MIRO - Verify Cross Company Invoice

Hello Experts.
In transaction MIRO the system automatically detect a cross company transaction, and that's fine.  
But my client, just need a cross company invoice between specific two company codes.   Otherwise,  the system should send and error message.
If it possible do this?
I appreciate your help.
Hector

if the clearing accounts not there in OBYA between 2 company codes then system will throw error. So dont maintain values there except for  ur company codes

Similar Messages

  • A reversal of a cross-company invoice posting

    A reversal of a cross-company invoice posting between Austria and Germany is recorded only in one company code. It needs to be recorded in both Austria and Germany company codes.
    please provide the solution

    Hi,
    What version of SAP do you use? If it's <= 4.7, then look at the note 611777.
    Regards,
    Eli

  • Cross company invoice

    Hi,
    Please let me know If we use SRM, can we not post the g/l expense portion to a different company code than the one we are paying from.
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    Manu

    It's a limitation in SRM, it won't support cross company payments

  • Account Assignment/Cross Company - Invoice on SD-Order instead of CO-PA

    Dear friends,
    I am currently working on an issue with a cross-company MTO production and sales process, which creates following postings:
    Sales order in plant/company code 0001, production of some items in plant/CC 0002.
    Delivery & intercompany invoice from 0002-->0001, posting of goods receipt and IC-revenues are done on the sales order item (ok!).
    When we create the invoice to the customer in the selling CC 0001, the items which were delivered and invoiced from the production company go directly to CO-PA, but we want to see the postings on the sales order item.
    As mentioned in OSS note 394481 this seems to be standard, is there a possibility to prevent the CO-PA postings and instead post them on the sales order?
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    PS: Account assignment categories and requirement classes/types seem to be fine...

    Hello Piet,
    after some further research I noticed an paragraph in OSS note 394481 which describes, that no valid CO-object exists in the invoicing comp.code.
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    Edited by: Andreas Franz Ratzenboeck on Jan 8, 2009 2:54 PM

  • How to post a cross-company invoice using the BAPI_TRANSACTION_COMMIT?

    Hi
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    BAPI BAPI_TRANSACTION_COMMIT is not used for a specific application, but needs to be called always after any BAPI is called to post the data that were changed in the BAPI to the database.
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    endif.
    Check the documentation you have to see if you can find the application specific BAPI.
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  • IDOC INPUT INVOIC FI Issue (Cross Company Sales)

    Hello All,
    As you know  this  IDOC posts the FI document for the cross company sales in the receiving company code.
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    2. No material numbr from the SD billing document is added into the FI item. When I display the FI document the material is in the screen control. I guess I may need to use a userexit that allows me to add it manually in the field or as a text item.
    3. CO-PA posting doesn't exist for the FI document as SAP advises that the GL account in OBCB is not a cost element. If I added the GL as a cost element then I would need to use a substitution or userexit ... to then change profit centre, etc. Note, if costs are not going into CO-PA then this will show  incorrect sales profit figures, as cross company invoice is flowing into CO-PA.
    4. Italy "free goods" have VAT charged, so I'm thinking that the IDOC cannot be used for Italy as mentioned in (1) above.
    Looking for some handy advice.  Note I have seen IDOC questions here and in SD, so not too sure this is the best place.
    Regards and Thanks
    Waza

    hi
    In Segment E1EDK01 there is a field EIGENUINR which holds the VaT number.
    Regards
    Prajwala K.

  • Cross company Purchase order

    HI,
    I am using MIRO to create a cross company transaction between company A and company B.  Both companies have different first local currency : Company A is in CAD and company B is in USD.  When I try to post the invoice I get the message M8396: Different local currecies CAD USD.  I want to know is exist any restriction to do this transaction and if there is any SAP note that talk about this issue and explain what are the conditions to do cross company transaction?
    Thank you for your help...

