MIRO reversal issue

Hi,
We have booked a Service tax related bill through MIRO.
Same document is reversed. But the reversal document does not show the same Service tax related GLs as in original document.
Meaning, the reversal effect (only for service tax lines/amounts) is posted to the wrong GLs.
Can someone plz help?

Have You Cancelled the Material document in MR8M?
Actually you have to cancel Material & accounting document separately, which have been created when you post the document in MIRO.
If you cancel the same material document , the same G/L accounts will be credited & debitted, we can't make changes.
Pls check the same document you are reversing..

Similar Messages

  • Miro Reversal and GR IR Clearing

    Dear Friends,
    Once Migo and Miro is done and subsequently the miro is reversed while doing auto clearing of GR IR Account, the system is knocking off the original migo and the original miro and leaving the reversed miro as open item instead of clearing the original miro against the reversal miro.
    Is this a standard functionality due to cenvat issues or is there some other problem.
    Please advice how to take care of the same.
    Regards
    Mukesh

    This is standard only.
    When cenvat is there it should be very carefull at the time of MIRO and reversal of same in the same month.
    Manual clearing of MIRO & reversal of MIRO documents

  • Custom Miro Reversal

    Custom MIRO done and reversed in the same date & hitting PPV in the reversal document. both the Cusomt MIRO & reversal have same exchange rate. Why the PPV is hitting? Can anyone help on this?

    Dear Experts
    I have gone through these notes but these are applicable basically where there is a diff in exchange rate between MIGO and MIRO or where MIGO has taken place and there is a difference in amount of MIGO and MIRO.
    But when we do customs MIRO, no stock account or any P&L account gets hit. Its one liability account debit (Custom Clearing.....Dr) to another Liability Account (Customs Payable). GRN also has not taken place between posting of customs MIRO and its reversal.
    There is no change in exchange rate also at this point of time
    So why at the time of reversal a P&L account (price difference account) should be hit.
    Regards
    Sourabh

  • Urgent--Error in MIRO reversal

    Hi
    While doing MIRO reversal system giving me error as "Error in account determination for VSE CAIN"
    CAIN is my chart of accounts an VSE is transaction key for higher education cess.
    I checked in VSE ,G/L is there.
    Then I made Dr and Cr for same G/L in VSE.
    Then system giving me error as "Balance is not zero."
    What will be the reason?
    How to solve this problem?
    Its urgent pl?
    Points sure for any help.

    Enter the balance amount in the amount filed then you will not see this error.

  • Postings during MIRO reversal

    Hi Gurus,
    I have created a PO with account assignment (GL).
    *During MIGO entries are:*
    Acct  Assignemnt(GL)   +
    GR/IR                         -
    *During MIRO:*
    GR/IR                        +
    Vendor                       -
    But during MIRO reversal via MR8M:
    Vendor                      +  (full amount)
    GR/IR                        -   (Partial)
    Acct Assignment(GL)   -   (Partial)
    Why it hits account assignment (GL) during MIRO reversal?
    Please throw some light.
    Karthi

    Thank you Srinivas.
    The entries are like this:
    MIGO:
    GR/IR                     100
    Cons. Account        100
    MIRO:
    GR/IR                     100
    Vendor A/c              100
    Reversal of MIRO:
    Vendor A/c             100
    GR/IR                      30
    Cons. Account         70
    Please clarify.
    Karthi
    Edited by: Karthi Paramas on Nov 6, 2008 10:07 AM

  • Why miro reversal is not showing reference of original miro.

    Dear experts
    Why miro reversal is not showing reference of original miro. There is any provision for in system for that?/
    regds
    sachin

    Hi Sachin,
    While MIRO Reversing through MR8M Transaction code only.
    Where you should Enter the MM- Document Number (Not for FB03- FI Document Number)
    Check before Reversing the MIRO Document in MIR3.
    If the Above answers are correct Which type of Error comming let clarify.
    Regards,
    Kishore K

  • Material Reverse Issue

    I had a issue with a reverse issue 262 and it put the material into  914 bin(GI area for Production Order).We tried LT10 but error message 'System cannot find source bin".
    Please Help!
    Kenny

