Logistics Invoice verification - exchange rate

Hi Community,
We are doing Logistics Inv Verification with document currency other than the company code currency. As per SAP Standard the conversion rate can be entered at the header data for currency conversion which gets greyed out once we enter the purchase order and select the Goods Receipt line items. We cannot change the exchange rate even if we change the posting date of the invoice.
Client requirement is, the user will not enter the Exchange Rate at the time of Invoice verification. The system should read the exchange rate of the GRN selected ,on the basis of which the system will pass the financial entries. The intention of this requirement is ,there will not be any exchange rate gain/loss while doing LIV.
For information, the client is creating Pos with GR-Based IV. Also the user will select only one GRN at a time.
Regards,
Abhishek

Hi Abhishek,
While creating the PO, in the header data section, under the Delivery/Invoice tab...
Check the flag - EXCHANGE RATE FIXED
This will not allow you to change the exchange rate at the time of Invoice Verification.
Regards,
Mike

Similar Messages

  • Invoice verification----exchange rate problem

    Dear All.
    We use expense Purchase order. When PO do goods receipts, the debit account is assigned to the expense account through account assignment category. The accounting process is as follows:
    But when the purchase order’s currency is foreign currency ,when the exchange rate at the time of the good receipt is differ from the exchange rate at the time of the inovic receipt.there exist exchange rate difference. Currently the system process as follows:
    Do good receipts:(exchange rate:  usd/rmb = 7.75).
    Dr: expense account   usd  100 (rmb 775)
    Cr:  GR/IR         usd.  100 (rmb 775)
    Do invoice receipts:(exchange rate:  usd/rmb =8).
    DR: GR/IR            usd  96.875 (rmb 775)
       Expense account   usd 3.125 (rmb 25)
    CR: AP-vendor        usd 100  (rmb 800)
    Now I have a problem.:How I should configure in order to the exchange rate difference(RMB25) can be into exchange rate account not the original expense account.

    Define Auto posting for exchange rate difference : OBA1.
    Anyway, u should tick GR-non valuated option for expense PO then this problem will not be occurred.
    Rgds.

  • Invoice Verification - Exchage Rate Difference

    Hello everyone,
    We have a problem with the determination of the exchanges differences between GR - Good Receipt and IV -  Invoice Verification.
    We would like to post these exchange rate differences in a particular account (included in TC OBYC transaction KDM), but the system automatically posts the difference in material cost account (the same account of the material itself).
    In our system we manage consumable and not stock materials (not inventories).
    Are there any solution related to MIRO TCode? Can we manage:
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    - post manually the difference in G/L Account section
    Please could you suggest us a solution for the problem?
    Thanks.
    Best regards
    GFV

    In SPRO  check the  settings in the following node :
    Materials Management->Logistics Invoice verification->Incoming Invoice->Configure How exchange rate differences are treated.
    Here there are 3 options :
    1.  The exchange rate differences will be calculated from the difference between the exchange rate at the time of the goods receipt and the exchange rate at the time of the invoice receipt.
    2. The exchange rate differences will be calculated from the difference between the exchange rate at the time of the invoice receipt and an assumed exchange rate that is valid for a specific amount of time, such as a year or a season.
    3.No exchange rate differences will be calculated.  Instead, differences from exchange rate variations will be considered as price differences and posted to a price difference account.
    If you select 1,2,  then Exchange rate differences will be posted to the KDM gl account.
    If you select 3, then  It will be posted to Price difference

  • MRNB- Revaluation with Logistics Invoice Verification Vendor wise

    Dear Experts,
    As per SAP standard MRNB transaction is vailable for Revaluation of Purchase Order Price changes.
    My requirement as below:
    We are manitaining Purchasing Info Records compulsory.
    when purchasing rate changes, we are changing Info Records and not chaging purchase orders( its very tough taks to chage Individually Bcoz huge count).
    so want  Revaluation with Logistics Invoice Verification Vendor wise from Purchase Info Records.
    is there any other alternative.??
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    ..Ajay

    Hi subhuram,
    I want credit memo or debit memo to Vendors.
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    Ajay

