Issue related to Down payment

Dear all
I'm facing a issue in vendor down payments,
(a)when we are giving any advances to employee vendor we are maintaining these advances in Special G/L account For that we create a alternative reconciliation also
(b)but while  maintaining vendor master recorded, in reconciliation account field they have given Special G/L account number,
(ac)And our enduser also while they making a entry they did not select post vendor down payment t code (F-48) they posted these entries from Invoice t code(F-43)
Please suggest me how to rectify resolve this issue.

Dear Murli,
Thank you very much but problem problem is this GL posting are their huge in numbers, if we revarse and repost the entries it will take more time any alternative way to resolve this.
Thanks

Similar Messages

  • Credit Note issue against AR Down payment

    Hi,
    The business process is down payment and milestone billing. We have raised the FAZ for the down payment for 100 EUR and we have recieved the payment from customer and posted the same in F-29.
    1. We have to raise the credit memo against the down payment ( We need to cancel the cleared down payment). When issuing credit note against the credit memo, the following message appears:
    No account is specified in item 0000001001
    Message no. F5670
    Diagnosis
    No account was specified for account type "S" in item "0000001001" of the FI/CO document.
    System Response
    The Financial Accounting program cannot process the document.
    Procedure
    A system error has probably occurred in the application you called up. Check the data transferred to item "0000001001" of the FI/CO document.
    2. If we try to create the final invoice then the down payment recieved line item also will be flown. And if try to issue the credit note agaisnt the Billing document also the same issue.
    Normally the Down payment is noted item and we are doing manual posting of incoming payment in FI. And the same we are clearing. And we need to issue the Credit note. And there is no account determination for the down payment line item.
    Please advise.
    Thanks
    Sreekantha

    Hi ,
    We have done the document reverse and reset in FBRA.or normal item cancel in FB08.
    Business want to issue Debit Note with reference to the Down payment invoice(FAZ). While doing the same I am facing the account determination issue, as the down payment is with only noted item.
    Hope my issue is understood correctly.
      Debit Note issue with reference to Down payment line item
    Case 1: Business has created only Down payment request and received down payment incoming payment against FAZ. Further milestone related billing is not yet done.
    Step 1. Create Order with down payment and billing plan
    Step 2. Create Invoice with FAZ
    Accounting entries: only one line item with noted item A down payment request.
      Step 3. Post incoming payment
      F-29 done
    Step 4. Reversal of Incoming payment
      F-39 Clear down payments or
    Down payment document reverse and reset in FBRA.
    or FB08.
      Step 5. Issue debit memo (DR)against the FAZ
      Create Debit memo request and debit memo
    Error: Document XXXXXXX saved (no
    accounting document generated)
    Message no. VF050
    When tried to release the document to accounting, the following error.
    No account is specified in item 0000001001
    Message no. F5670
    Diagnosis
    No account was specified for account type
    "S" in item "0000001001" of the FI/CO document.
    System Response
    The Financial Accounting program cannot
    process the document.
    Procedure
    A system error has probably occurred in
    the application you called up. Check the data transferred to item
    "0000001001" of the FI/CO document.
    There is no account determination for the Down
    payment line item(as it was noted item and the payment is entered in FI ).
    Can this be over come by issuing the Debit note from FI with reference to Down payment Invoice FAZ ?.
    Case 2: Business has created Down payment request and received down payment incoming payment against FAZ .Mile stone related billing is also done which will have Milestone billing line item  and Down payment line item.
    Step 1.  Create Sales order
    Step 2. Create Down payment request
    Step 3. Post incoming payment
      F-29 done
      Step 4. Create the next mile stone related billing.
    Invoice XXXXXXXX with Down payment cleared line item and invoicing line item
    Step 5. Raise debit note with reference to Milestone relating line items
    Only line item with invoicing line needs to be selected while raising Debit memo request:
    Step 6. Create billing document
    Note:  For the down payment line item, we need to follow the process of Case 1(Can this be over come by issuing the Debit note from FI with reference to Down payment Invoice FAZ ?) by issuing FI Debit note.
    Thanks
    Sreekantha

  • Issue Receipt for Down Payment

    I have a requirement to issue a receipt after receiving cash for a downpayment.
    The current process is to issue a down payment request F-37 - when cash is received it is posted using F-29 the system automatically books the output tax payable.
    I need to issue our customer with a valid tax invoice so they can reclaim input tax.
    Any suggestions as to the best way of doing this?