    Hi,
    If the quantity of quant in 914 is negative (-2pc) you cannot move it...that's all.
    You mentioned in your first message that you reversed the goods issue. If you reversed the goods issue and the stock level in 914 was zero before the reverse movement you should have a +quant in 914.
    Isn't it possible that you posted GI (e.g. mvt 261 10 pcs) --> the stock became negative --> you reversed only part of the GI quantity (e.g. 262 8 pcs) --> alltogether the stock level is negative (-2 pcs).
    Generally, if you post GI in this scenario:
    1. A negative quant appears in 914
    2. A TR is created (if you process the TR, a TO will be created and the stock will be transferred from "normal" storage type to 914)
    So, if you process the first TR (that is created for the GI) you will move the consumed qty in 914 (10 pcs). In this case you will have 8 pcs in the example.
    remarks:
    a) Whether a TR is created or not depends on your settings in WM/IM interface (SPRO > LE > WM > Interfaces > IM > Define Movement Types).
    b) You can check the created TRs in trx LB10
    Regards,
    Csaba

  • MIRO reversal split the value between GR/IR clearing and 3rd party material account

    Dear Team,
    We are facing the issue in MR8M for PO 4500002602; the PO has been created on 11/30/2012 in the previous fiscal year and performed the GR and IV in the 2013 fiscal year.
    For one GR the accounting flow is as follows:
    For the 3 GR's 5000013746, 5000013747 and 5000013748 one IV has been done 5105612646, at the time of IV the account entry is as follows
    GR accounting entry:
    Account
    Cost center
    Description
    Amount
    610020
    3500
    3rd Party Mat (SP)
    1,450.41
    211200
    Gds Rcvd / Inv Rcvd
    1,450.41-
    610020
    3500
    3rd Party Mat (SP)
    1,506.62
    211200
    Gds Rcvd / Inv Rcvd
    1,506.62-
    610020
    3500
    3rd Party Mat (SP)
    400.35
    211200
    Gds Rcvd / Inv Rcvd
    400.35-
    IV entry:
    Account
    Cost center
    Description
    Amount
    100762
    AIR PRODUCTS & CHEMICALS
    -4,135.98
    211200
    3500
    Gds Rcvd / Inv Rcvd
    3,357.38
    651200
    3500
    NITROGEN SUPPLIES
    778.6
    750090
    1100
    Sales Tax
    55.01
    216200
    Use Tax AP - State
    -55.01
    But for the same IV when user reversed with MR8M system split the GR/IR cost as follows:
    Account
    Cost center
    Description
    Amount
    100762
    AIR PRODUCTS & CHEMICALS
    4,135.98
    211200
    3500
    Gds Rcvd / Inv Rcvd
    3,245.65-
    610020
    3500
    3rd Party Mat (SP)
    111.73-
    651200
    3500
    NITROGEN SUPPLIES
    778.60-
    750090
    1100
    Sales Tax
    55.01-
    216200
    Use Tax AP - State
    55.01
    One line item at the time of MIRO i.e. 3357.38 is split into two line items i.e. 3245.65 and 111.73 in reversal.
    But in quality system when we create new PO, GR and IV system is working fine why in case of previous year PO system is behaving like this.
    Kindly advice.
    Regards,
    Ravi

    Dear Team,
    Any update on the above issue, please let me know any of you faced this type of issue so far and please through some light on the issue.
    Regards,
    Ravi.

  • Sap miro reversal error

    Hi,
    I am try to reverse the MIRO by MR8M i am geting on error massage " you are not authorized to post transactions in plant 1" Please guide me how to solve this issue MIRO is been posted on Plant 3 and reversal activity is also at Plant 3 .
    I also check the authorization level also correct.
    Please reply me .
    Regards,
    Mahesh Kumar

    Looks like message ZFI003 is a custom message.
    Standard message is FI003. check this thread.
    Error message FI003 "FM area XXX does not exist"
    May be some more authorizations are missing from FI side.

  • MIRO quantity issue

    Hi All,
    When iam tring to posting MIRO Iam getting error "Quantity entered larger than quantity to be debited" But In PO Actual qty is 40000 kg, against this PO user made one invoice, that is 12625 KG only, please suggest.
    Regards,
    venki

    Hi,
    You can cancel the existing PO and MIGO do it reverse then Freshly You can post PO , MIGO and MIRO make it. This way you will get resolve the issue.
    I will hope your problem has been resolved.
    Thanks,
    Venkat

  • Accrual Reversal Issue -F.81 -Urgent please

    Hi,
    I have made a accrual document in the begining of september and tried to reverse in month end.
    But the issue issue..while trying to reverse ,the Accrual document is showing under Docs which cannnot be reversed.
    So what should i do  kindly help me..
    Thanks
    Pratima
    Edited by: SAPGURU on Oct 19, 2008 7:53 AM

