc in export under bond, the values of excise duty in not getting transfered from excise invoice.

    Hi
    1. In domestic sale the excise duty will be shown in the net value column or the tax column in the billing doc?
    It all depends on the business and also in the configuration of condition types for Excise Duties. If YOu put D as on option then the excise duties will be shown in Taxes coloumn (MWSBK)
    else it will be showm in the Net value (NETWR)
    2. In exports sale no excise duty will be charged from the customer?
    If the Exports is under LOUT/BOND then there willnot be any excise duties.
    3. While creating ARE1 doc in export under bond, the values of excise duty in not getting transfered from excise invoice.
    Check whether the Excise duties are updating in J_1IEXCDTL table.
    You may have to apply this user exit in order to get the duties in ARE1.
    With the help of ABAPer Goto SE37 and enter J_1I7_USEREXIT_DUTY_IN_EXPORT
    and input the below code SUPPRESS_CALCULATION = 'X'
    regards
    Prashanth

  • Export sales  pricing procure-

    Hello Gurus
    Goodafternoon every body,
    We have one requirement  for export sales: for this industry   no excise duty  is there  but  they will pay customs  duty  ,   how to configure in  export pricing procedure ( for this industry all other taxes are excempted ),looking for your  inputs on this.
    Thank you inadvance,
    Regards
    Ravi.M

    I dont know which industry you were talking about but to the best of my knowledge, in exports, there is neither excise duty nor customs duty.  In order to fulfil both for Excise and Customs rules and regulations, exporters will create ARE-1.  In this ARE-1, exporters will declare that the exports is either with Letter of Undertaking, Bond or Rebate.
    Nevertheless, still if you want to capture customer duty if any, the same can be addressed by maintaining a condition type in VK11 with calculation type as percentage and assigned to your pricing procedure.
    thanks
    G. Lakshmipathi

Maybe you are looking for

  • Website not showing photos?

    I feel like I'm missing something very obvious here--but here goes anyway. Uploaded photos onto my photography website last year, have updated it a few times, always successfully. Now when I go to the website the photos don't show up. The Home Page a

  • PDF Version Issue

    I am having a major problem. I have to save a PDF back to verion 1.4 . Everytime I use pitstop to change the version it works correctly but when I save the file and re-open it the file is back to a higher version again. I went into Pitstop preference

  • Problem with music streaming

    I have experienced that the music sometimes stops for a sec or. two, when streaming music from the iPad. A friend have also experienced that. But when you stream music from the same app from the iPhone, then there is no problem. Is it a software malf

  • Apple TV update

    I just updated my apple tv to version 2.4 and now every time my iMac goes to sleep (with iTunes open), it disconnects the apple tv from iTunes. It did not do this before. Any help?

  • Account Tree suppression issue

    Hello, My report has multiple sections, the group footer section showing account headers (acct type H) and account details (acct type R) and all amounts associated with these accounts. In the Section Expert of the Group Footer I conditionally suppres