No Journal entry when AR Return posted

Forum,
I have an 8.81 system where each time an AR Return is raised, either manually (not linked to a delivery) or otherwise, once added there is no journal entry option to drill down on under the 'Accounting' tab. This is also the case when raising a Sales Order. No journal appears under the 'Accounting' tab.
The Items are managed by warehouse and have valid GL Accounts defined within the GL determination and also against the default warehouses.
Any help/advice would be greatly appreciated.
Regards,
Juan

Hi Juan,
Either Sales Order or Return is not Financial document. It is normal that no JE associated with those transactions.
Thanks,
Gordon

Similar Messages

  • Parked journal entry when approve and post it - posts to other accounts...

    Help!!!!
    We have a parked Journal Entry! When we open it to approve and post - sometime it changes the G/L account and makes an entry to some other account.
    How can that be?
    It happened couple times!

    The user must have changed erronously.
    Otherwise, if we are posting to the same account, the parking document should not be changed.
    When there are no substituions in the system, I do not think any other possibility to happen this.
    You can ask the user again to park to the same account and try to post again to double check whether it is being posted to other account or not. If it is really posting to different account, then there is an issue to be looked into.
    Regards,
    Ravi

  • How can I get the transID of journal entry When I insert it?

    Hi,
    When I insert a new journal Entry I need to know the transID associated. Because it may not be the last of OJDT table.
    How can i have sure, using the SBO Objects?
    Best Regards,
    Ricardo Pereira

    Perhaps it isn't working in your VB6 example based on brackets / call syntax.
    The syntax in VB6 should be either
       Call Company.GetNewObjectCode(ObjectCode)
    or
       Company.GetNewObjectCode ObjectCode
    It will not work if you use
        Company.GetNewObjectCode(ObjectCode)
    The DI returns the last document number related to its own connection, not to other peoples connections.
    John.

  • Post journal entry automatically when a certain account is posted

    Dear all,
    Thanks for your attention.
    I would like to post an Journal entry automatically at the same time (or just after) a certain account is posted.
    Certain account means an account ID for Payment Difference of Payment for Invoice.
    I would like to reverse payment difference amount and post same amoount with another account ID.
    What we need to do is to catch the event of each posting and if find the account ID, post another journal entry by using action "post".
    But I have no idea where to catch posting occurs.
    Could you tell me if anyone know what I should do for this?
    If you need more info, please ask.
    Thanks,
    Mai

    Hi Mai,
    If you go to General ledger work center and click on Journal Entries view.
    Here you can do advance filter  and find the journal entry type of posting ( Cash Disbursement for instance) and you can make a note of the diff amount that got posted may be due to payment difference/exchange rate diff etc.,
    (One way of finding out which is the journal entry id, you can find this id by going to invoicing & in its document flow.)
    Now create a manual Journal entry voucher for this diff account and as you want to move this to another account, select it as offsetting.
    Thanks
    Lokesh Sharma

  • Automatic reversal of journal entry into new posting period

    Is there a way to set automatic reversal of a journal entry when creating a JE in the next posting period?

    Hi,
    I do not think this requirement can be met. There is no automatic reversal of document if it is being posted in the next period.
    However, you can write a validation in order to prevent the users to post in next period in GGB0 and assign the same in OB28.
    Hope this will solve your issue.
    Regards,
    Ravi

  • Unbalance transaction Error - Journal Entry Posting

    Hi all,
    Good afternoon. i posted  journal  entry using DI -API. I have two  Journal Entry when i add the first journal Entry added the second journal entry not added its show the Error Unbalanced transaction
    Each Journal Entry have 2 lines
    I am using 8.8 patch Level 12
    Please anyone help me out of this issue
    Edited by: lakshmi narayanan on Oct 19, 2011 9:11 AM

