Logistis Invoice Verification(LIV) process

Hi Experts,
Can you please tell me abt the LIV process in details.In my scenario,When an IDOC of type INVOIC02 message type INVL/INVM is successfully posted to SAP system form XI system,it will trigger LIV process.But I dont know how this actually happens and what code i have to write for this interface.
Also provide me some code for this.
Thanks a lot
Regards
Krishan

LIV is the process to pay the vendor
once you create the PO, you can receive the GR agianst the PO and than Post the invoice if your PO is GR based IR checked OR
you can Post the invoice before GR also but in this case the GR based IV should not be checked in the PO.
Now this process has nothing to do with ABAP Implementaion.
ABAP can develope for this transction if somthing require for custom logic.

Similar Messages

  • Logistic Invoice Verification

    Hello,
    Would You help me with input fields during Logistic Invoice Verification? We have GR-based invoice verification and purchase order is created with order unit, which differs from order price unit. For example, PO quantity is 10 packing units (1 PAC = 10 pieces) and price is 1EUR per 1 piece. Goods receipt is done in packing units, but invoice is sent to us in pieces. During invoice verification I want to enter quantity in purchase order price unit (this field is read for input) and I expect that system will automatically calculate quantity in order unit using denominator for converting condition units to base units. But it does not happen so. See an example:  GR 9 PAC (=90pieces), quantity invoiced 100 pieces. In trn.MIRO I want to enter 100 pieces and 10 PAC should be calculated automatically.
    Would You help me with this problem?
    Best regards,
    Natalija

    Hi ,
    LIV can be done with respect to GR . And system picks the data from PO and GR only . So there is no way you can change the unit in MIRO .
    Its better you educate your vendor to send the invoice in units the way it has been made in PO .
    Others can add to this if I am wrong .
    Thanks
    Dipak

  • Vendor invoice and logistic invoice verification ?

    Good morning Guru,
    What is the difference between  "vendor invoice" in accounting module and "logistic invoice verification"  in MM module ?
    I know logistic invoice verification to validate between po, gr and invoice, but what vendor invoice for ?
    Thank's

    Hi
    Accounting-wise both has the same result as in both the scenarios you can debit expense and credit vendor. The advantage of Logistics Invoice Verification over Vendor Invoice is, in Logistics Invoice verification, we have three way matching of documents ie PO,GR and Invoice. So if there is any mismatch between these, the invoice will get blocked for payment. Also it checks for accuracy between PO and invoice and GR and invoice, so that the expenses are accounted accurately and price diff account also effected appropriately.
    In Vendor invoice booking, it is just like your normal journal entry and so it has not got that much authenticity over the correctness of transactions. In vendor invoice booking, there is every possibility of duplicate booking of invoice, whereas in LIV, the invoice will get blocked for payment.
    Hope it is clear.
    Regards,
    K Lakshmanan

  • Invoice verification and logistic invoice verification

    Hello,
    What is the different between invoice verification and logistic invoice verification?
    My Japanese client need to work with t.code: VXJ2 - customs declaration for import billing documents - Japan
    When i run this report, it finds no data.
    I read the help for this transaction and it says that only invoice verification (and not logistic invoice verification) is supported for this transaction.
    Best regards,
    Avishai Kaplan

    Hi Avishay, 
    Logistics Invoice Verification 
    Logistics Invoice Verification is a part of Materials Management (MM). It is situated at the end of the logistics supply chain that includes Purchasing, Inventory Management, and Invoice Verification. It is in Logistics Invoice Verification that incoming invoices [Seite 11] are verified in terms of their content, prices, and arithmetic. When the invoice is posted, the invoice data is saved in the system. The system updates the data saved in the invoice documents in Materials Management and Financial Accounting.
    Logistics Invoice Verification is closely integrated with the components Financial Accounting (FI) and Controlling (CO). It passes on the relevant information about payments or invoice analyses to these components.
    Features:
    In Materials Management, Logistics Invoice Verification has the following features:
    u2022 It completes the material procurement process, which started with the purchase requisition and resulted in a goods receipt.
    u2022 It allows invoices that do not originate in materials procurement (such as services, expenses, course costs) to be processed.
    u2022 It allows credit memos to be processed, either as invoice reversals or return deliveries.
    Invoice Verification 
    The main aim of invoice verification is to ensure that vendors are paid the correct amount at the right time ( not too late but also not too early ). The process should have a high incidence of fi rst-time matching, to ensure that as little time as possible is spent trying to manually match invoices that appear to be incorrect.it is important to include as few steps as possible in the process, considering that the process of handling payments
    does not in itself add value to the company or to the vendor.
    Main steps: 
    The capture of the vendoru2019s invoice details
      The matching of those details to the details that we
    believe to be correct
      The investigation of any mismatches
      The release for payment of matched invoices
      The accounting entries involved ( including taxes and
    delivery costs )
      The details recorded for audit purposes 
    Hope this information helps you out in understanding the differences  between the two
    I ncase of any further clarification do put a message
    In case if this information is of any help to you please do reward accordingly
    Thanks  & Rewards
    Pavan