    The reason for error message M8396 "Deviating local currencies &&"
    is explained in note 317318:
    "You enter a cross-company-code invoice. Here, all involved company
    codes must have the same (first) local currency."
    In the MM module it is not possible to post a cross company invoice
    for company codes with different local currency. As you are aware the
    error message is M8396 issued.
    M8 396 was introduced in the system by note 317318 to prevent posting
    cross company invoices with deviating local currencies and to prevent
    inconsistencies in FI from docs posted from MM. This type of complex
    posting is ONLY supported in the FI module. For more information on this
    error message please also review note 321790.
    You will not be able to post the invoice document with the company codes

  • To validate no cross-company purchase order in F-47

    Dear Gurus,
    I would like to ask if there is any user exit / BADI that can be used  to validate no cross-company Purchase Order(s) being entered in transaction F-47 : Down payment request.
    Kindly advise.
    Thanks & regards,
    LOI

    The reason for error message M8396 "Deviating local currencies &&"
    is explained in note 317318:
    "You enter a cross-company-code invoice. Here, all involved company
    codes must have the same (first) local currency."
    In the MM module it is not possible to post a cross company invoice
    for company codes with different local currency. As you are aware the
    error message is M8396 issued.
    M8 396 was introduced in the system by note 317318 to prevent posting
    cross company invoices with deviating local currencies and to prevent
    inconsistencies in FI from docs posted from MM. This type of complex
    posting is ONLY supported in the FI module. For more information on this
    error message please also review note 321790.
    You will not be able to post the invoice document with the company codes

  • Cross Company Sercice Order.

    Hello,
    We have 3 Company Codes and Each has 1 Plant.
    Lets say -
    Company Code - 001, 002, 003
    Plant - 001, 002, 003
    Profit center & Business area is also same
    Each company code have only 1 Profit center and Business area
    Now issue is
    We have created work order in Co. Code 001
    Service will be provided for all companies.
    can we create service entry sheet with account assignment of COST CENTER of Company code 002.
    What will be the configuration required.
    Regards
    Kant

    The reason for error message M8396 "Deviating local currencies &&"
    is explained in note 317318:
    "You enter a cross-company-code invoice. Here, all involved company
    codes must have the same (first) local currency."
    In the MM module it is not possible to post a cross company invoice
    for company codes with different local currency. As you are aware the
    error message is M8396 issued.
    M8 396 was introduced in the system by note 317318 to prevent posting
    cross company invoices with deviating local currencies and to prevent
    inconsistencies in FI from docs posted from MM. This type of complex
    posting is ONLY supported in the FI module. For more information on this
    error message please also review note 321790.
    You will not be able to post the invoice document with the company codes

  • Cross Company Code Invoice cancellation

    Hello All,
    I am facing an issue wherein the User wants to Reverse the Cross -company code Invoice. The user is unable to cancel the Invoice because of the Error "Dcoument allready contains cleared Items- reversal not possible. Can you suggest how can we proceed in this case.
    Thanks
    Nitin

    Hi,
    One of the vendor item of your CC document line items might have been cleared.
    Means after posting of invoice, there must be an payment have been posted, since you cannot reverse invoice first.
    If payment is already made, first reverse the payment document using FB08 and then reverse your CC document using FBU8 incase of FI entry, where as if it is an MIRO invoice, use MR8M to reverse the CC invoice document.
    This will resolve your issue.
    Thanks,
    Srinu

  • Cross Company MIRO Transaction - BSEG-TXGRP Not Valued for Account Type "S"

    I am working with the ABAP group to create tax reports for audits and sales tax charged by vendor.  I am basically wanting a line item report of all purchases along with any tax applied to each line.  Therefore, I am, for the most part, using tables BKPF, BSEG, and BSET.  For our US transactions, we have one company paying the invoice on behalf of all other US companies.  Essentially, every transaction is a cross-company transaction.  The problem is I am having a hard time tying BSEG to BSET by line item.  For FB60 transactions, I can tie BSEG-TXGRP to BSET-TXGRP; however, for MIRO transactions, BSEG-TXGRP is not valued for Account Type "S" (GL Accounts).  Any ideas?  I could not find a note to capture this issue.  There was a note, but it was with regard to Account Types "D" and "K" I believe, vendor and customer accounts.
    Any help would be greatly appreciated.
    Thanks,
    Deanna

    So,
    Did you ever resolve this.  I have the EXACT problem right now.   Inter-co. MIRO documents only getting TAXGRP popuplated for Original Co. Document (not cross-co. document).
    Thanks,
    - Tim

  • Cross Company code invoices.