    Hi Jitin,
    Did you solved this issue? I just have the same problem with SAP Business One 2007 A (8.00.181) SP: 00 PL: 47
    Here my oJournalEntry XML before Add.
    You can see that Debit amount is equal to Credit amount (highlited with red)
    I would like to receive some suggestions.
    <?xml version="1.0" encoding="UTF-16"?>
    <BOM>
      <BO>
      <AdmInfo>
      <Object>30</Object>
      </AdmInfo>
      <OJDT>
      <row>
      <BatchNum>0</BatchNum>
      <TransId>0</TransId>
      <BtfStatus>O</BtfStatus>
      <TransType>-1</TransType>
      <BaseRef/>
      <RefDate>20140104</RefDate>
      <Memo>AS400-89532</Memo>
      <Ref1/>
      <Ref2/>
      <CreatedBy>0</CreatedBy>
      <LocTotal>0.000000</LocTotal>
      <FcTotal>0.000000</FcTotal>
      <SysTotal>0.000000</SysTotal>
      <TransCode/>
      <OrignCurr/>
      <TransRate>0.000000</TransRate>
      <BtfLine>0</BtfLine>
      <TransCurr/>
      <Project/>
      <DueDate/>
      <TaxDate>20140104</TaxDate>
      <PCAddition>N</PCAddition>
      <FinncPriod>0</FinncPriod>
      <DataSource>N</DataSource>
      <UpdateDate/>
      <CreateDate/>
      <UserSign>0</UserSign>
      <UserSign2>0</UserSign2>
      <RefndRprt>N</RefndRprt>
      <LogInstanc>0</LogInstanc>
      <ObjType>30</ObjType>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <StornoDate/>
      <StornoToTr>0</StornoToTr>
      <AutoStorno>N</AutoStorno>
      <Corisptivi>N</Corisptivi>
      <VatDate/>
      <StampTax>N</StampTax>
      <Series>1543</Series>
      <Number>0</Number>
      <AutoVAT>N</AutoVAT>
      <DocSeries>0</DocSeries>
      <FolioPref/>
      <FolioNum>0</FolioNum>
      <CreateTime>0</CreateTime>
      <BlockDunn>N</BlockDunn>
      <ReportEU>N</ReportEU>
      <Report347>N</Report347>
      <Printed>N</Printed>
      <BaseTrans>0</BaseTrans>
      <U_MIGSAP_KEY/>
      <U_YVA_RENDI/>
      <U_YVA_NUMREN>0</U_YVA_NUMREN>
      <U_YVA_ANULADO/>
      </row>
      </OJDT>
      <JDT1>
      <row>
      <TransId>0</TransId>
      <Line_ID>0</Line_ID>
      <Account>12121</Account>
      <Debit>0.000000</Debit>
      <Credit>0.000000</Credit>
      <SYSCred>0.000000</SYSCred>
      <SYSDeb>0.000000</SYSDeb>
      <FCDebit>0.000000</FCDebit>
      <FCCredit>863.420000</FCCredit>
      <FCCurrency>USD</FCCurrency>
      <DueDate>20140104</DueDate>
      <SourceID>0</SourceID>
      <SourceLine>0</SourceLine>
      <ShortName>C10211220550</ShortName>
      <IntrnMatch>0</IntrnMatch>
      <ExtrMatch>0</ExtrMatch>
      <ContraAct>C10211220550</ContraAct>
      <LineMemo>AS400-89532</LineMemo>
      <Ref3Line/>
      <TransType>-1</TransType>
      <RefDate/>
      <Ref2Date/>
      <Ref1/>
      <Ref2>89532</Ref2>
      <CreatedBy>0</CreatedBy>
      <BaseRef/>
      <Project/>
      <TransCode/>
      <ProfitCode/>
      <TaxDate/>
      <SystemRate>0.000000</SystemRate>
      <MthDate/>
      <ToMthSum>0.000000</ToMthSum>
      <UserSign>0</UserSign>
      <BatchNum>0</BatchNum>
      <FinncPriod>0</FinncPriod>
      <RelTransId>-1</RelTransId>
      <RelLineID>-1</RelLineID>
      <RelType>N</RelType>
      <LogInstanc>0</LogInstanc>
      <VatGroup/>
      <BaseSum>0.000000</BaseSum>
      <VatRate>0.000000</VatRate>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <ObjType>30</ObjType>