  • Out put logistic invoice verification (print out need in chinese language)

    Hi All
    In MR90 out put logistic invoice verification I am getting output (Printout) in English the requirement is chinese language has to add in output.I know however I need to take help of abaper.I want to know what r the configuration steps to fill this requirement.can any one help me regarding this. Points will be added..
    Thanks
    Srini

    Hello
    Check this link and coordinate with ABAper.
    http://help.sap.com/saphelp_erp2005vp/helpdata/en/d1/27d457f17b11d287d0080009b98822/frameset.htm
    Reg
    *assign points if useful

  • Blocking logistic invoice verification at company code level

    Dear all,
    May I know what is the system setup (SPRO) for this:
    Blocking logistic invoice verification at company code level ?
    Thanks
    tuffy

    Hi There
    I think it can be solved in 2 ways,,
    1. Number range, if you have not defined for the particular company code for this year,,
    2. Authorization for the Comp Code level (Check with your basis team ,, it will be the easieast way to block it for CC level and when ever you want they can just remove the block, (insterad of doing the changes in config, if basis can control the authorization it will be the best way)
    Hope it helps,,
    Thanks
    Senthil

  • Logistic Invoice Verification Amt PO Amt

    Hi,
    During logistic invoice verification(T-code:MIRO), if my PO amt is 100, GR is 100 but my invoice amt is 80, I would like to absorb the other 20 to some other account ratther than to let is auto-posted.
    How can I do so? Possible in MIRO?
    Thanks,
    CW

    Hi,
    This is possible,
    You have to maintain the material master with Standard price control i.e S.ie the material is valuated at a standard price
    A receipt posted to a stock account is generally posted at the standard price. Differences between the order price and the standard price are posted to an “Expenses/revenue from price differences” account.
    n Differences between the invoice price and the order price are posted to an “Expenses/revenue from price differences” account .
    You have to maintain the account determination for Transaction PRD -valuation class (Which is assign to material master)-Req G/L Accounts.
    when you maintained the material master by moving average price then for posting the differences bet PO price and Invoice prices ,you must have to issue all the stock material i.e the stock coverage in the company code is smaller than the quantity to be debited or credited.
    Rewards if Helpful....
    Regards
    Sanjay L

  • Downpayment Clearing in Logistic Invoice verification

    Hi All,
    we have activated Business Function " LOG_MMFI_P2P " and
    Switch "MM_SFWS_CI_01 - Enhanced Functions in EhP4 for Applications in
    Materials Management" using Tcode SFW1. And followed all instructions
    documented when activated Business Function " LOG_MMFI_P2P ". The
    Busines function is activated to order to clear downpayments at the
    time of invoice posting in MIRO or MIR7. When I post the invoice in
    MIRO system is posting 2 indepedent document as below.
    1. Invoice posting,
    Dr GR/IR
    Cr Vendor
    2. Downpayment Recovery
    Dr Vendor
    Cr Vendor with SP GL Indicator "C"
    My point is, as per the link
    http://help.sap.com/erp2005_ehp_04/helpdata/EN/48/b42c22e8603095e10000000a421937/frameset.htm, it says "You can use the Down Payment Clearing
    function to clear down payments that you have posted with reference to
    a purchase order without going to the relevant financial accounting
    transactions, directly in logistics invoice verification."
    But, in my case, the system is not clearing the downpayment but instead
    is just posting a Credit memo account entry with SP GL indicator (refer
    to th Downpayment Entry).
    Please advice if SAP is designed to clear the downpayment in LIV or
    just to post the downpayment recovery entry.
    If advice on any corrections to be applied.
    Best regards
    Abishay Solomon