  • Problem while 're-posting' a cancelle Invoice with Exchange Rate Difference

    Hi Gurus,
    We are facing a problem while re-posting an Invoice with Exchange Rate Difference. I say re-posting because this invoice was previously posted and reversed on the same date. Here is the scenario along with the relevant postings:
    1)
    G/R is posted in September when the exchange rate for dollar was, say, Rs. 49 = 1 USD.
    Posting:
    Service A/C.....100 USD (Rs. 4900)
         To SR/IR Clearing A/C...100 USD (Rs. 4900)
    2)
    MIRO is done in October, when the exchange rate was, say, Rs. 48 = 1 USD. Thus, the exchange difference posting was done in the respective accounts.
    Posting:
    SR/IR Clearing A/C......100 USD (Rs. 4900)
         To Vendor A/C...........90 USD (Rs. 4320)
         To TDS A/C..............10 USD (Rs.  480)
         To Exch. Difference A/C. 0 USD (Rs.  100)
    This was the correct entry, however we missed out some TDS codes and thus needed to reverse this entry and repost it.
    3)
    Now this invoice was reversed (T.Code MIRO) in october itself on exactly the same date on which invoice was created, and it resulted in the following postings:
    Vendor A/C......90 USD (Rs. 4320)
    TDS A/C.........10 USD (Rs.  480)
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    4)
    Now when we try to post MIRO again, it is posting the following entry:
    SR/IR Clearing A/C......97.96 USD (Rs. 4800)
    Exch. Difference A/C.....2.04 USD (Rs.    0)
         To Vendor A/C........... 85 USD (Rs. 4080)
         To TDS1 A/C............. 10 USD (Rs.  480)
         To TDS2 A/C.............  5 USD (Rs.  240)
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    Can someone please help us with this. What the system seems to be doing is, that when the Invoice was reversed, the value that got reversed for SR/IR Clearing A/C was 100 USD but with Rs. 4800 instead of Rs. 4900. Now, when we try to repost the invoice, the system divided this value by the exchange rate prevalent in September, i.e. Rs. 49, thus the resultant value 97.96 USD (i.e.  4800 / 49).
    Please help.
    Thanks!
    Regards,
    Angad Nagpal

    Solved.
    The final entry is correct, as the net result in the G/L balances is the same. For further information please refer to notes 116250 and 46564.
    Thanks!
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  • Align MM and FI Document Numbers in Logistics Invoice Verification

    Hi All,
    Need help!
    Requirement : Align MM and FI Document Numbers in Logistics Invoice Verification
    Followed all the steps as per the SAP documentation : Materials Management > Logistics Invoice Verification > Incoming Invoice > Number Assignment > Maintain Number Assignments for Accounting Documents
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    I have done the following:
    1. Assigned MM and FI documents the same number range and both are in sync.
    2. MM Documents are configured to be internally generated,
    3. FI  Documents are configured to be externally generated.
    While during MIRO system generates errror and tells "Accouting Doc number are externally configured" (Not remembe the exact error) ? What is the solution for this issue. I need to align the MM and FI Document Numbers in Logistics Invoice Verification.
    Gone through articles on internet and all discuss the same steps and configuration.
    http://wiki.sdn.sap.com/wiki/display/BPX/HowtoAlignMMandFIDocumentNumbersinLogisticsInvoice+Verification
    Kindly provide inputs as to what could be the missing configuration or probable solution.
    Thanks!
    Dev
    Edited by: dev ahuja on Aug 19, 2010 3:03 PM

    Hi,
    Following step should be missing in your system:-
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    u2022RS: cancel, reverse invoice (MR8M), evaluated receipt settlement (MRRL), EDI invoice receipt, invoicing plan (MRIS), and revaluation (MRNB). 
    You need to update the number range interval for transaction RD.*
    Please check.
    Regards,
    Gaurav

  • How to mass change posting date of parked logistics invoice verifications

    I was wondering if someone can help...
    We are looking if there is a standard SAP program available to mass change the posting date (to a new date in a new period) for a number of parked logistics invoice verification documents.
    Example: Invoices are parked in e.g. April 2010; relevant information is not available before month end; so invoices will probably be posted somewhere in May or June or ...; users now have to individually change the posting date on each parked invoice to the new open month.
    Is there any proces/program that could automate this task.
    Thanks in advance for all your advice, feedback and comments.
    Best Regards,
       Luc Vernieuwe.