    Hi,
    Is tax related to sales & pur or service
    there is difference treatment for different taxes
    give the clarification then i may help you
    Regards
    Nagesh

  • SQL-Query - AR Invoice and related AR Down Payment Invoices

    Hello everybody,
    I want to show all AR Down Payment Invoices related to a given AR Invoice, i.e. a query approximately in this form:
    SELECT
    T0.DocNum AS 'Invoice',
    T0.DocDate AS 'Invoice Date',
    T0.DocTotal AS 'Open Amount',
    T1.<<DocNum>> AS 'Down Payment Invoice',
    T1.<<DocDate>> AS 'Down Payment Invoice Date',
    T1.<<Amount>> AS 'Down Payment Invoice Amount'
    FROM
    OINV T0 INNER JOIN <<Down Payment Invoices>> T1
    ON T0.DocEntry = T1.<<DocEntry>>
    WHERE
    T0.DocNum = xxxxx
    I want to know if such a table <<Down Payment Invoices>> exists and what its name is.
    Thanks for your help!
    Regards,
    Frank Romeni

    Thanks for the INV11 - but this table seems to be empty even for invoices we have related down payments, e.g.
    SELECT
    T0.DocNum, T0.DocTotal, T1.<<whatever you want>>
    FROM
    OINV T0 LEFT OUTER JOIN INV11 T1
    ON T0.DocEntry = T1.DocEntry
    WHERE
    T0.DocNum = xxxxx
    That INV11 is always empty I could see with SELECT * FROM INV11
    Regards
    Frank Romeni
    P.S.: I only post questions to this forum when I analysed my problems and only if I couldn't find any further information in the helpfiles. With regard to your first hint to ODPI there is no reference to INV11 in the helpfiles.
    With regard to your comments I feel impelled to to say that if my question is confusing you, then it seems that nobody has ever taught you that meaning can be taken from the context. Regarding the "street", you asked me to find something: Do not waste your time with talking precociously ...
    If you should feel annoyed by my comments, we'd better stop this conversation. Otherwise let us fall back to a strictly factual exchange of information, OK? I am not willing to discuss this any further!
    F.R.

  • Withholding tax issue while doing Down payment Clearing - Help needed

    Hi,
    1. I have posted vendor downpayment  for 5000--> TDS was deducted here
    Bank Credit = 4500
    Vendor Debit =5000
    TDS Credit =500
    2. I have posted vendor invoice for 5000 --> TDS was calculated
    Material Debit = 5000
    Vendor Credit =4500
    TDS Credit =500
    3. Now i have transfer the down payment amount in F-54 (As per the above entry how much do i need to trasfer in this F-54 transaction???)
    Note: How much amount do i need to transfer as per the above scenario in F-54? Kindly advise me
    4. For testing i have transferred 5000 down payment for the invoice 5000. But while doing F-44,system is not allowing me with differance amount. In F-44,system is not showing any withholding tax details. Kindly help me on this..
    Thanks
    KB

    Dear
    TDS should have been deducted either at the time of Invoice posting (MIRO) or at the time of Advance Payment (F-48).  So you need to remove TDS code while doing  invoice or at the time of making advance payment in F-48.  If this is ensured there will not be any problem in clearing.
    When inovoice is posted debit will be to GR/IR Account and not to Material Account. 
    Regards

  • AUC Down Payment issue

    Dear Experts,
    Recently we have activated the down payment process in our system for normal purchase orders without configuring for AUC. In the month end we settle the internal orders to AUC (KO88), while doing this process, I got the error You cannot use this transaction type to post to this asset Message no. AA834,
    I fixed this error by doing the required configuration in OAYB. In the next error system was throwing the errors related to account determination which can be fixed by maintaining the acquisition down payments and down payment clearing account in AO90.
    I don’t understand the strange behavior of the system. There is no down payment in any of the purchase orders related to the AUC even then system is insisting for the down payment configuration.
    I have maintained account determination in our test system and processed KO88 I can able to settle the internal order but some additional transaction with odd value has got posted by debiting the  down payment  acquisition WIP and crediting the Down payment clearing account.
    I did not understood from where this value is flowing.
    Please throw some light on this issue. I want to settle the internal orders to AUC without any error related to down payment as we are not using down payment for AUC.
    With Regards
    Uday

    Hi,
    If you are using Internal Order in Purchase Order and while doing down payment against Purchase Order, system is also picking Internal Order while processing down payment which cause of errors and posting Down Payment amount on asset while settling Internal Order.
    Please follow the steps for not posting down payment to Internal Order.
    Check your GL account which is using for Posting Down Payment against Sp. GL Ind. (Alternate GL Account)
    Check the field status of that account.
    Maker CO/PP Order as suppress field in Additional Account assignments.
    Now Internal Order field will be suppress at the time of down payment against Purchase Order and then no down payment will be settle to Asset while settling Internal Order.
    Regards
    AJ