    Hi
    I am not sure, but as per your link
    "The system displays the Down Payment Clearing pushbutton at header level"
    are you getting any button there?
    Regards
    Kailas Ugale

  • Logistics Invoice Verification (LIV) -IR before GR

    Hi All,
    We're going to post an invoice for a certain Purchase Order (PO) where no goods receipts had been posted yet. Is there any anyone who knows what tolerance key and system message should I need to configured in order for the system to check the quantity entered during the first invoice posting. If the quantity entered during the first invoice posting is greater than the PO quantity then system should prompt an error message.
    Any information will be highly appreciated.
    Regards,

    Hi,
    Just Chk this path
    Spro -> MM -> Purchasing -> PO -> Define Screen Layout at Document Level
    Select ME22 and Then GR/IR control
    Make GR-based invoice verification field as Display
    Hence, nobody can do any changes as those details will be picked up by the Vendor Master and Vendor Info Records.
    Pls correct me, if I'm Wrong
    Assign Pts if possible
    Rgrds
    Sandeep Acharya
    SAP FICO

  • Error message in Logistic Invoice verification.

    Hi.
    When I am doing Invoice verification with reference to purchase order. I am facing a error message as
    "Tax code V1 country IN does not exist in procedure ZAXINN
    Message no. FF713
    Diagnosis
    You entered a tax code, which is not defined for the country of the company code to be posted to in the tax calculation procedure.
    System Response
    Procedure
    Check and, if necessary, correct the entry."
    In spite I have assigned the calculation procedure to the country and created the tax code in the transaction code FTXP.
    Can any body help me how to resolve this error message. An immediate response would be appreciated.
    Cheers
    Guruprasad

    Hi Guru,
    For This error Pls find out the Folowing.
    1)Any Purchase order history is there or not if it is there check previous Tax code.
    2)Check Authirization.
    3)Check PO tax code and MIGO tax code.
    4)Check validity Period.(This is not the reason)
    Even Though  U maintain all Basic settings, this error is comming in Some time when some GUDBUD.
    Pls Check all relate objects then ur Problem will solved.
    Thanks,
    Raghu

  • Special GL posting in Logistic Invoice Verification

    Hi..
    We want to post / clear down payment / Deduct the amount t to special GL Account. . SAP Standerd not suuport such functionality. Any one using such functionality in LIV (MIRO TRANSACTION). 
    Need your help / suggestion for same.
    Thanks in advance
    Thanks
    Rakesh

    Hi The answer from SAP for your question as follows
    It is not possible to post an invoice to a special G/L account in transaction MIRO as the field UMSKZ is not available there.
    The reason is, that the field UMSKZ is not available in the runtime structures of the used program in logistics IV and doesn´t exist in the database tables for MM. So if the field would be populated in transaction MIRO it could lead to problems when parking or cancelling an invoice as the field value could not be saved. Furthermore the field could not be filled in automated IV-processes.
    The transaction MIRO does not cover all functionalities of the transaction FB60. Its main function is to create invoices with reference to a purchase order where it is normaly not necessary to post a different
    reconciliation account.
    Regards
    Antony

  • Invoice Verification (LIV) - Vendor specific Tolerance

    Hi Friends ,
    Could some one jelp me to understand the following query
    1.For company code "XXXX" I have configured invoice tolerance limit ( PP- Price variance) 10 % upper limit. For the same company code XXX I have created Vendor specific tolerance group as 20% upper limit and assigned to a vendor in vendor master. Now which one system will take . I guess it should be Vendor specific tolerance ?
    2. In Point one , while creating vendor specific tolerance group , I have not configured anything for Lower limit . But in general tolerance I have configured ( PP- Price variance) Lower limit as 10%. If the invoice value goes below 10% for a vendor for whom we have assigned tolerance group in vendor master , how the system will behave. Will system take lower limit from general tolerance and block the invoice ?  or it will not block as there is no lower limit in vendor specific tolerance group?
    Pls help
    Deva