    Hi,
    There is no standard tcode , i used Tx Shuttle tool to do this in past for one of my client. ( excel based sap transaction tool)
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  • Check when saving Logistics Invoice Verification (MRMBADI_INVOICE_SAVE)

    Hi everybody, we have an ECC 6.0. with IS-Retail platform, and we have noticed that during Logistics Invoice Verification process (Tx MIRO), it´s possible to make mistakes by choosing a vendor, then picking an invoice from another vendor, with the particularity that both invoices have the same delivery note number as PO reference (same vendor´s delivery note number / GOHEAD-LFSNR). The system doesn´t check if PO reference corresponds with correct vendor while saving the document.
    Our question for you is if there is a Customizing way to activate a validation which allow us to solve mistakes describe before???
    We found BAdI method IF_EX_MRM_INVOICE_UPDATE PROCESS_AT_SAVE which is processed when saving an invoice, the method calls are encapsulated in the function module MRMBADI_INVOICE_SAVE which is responsible for saving invoices.
    If there isn´t a Customizing way to activate a check like that, the second question we have for you is if you have experience with this BAdI??? Does it work with this kind of validation??? We need to ensure that PO reference corresponds to correct vendor (GOHEAD-LIFNR / RF02K-LIFNR).
    Thanks in advanced for your help,
    Regards,
    Miyuki Quiroz.

    Hi,
    Duplicate invoice check will fulfill your requirement. System will check is the invoice exists with same invoice date, reference and company code.
    Follow the path SPRO -- IMG -- MM -- LIV -- Incoming Invoice -- Set Check for Duplicate Invoices
    Also tick check box for "check double invoice" in vendor master accounting data.
    In case you want amount also as one of the checking parameters, then you need to go for validation. No standard setting is allowed for that.
    Nikhil

  • "LIV" (Logistics Invoice Verification) BI cube ?  Is there anything like ht

    I have been having a difficult time trying to get an answer to a question. 
    We currently capture Spend in R/3 by looking at the PO related invoices (posted via LIV) and the non-PO related invoices (posted via FI-AP). When we create our R/3 ABAP 'spend reports' we look at the date when the the invoices were paid (cleared), and subtotal by business area or IO#.  We cannot use the PO line item cube, because that doesn't show the spend by the paid (cleared) date of the invoice. 
    What cubes do I need to load in BI to get this same type of data?  I'm thinking it would be an "LIV" (Logistics Invoice Verification) cube, but I cannot find any information on that.

    Hi
    During the Duplicate Invoice check, the system checks for the following:
    Vendor
    Currency
    Company code
    Gross invoice amount
    Reference document number
    Invoice document date
    If the same matches, you can set up an error/warning message. The  message set up is done in:
    OBA5
    Application Area WS
    Message No.121
    Online and Batch : E
    If you want to write your own checking logic using the Business Transaction Step 110. For activating BTE
    1. Create a Function module by copying SAMPLE_PROCESS_00001110 and adding your own Abap code for duplicate invoice checking.
    2. Go to T.code FIBF and in the menu go to Settings->Products -> Of a customer
    3. Create a new product and save
    4. Again go to T.code FIBF and in the menu go to Settings->Process modules-> of a Customer
    5. Create new entry as follows and save.
    Event: 00001110 Appl:FI-FI Function Module : (Name of the FM you have created) Product : (The one which you have created)
    Regards
    Sanil Bhandari
    <a href="http://www.vcq.biz/">ronaldo wallpapers</a>, <a href="http://www.utorrent.name/">utorrent</a>Hi
    <a href="http://freeebooks.name/">books online</a>, <a href="http://www.utorrent.name/">utorrent</a>

  • Logistics Invoice Verification - Configuration

    Hello Friends
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    Vijayakumar TVN

    Hi, have you checked help.sap.com..see below links:
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    Hi Gurus,
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  • Invoice Plan settlement with Logistics Invoice verification -MRIS

    Dear All
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    Hi all,
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    Hi
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  • Logistics Invoice verification and Quality Management

    Hi,
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    Dear ,
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