  • Down payments country spec. issue

    This is one more country specific posting problem and it is related to down payment processing. When I receive down payment from customer I have to report it on separate GL account (DP on current assets). But difference then standard settings is that I have to report VAT in down payments on separate GL account too. So, postings are like this:
    430 DP on current assets                         <b>-118;</b>
    241 Bank account                                    <b>118;</b>
    472 VAT in down payments                      <b>- 18;</b>
    289 Clearing VAT in DP                              <b>18;</b>
    Next step is when I issue invoice to customer, I have regular posting;
    202 Customer recon. account         <b>118;</b>
    602 Sales revenue                        <b>-100;</b>
    470 VAT in invoices                       <b>- 18;</b>
    When I do clearing, system is doing this postings for me:
    430 DP on current assets               <b>118;</b>
    202 Customer receon. account      <b>-118;</b>
    472 VAT in down payments              <b>18;</b>
    289 Clearing VAT in DP                  <b>- 18;</b>
    So, when invoice and down payment are occurring in same month this approach is correct, because in VAT report I need to show VAT in outgoing invoices. But, problem is when I have down payment in one, and invoice in other month (fiscal period). When this situation occurs I have to pay VAT based on down payment and not based on issued invoice. So, in this case posting should look like this: 
    430 DP on current assets            <b>118;</b>
    202 Customer recon. account     <b>-118;</b>
    470 VAT in invoices                      <b>18;</b> (because VAT is paid in previous month based on down payment and that account should not have a balance!!!)
    289 Clearing VAT in DP              <b>- 18;</b>
    I really can not see how to configure system to behave like this only in case if different periods. Has anybody any idea?
    Thanks in advance

    Because of the legal requirements. If down payment is in one, and invoice is in other period (month) it is shown as two separate items on VAT report, and also it has to be on two separate accounts. I know that in both cases I will have correct VAT amount (tell it to our gouverment), and my question is not at all about calculation of any amount. Problem is, for i.e, if we didn't send invoice and we have to pay taxes to goverment, then postings are simmilar to this:
    472 VAT in down payments  18;
    241 Bank account               -18;
    So, when I (or tax inspector) look at account 472, I can see that I don't have anything to pay anymore, balance is zero.
    But if I in next month I issue invoice and do clearing with regular SAP procedure,  I will have following posting:
    430 DP on current assets          118;
    202 Customer recon. account   -118;
    472 VAT in down payments         18;
    289 Clearing VAT in DP            - 18;
    So, when I look in account 472, I will see balance of 18 on debit side from current month. That posting does not belong on that account at all in next period because I already payed taxes based on down payments in previous month.
    I found one solution, during closing, I need to post 472 credit and 470 debit, effect is like reversing 472. But this is something I would like to avoid, and I'm not sure how it would be possible to do it during F.13...
    Substitution seems to me as cleanest solution, but don't see how it would occur...

  • Purchase order down payment non editable

    Dear experts,
    Our business requirement is after the release of purchase order system should not allow the user to change the down payment amount or percentage. I checked the screen layout of purchase order but I di not found any field related to down payment.
    Assist me how to handle this issue.
    With Regards
    Uday

    Hi,
    For simple solution, please find below which I tested.
    Once PO released, change release indicator to 1.
    Once you done this and after PO release, system gives below message. System not allowed to change ANYTHING in PO with ME22N. Or else you can set any other relevant change indicator suits you.

  • TDS is not getting reversed in T.Code:  F-54 -Clear Vendor down payment

    Hi,
    Please help on the below issue:-
    1. We passed one entry relating to down payment for fixed asset.  We deducted TDS also (50% down payment).
    2. We passed MIRO also.  There we deducted TDS on full value of invoice amount.
    3. While making T.Code:  F-54-clear vendor down payment, TDS is not getting reversed.
    Thanks in Advance.
    Regards
    Srinivas

    Hi,
    Please check  whether the Challan has been done for both downpayment & invoice before downpayment clearing was done.may be That is why the system doesn't consider reversal of wht at the time of downpayment clearing as tax has already been remitted.Please refer with_item table. The int challan number & dateare for the downpaynment & for the invoice.
    Hope this helps.
    Regards
    Ravinagh Boni

  • Down payments reconciliation

    Hello,
    We have a development request that has been asked by several customers:
    The down payment account  is not automatically reconciliated when the real invoice is created on the system.
    It will be good if this account is automatically reconciliated when the onvoice is created in the system.
    Thanks to take in account our development request.
    Kind regards,
    Walid BELAHMER.
    VISEO.