    Hi
    as far as my understanding goes vendor tolerance and tolerance limits are different.
    When you specify vendor tolerance limits and attach tolerance group to vendor master, then system issues a warning/error message at time of posting invoice about the difference. If tolerance is with in limits system allows you to process invoice otherwise not.
    On otherhand tolerance limits like PP specified in OMR6 transaction are used for invoice blocking. If invoiced value exceeds the tolerance limits specified it will block IV for payment but will not stop user from processing IV.
    Thanks

  • Logistic Invoice Verification - OMR6 vs. Vendor specific tolerance

    Hi, a question on the relationship between PP tolerance limit and vendor specific tolerance.
    In OMR6 I have defined an upper an lower limit of 5% for a company on PP. In Vendor specific tolerances I have defined a tolerance group with lower 1% and upper 2%. This group is attached to a specific vendor.
    The purchase order for this vendor shows an amount of 100 euros. When posting the invoice for this purchase order I enter a purchase price of 102,50 ( so 2,5% difference). I did expect that SAP would issue at least a warning when entering and posting the invoice using the MIRO transaction, however I am able to post the invoice without any warning/error.
    Does anyone has a clue why things are not working as expected?
    Thx, Paul

    I did already setup vendor specific tolerances using the path you indicate. Settings are:
    On percentage lower limit
       Check limit : Checked
       PercLowerAccLim : 2%
    On percentage upper limit
       Check limit : Checked
       PercUpperAccLim : 1%
    Thx, Paul

  • Tcode: MR8M---Logistic invoice verification'document can't be reversed

    Dear Experts.
    I have a logistic invoiceverification' document and use tcode:MR8M to reverse it ,but can't be reverseed ,the system issue the wrong information :"No reversal possible. Reverse value must be reset".please tell me how  I  should do? thanks!
    Fanny.

    Hello Fanny Chen,
    In certain situations, the reversal of posting documents may be cancelled with an error. This may, for example, occur in the following situations:
    The specified posting date is in a posting period that is already closed.
    At the time of the reversal, the posting of the original document had not been completed.
    Account assignment objects (for example, cost centers) which were posted to in the original document are closed at the time of the reversal.
    Posting items that were created by the original document are already cleared at the time of the reversal (for example to customer and vendor accounts).
    In your case it seems that the posting items that were created by original document are already cleared so you need to first reverse the cleared document which the system is trying to mean by saying"No reversal possible, reverse value must be reset.
    UNDER THESE CIRCUMSATNCE PROBABLY YOU NEED TO USE THE  TRANSACTION FOR WHICH ALL CLEARED DOCUMENT CAN BE RESET AND REVERSE
    1)     TCODE  :   FBRA
    2)     CLEARING DOCUMENT  :  ENTER THE CLEARED DOCUMENT NUMBER
    3)     COMPANY CODE  :  ENTER COMPANY CODE
    4)     FISCAL YEAR  :  RELEVANT FISCAL YEAR
    5)     CLICK THE SAVE BUTTON
    6)     IN THE NEXT SCREEN CLICK YES
    7)     THE SYSTEM WILL GIVE ANOTHER MESSAGE BOX WITH THREE OPTIONS : 
    ONLY RESETTING
    RESETTING & REVERSE CLICK ON THIS
    CANCEL
    8)     SELECT THE MIDDLE ONE I.E. RESTTING & REVERSE
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    10)     ENTER 01 AND THEN PRESS ENTER
    11)     THE SYSTEM WILL RESET THE DOCUMENT
    After this resetting is done you can use MR8M Tcode.
    Hope I had been able to help you. Please assign points and close the thread.
    Rgds
    \Manish

  • Report Logistic Invoice verification

    Hi guys,
    is there a standard report which,starting from Invoice receipt number as input field,give me the Goods receipted linked?
    I have tried by ME2N,L,M with scope of list 'Alles' but I don't start from Invoice...
    thanks
    Bye

    You can use the table EKBE to retrieve the data you want.
    Use the field VGABE (Trans./event type) = 2 for Invoice Receipt and
    Enter the Invoice Number on the field BELNR (Material Document) and the year on GJAHR (Material Doc. Year).
    Then Execute.
    Then you can find the Reference PO Number, PO item number, Material, Posting Date, Ref GR Doc Year (LFGJA), Ref GR Doc Number (LFBNR) and Ref GR Doc Item (LFPOS).
    Note: The GR Document number can be seen as reference, only if the invoice was made with reference to the GR Material document number.

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