    Hi All,
    I want to creat a Cross Company code PO based invoices in MIRO.
    I have created 2 PO's with the same vendor and differenct company codes.
    But in MIRO it is taking only one PO to invoice.
    I am not aware of cross company code settings.
    Can any one plz provides steps to create the Cross Company code PO Based invoice in MIRO.
    Thanks,
    Moderator message: not directly related to ABAP development, please look at the appropriate functional forum.
    Edited by: Thomas Zloch on Nov 2, 2010 5:56 PM

    Hi,
    Please contact to your MM consultant. Thanks

  • Invoice verification with reference to billing document in cross company

    Hi Gurus,
    We need to do "Invoice verification with reference to billing document in cross company code scenarios".
    At present I am processing through MIRO by calling the PO.
    What is the alternative for this and how to do it?
    Thnx

    Hi
    It is not possible to do the invoice with reference to billing document.
    You can create the Invoice referncing the PO used for STO or the delivery note (as mentioned in the Material document) or directly on the vendor.
    Thanks & Regards
    Kishore

  • Manual invoice verification for cross  company sales

    Hi
    I am doings sales from ordering company code with supllying compnay code plant.
    and i am doing intercompany billing.
    ex: code 7000(ordering cocd)
          sls org 7000(ordering sls org)
    plant 7000
       cocd 2000
    sls org 2000
    plant 2000
    the sales order is created for sls org 7000 with delivering plant 2000 for cross company sales.
    customer invoice is done
    intercompany invoice is done.
    here how to do manual invoice verification for intercompany billing for cocd 7000.
    what is ref filed in miro.
    regards
    Ramachandra

    Hi
        Yes it is possible.For this you have to maintain  company code clearing accounts in OBYA( i.e. say for example if you have two company codes, company code A & Company code B.you maintain clearing accounts for this two company codes.
    go to obya
    enter your company codes and  select.
    You enter a debit posting key and account debit for company code 1
    similarly you enter a credit posting key and account credit for company code 1
    repeat the same for the company code 2 and save it.
    After that you procure for company code A and do GR for the same.
    Now the system will allow you to post the Invoice.
    Thanks & Regards
    SRI.

  • Problem in GRN while Capturing Excise Invoice in Cross Company STO Scenario

    Dear All,
    In the Cross Company STO Scenario we are following the steps as below:-
    1.) Creation of the purchase order to the supplying plant of type u201CNBu201D
    2.) Creation of the Outbound delivery in VL10B
    3.) Post Good Issue in the VL02N.
    4.) Creation of the billing doc.
    5.) Creation of the Excise Invoice.
    6.) MIGO w.r.t to the Outbound delivery in the receiving plant
    During MIGO ,initialy system is picking the excise rates and excise base value by its own from the purchase order and the moment  when we refer the Excise Excise Invoice created in the supplying plant , system takes the Excise rates from the excise invoice created in the supplying plant and Excise Base value is becoming ZERO and we are getting the error :u201D *Please check excise base for the item is ZERO
    Message no : 4F121
    Please Suggest what to do and why this error is coming.
    When I am giving any other Excise no is the Excise Invoice feild in MIGO , it is taking and refering the rates in PO and giving one information message that Excise invoice no is different from the supplying plant excise invoice no.
    Thanks & Regards
    Nitin

    HI,
    Check the excise base vlaue in the Supplying plant excise invoice. If its 0, maintain the assessible value in J1ID & Check.
    If everything is found OK,  check if any SAP notes are available.
    Thanks & Regards,

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