    Dear Walid,
    thank you for your development request. I would like to ask for more details of your business scenario and the related issue.
    SAP Business One has in general two ways how Down Payments are handled:
    - Down Payment Request
    - Down Payment Invoice
    As for the reconciliation for both these processes the reconciliation on BP control account related to Down Payment transaction is done. It depends on the software version you use, but in most of the cases the reconciliation is done as a result of accounting posting of Invoice with linked Down Payment.
    Would it be possible to post more details of the process and problematic scenario?
    Best Regards,
    Martin Slavik
    SAP Business One Solution Manager
    Edited by: Martin Slavik on Feb 23, 2010 9:55 AM

  • Asset down payment reverse not possible in AA

    Hi all of you,
    I have one issue of AA down payment made last year and the payment was made through AAP(Automatic payment methodT-F110) and the period is closed now.
    Know the check payment is to reverse but SAP would not make the reversing entre through FCH8 it give error of different financial year posting not allowed, I have tried it through FBRA and FB08 and also asset transaction reversing by T- AB08 also, but it give same error.
    Kindly suggest any solution through which I can post reversal enty in current period, with out effecting the previous year.
    Thanks

    hi
    as per my knowled u cant reverse document in he current fiscal year which was posted in the last year it's not sujjestable also
    because u already closed all the records related to last fiscal year
    Thanks & Regards
    phaneendra

  • Trying to create a query that shows Sales Order/Invoice Totals as well as Paid/Outstanding/Available Down Payments

    Currently working on SAP B1 v8.82
    I'm looking to generate a query that will give an overall report for a given customer that shows Sales Order No, Invoice No, Sales Order Total, Invoice Total, Amount Paid on Invoice, Amount Remaining on Invoice, Down Payments Available, Open on Sales Order.
    I'm not sure what the best way to select the columns in bold above.  Invoice Total should be self-explanatory.  Amount Paid should be any down payments or applied payments on the invoice.  The balance due on the invoice (which seems to be T0.DocTotal if I'm not mistaken) should = 'Invoice Total' - 'Amount Paid on Invoice'. In the Down Payments Available column I want the total amount of money on the account or on down payments that aren't tied to a Sales Order.  If a client overpaid in the past for instance and there's a credit on their account, then it should contribute to this sum.  Open on Sales Order should be pretty easy.  I guess it's just the sum of everything that is still open on the Sales Order.  I'm just not sure what the best way to sum all the un-delivered freight, tax, and line items is.  Here's what my query looks like so far.
    SELECT DISTINCT T4.[DocNum] [Sales Order No],
    T0.DocNum [Invoice No],
    T4.DocTotal [Sales Order Total]
    T0.DocTotal [Amount Outstanding],
    FROM OINV T0
    INNER JOIN INV1 T1 ON T0.DocEntry = T1.DocEntry
    INNER JOIN DLN1 T2 ON T1.BaseEntry = T2.DocEntry AND T1.BaseLine = T2.LineNum
    INNER JOIN RDR1 T3 ON T2.BaseEntry = T3.DocEntry AND T2.BaseLine = T3.LineNum
    INNER JOIN ORDR T4 ON T3.DocEntry = T4.DocEntry
    INNER JOIN OSLP T5 ON T4.SlpCode = T5.SlpCode
    WHERE T0.CardName Like '%%[%0]%%'
    GROUP BY T4.DocNum, T0.DocNum, T0.DocTotal, T4.DocTotal
    I tried doing a little searching around for queries similar to what I need, but I could find exactly what I was looking for and I'm very unfamiliar with OJDT, JDT1, and ITR1 tables which I think might be important to finding unapplied payments...