    Hi thanks for your mail.
    I did the same by giving the referance number.but it is not showing under "which can be".even it is showing "which can not be" portion..
    under the document i am able to see one message "F5-152:"Document number 3000 1000000007 2008 was already assigned"
    this is the message which i am able to see under the document.
    For your information: in the above message 3000 is the company code.
    please advice me,is there any problem in document number.
    Thanks
    Prathima

  • Error in MIRO Reversal - MR8M

    Hi Experts,
    User is getting the error while reversing the MIRO entry using T-code -  MR8M
    "Company Code / Cost Center number CTR belongs to business area BA1 not BA2".
    I checked in ME23N and MIR4. In both the T-codes correct Business Area is used i.e. the BA2.
    Please help where else I could look for the assignment of business area.
    Thanks

    Hi:
            Please check out which business area has been maintained in your cost center master data in KS03 as being used in your transaction. It is quite possible that before reversal the cost center assignment has been changed between invocie posting date and its reversal date.
    Regards

  • Custom's MIRO reversal

    Dear Experts,
    I did a custom's MIRO for one of my Import purchase order. Instead of doing it in INR, i wrongly did it in USD. The very next moment, I reversed the MIRO. There was no other document posted for this PO in between.
    When i reversed this Custom MIRO through MR8M, it hit the Price Difference Account.
    Can any tell me the reason why it hit price difference account???
    Regards
    Sourabh

    Dear Experts
    I have gone through these notes but these are applicable basically where there is a diff in exchange rate between MIGO and MIRO or where MIGO has taken place and there is a difference in amount of MIGO and MIRO.
    But when we do customs MIRO, no stock account or any P&L account gets hit. Its one liability account debit (Custom Clearing.....Dr) to another Liability Account (Customs Payable). GRN also has not taken place between posting of customs MIRO and its reversal.
    There is no change in exchange rate also at this point of time
    So why at the time of reversal a P&L account (price difference account) should be hit.
    Regards
    Sourabh

  • Incoming Payment Reversal issue

    I have a Incoming Payment that I need to reverse.  I reversed the Deposit,  but when I try to reverse the payment,
    a message is dieplayed "Can Not Cancel, One of Credit Vouchers was Cashed"
    The both the Invoice and Payment were generated in the current month.  There are no other transactions applied against the Invoice,
    What am I missing and how do I resolve this issue/ reverse the payment?
    Thanks in advance!!
    Dana

    Dana,
    Hope these threads could shade you some lights:
    Re: Bounce check (insufficient fund) in banking
    Re: A/R -NSF
    Re: Deposit and Incoming Payment
    Thanks.
    Gordon

  • Customer Incoming Payment Reversal issue

    Hi Friends,
    I cleared accounting document for customer incoming payment using F-28. and there is some problem so we want to reverse the same.
    how can we reverse the Customer Incoming Payment
    Thanks & Regards
    Vishal

    Hi,
    That menas one of the line item of your F-28 document has been cleared with another clearing document.
    Go to FB03 and enter your Doc no, CC, FY
    Click on the customer line item, and see there will be fields called cleareing document no and clearing date. Note down that document number.
    Now go to FBRA and give that clearing doc no and do reset and reversal.
    Then use FB08 to reverse your F-28 original entry.
    This will solve your issue.
    Thansk,
    Srinu

Maybe you are looking for

  • What is a saved search query? And can I delete it?

    I was making some back up disk and created a Saved Search Query. Can the file that's on my desktop be trash? What exactly is this, and what is it's purpose. Greg

  • Way to find Missing table Index in SAP ?

    Hi All, Is there any way to check missing tables index in SAP? and also DB size ? and reorganize the index and tables? Cheers Usman

  • Error after deploying a migrated JDeveloper application

    I am migrating an application from JDeveloper 9.0.3.4 to Jdeveloper 10.1.2(Buid 1811). When I test the application in Jdeveloper 10g, it runs well. After deploying the application in IAS 10g (9.0.4.1.0) I attempt to log into the application and I get

  • From Premiere Elements 4 to CS3

    I am considering moving from Premiere Elements 4.0 to CS3 (on Windows Vista 32 bit). I have a couple of questions regarding the two, I'm hoping someone here may know. 1) Can CS3 read Premiere Element 4.0 projects (windows versions). 2) Is CS3 more re

  • J2EE_ADMIN login authentication failed everyday

    Hi, I went to http://host:port/nwa and log in with j2ee_admin. it says authentication failed though we did not change the password before. I went to config tool, key storage,... to reset password for j2ee_admin and then sync it with j2ee_admin in ABA