    Thanks.  There's a few problems though.
    1)  It seems that OINV DocTotal != Balance Due.  I'm seeing a number of invoices where there was a balance due, but we applied additional money (either we took another incoming payment and applied it or applied money from the account balance, etc.) and yet it still shows a total.
    2)  It's pulling incoming payments from different customers.  I think this is because the table was joined based on "RCT2 T4 on T4.[DocEntry]  =  T3.[DocNum] and T4.[InvoiceId] = T2.[LineNum]"  In one example I have 2 incoming payments 446 and 614.  Both have the DocEntry 542, but one relates to A/R Invoice 542 (for a different client) while the other relates to Down Payment Invoice 542.  *I was able to fix this by adding WHERE T5.CardCode = [%0]*
    3)  I'm going to work with this a little bit and see if I can alter it to make it work for me.  Basically this query falls a little short on the following:
    -  Doesn't include incoming payments that aren't linked to a down payment invoice.
    -  Does not give the Invoice Total (I'd like to know how much of the SO was invoiced.  DocTotal seems to give me Amount Invoiced - Down Payments.  I'm not sure the best way to get this number.  Maybe I could do the sum of each line * tax + freight)
    -  Does not give the outstanding amount on an invoice.  The ARtotal [DocTotal] column gives me how much was owed when the invoice was created, but it doesn't tell me what is currently owed.
    -  Lastly it may complicate the query too much and could be left off, but it would be nice to see if they have any money from credits or incoming payments that has not been applied.  Perhaps this would be easily accomplished by simply pulling in their account balance.

  • A/R Invoice that link with Down Payment document have reversed GST from DP

    Hi All,
    I am buzzle on why SAP has changed their function for down payment in 8.81 version. For example, if SO amount is $1000 and GST is $70, but company request their customer to pay $500 as deposit (add GST $35). In SAP 8.81 version, the double entries will be as below:
    Down Payment Invoice
    Dr Customer                        $535
    Cr GST                                         $  35
    Cr Down Payment Clearing Acct $500
    Incoming Payment
    Dr Bank                              $535
    Cr Customer                               $535
    Invoice (final)
    Dr Customer                                 $535
    Dr Down Payment Clearing Acct $500
    Cr GST                                                 $70
    Dr GST                                          $35
    Cr Sales                                              $1000
    In the final invoice, why there is a reversal of GST amount from Down Payment invoice? In previous version, final invoice will only calculate the GST amount base on balance amount instead of currently credit with full sales amount's gst and reverse previously posted gst amount from down payment invoice.
    This will cause problem if down payment invoice and final invoice are few months apart. Company will have paid the down payment invoice's gst amount. Anyone knows the logic for current changes? Appreciate if anyone can help, thanks.

    Dear Expert
    Let me clarify my client's scenario more to see whether you could give advise.
    My client's business is project based and the invoicing flow is as below:
    Phase 1 -
    Invoicing  30%
    Phase 2 -
    Invoicing  30%
    Phase 3 -
    Invoicing  40%
                                                   Total 100%
    However, invoice for phase 2 maybe issued before invoice for phase 1 is paid and so do invoice for phase 3.
    There is also possibility that invoice for phase 1 is paid while invoice for phase 2 is not at the time when whole project is completed. Invoice for phase 3 therefore has to be issued before invoice for phase 2 is paid.
    The installments for A/R is not applicable in this case since sales would be realized at the time when the A/R invoice is issued.
    My client would have to realize the sales upon completion of project phase. A/R down payment invoice almost satisfy this scenario however, no A/R invoice of the balance with reference to the down payment invoices can be issued before the down payment invoices are settled.
    Can anything be done to overcome this limitation?
    Regards
    Elton

  • PO down payment is not picking FI substitution rule.

    Hi All,
    We have an issue with PO down payment and clearing. We have a
    substitution rule on line item level as per company code were default profit
    center is set. But while doing ME2DP, profit center is picking from PO account
    assignment and overriding our substitution rule. We did try with complete
    document substitution rule also but not worked.
    Clearing of the pre-payment is deriving the profit center of
    the account assignment on the PO, overriding our profit center substitution.
    This is only happening with PO down payment. Please let me
    know any solution. 

    Hi Rakesh
    If the Down payment GL you are referring to is a Balance sheet account, your substitution should work.. How have you written your substitution? Can you give a screen shot?
    But if you are referring to the Down Payment Cost Element assigned against your Controlling area, system is correct... For a cost element, PC is always derived from the associated CO object
    br, Ajay M

  • Down Payment against Asset PO

    Hi,
    we are making Asset PO in SAP.
    When the Down payment is done for that PO the DP amount starts reflecting in the asset.
    Now the client does not want this to happen, as the amount does not get cleared as the GL assigned is recociliation GL.
    Kindly tell me how to make the settings that the DP can be done but the same should not reflect in asset.
    Regards
    NS

    Hi
    1. Create a new field status group as a Copy of G067 in OBC4
    2. Supress Asset No in this FSG and assign it in Vendor recon accounts related to Down payments
    3. Now you create a DP request from F-47 specifying the PO No
    4. You will get an error msg F5 378, which you can convert to Warning in OAB5
    br, Ajay M

Maybe you are looking for