      <VatDate/>
      <PaymentRef/>
      <SYSBaseSum>0.000000</SYSBaseSum>
      <MultMatch>0</MultMatch>
      <VatLine>N</VatLine>
      <VatAmount>0.000000</VatAmount>
      <SYSVatSum>0.000000</SYSVatSum>
      <Closed>N</Closed>
      <GrossValue>0.000000</GrossValue>
      <CheckAbs>0</CheckAbs>
      <LineType>0</LineType>
      <DebCred/>
      <SequenceNr>0</SequenceNr>
      <StornoAcc/>
      <BalDueDeb>0.000000</BalDueDeb>
      <BalDueCred>0.000000</BalDueCred>
      <BalFcDeb>0.000000</BalFcDeb>
      <BalFcCred>0.000000</BalFcCred>
      <BalScDeb>0.000000</BalScDeb>
      <BalScCred>0.000000</BalScCred>
      <IsNet>Y</IsNet>
      <DunWizBlck>N</DunWizBlck>
      <DunnLevel>0</DunnLevel>
      <DunDate/>
      <TaxType>0</TaxType>
      <TaxPostAcc>N</TaxPostAcc>
      <StaCode/>
      <StaType>0</StaType>
      <TaxCode/>
      <ValidFrom>19000101</ValidFrom>
      <GrossValFc>0.000000</GrossValFc>
      <LvlUpdDate/>
      <U_BPP_CTAD/>
      <U_BPP_CTAPAT/>
      <U_BPP_DCCD>0</U_BPP_DCCD>
      <U_BPP_DCPR>N</U_BPP_DCPR>
      <U_INFOPE01/>
      <U_INFOPE02/>
      <U_INFOPE03/>
      <U_InfoCo01/>
      <U_YVA_TIENDA/>
      <U_YVA_UNDTRANS/>
      <U_YVA_FECDOC/>
      <U_HYP_Status>3</U_HYP_Status>
      <U_HYP_BofEx400>89532</U_HYP_BofEx400>
      <U_HYP_Closed>N</U_HYP_Closed>
      </row>
      <row>
      <TransId>0</TransId>
      <Line_ID>0</Line_ID>
      <Account>12311</Account>
      <Debit>0.000000</Debit>
      <Credit>0.000000</Credit>
      <SYSCred>0.000000</SYSCred>
      <SYSDeb>0.000000</SYSDeb>
      <FCDebit>431.710000</FCDebit>
      <FCCredit>0.000000</FCCredit>
      <FCCurrency>USD</FCCurrency>
      <DueDate>20140203</DueDate>
      <SourceID>0</SourceID>
      <SourceLine>0</SourceLine>
      <ShortName>C10211220550</ShortName>
      <IntrnMatch>0</IntrnMatch>
      <ExtrMatch>0</ExtrMatch>
      <ContraAct>C10211220550</ContraAct>
      <LineMemo>LT-268302</LineMemo>
      <Ref3Line/>
      <TransType>-1</TransType>
      <RefDate/>
      <Ref2Date/>
      <Ref1/>
      <Ref2>268302</Ref2>
      <CreatedBy>0</CreatedBy>
      <BaseRef/>
      <Project/>
      <TransCode/>
      <ProfitCode/>
      <TaxDate/>
      <SystemRate>0.000000</SystemRate>
      <MthDate/>
      <ToMthSum>0.000000</ToMthSum>
      <UserSign>0</UserSign>
      <BatchNum>0</BatchNum>
      <FinncPriod>0</FinncPriod>
      <RelTransId>-1</RelTransId>
      <RelLineID>-1</RelLineID>
      <RelType>N</RelType>
      <LogInstanc>0</LogInstanc>
      <VatGroup/>
      <BaseSum>0.000000</BaseSum>
      <VatRate>0.000000</VatRate>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <ObjType>30</ObjType>
      <VatDate/>
      <PaymentRef/>
      <SYSBaseSum>0.000000</SYSBaseSum>
      <MultMatch>0</MultMatch>
      <VatLine>N</VatLine>
      <VatAmount>0.000000</VatAmount>
      <SYSVatSum>0.000000</SYSVatSum>
      <Closed>N</Closed>
      <GrossValue>0.000000</GrossValue>
      <CheckAbs>0</CheckAbs>
      <LineType>0</LineType>
      <DebCred/>
      <SequenceNr>0</SequenceNr>
      <StornoAcc/>
      <BalDueDeb>0.000000</BalDueDeb>
      <BalDueCred>0.000000</BalDueCred>
      <BalFcDeb>0.000000</BalFcDeb>
      <BalFcCred>0.000000</BalFcCred>
      <BalScDeb>0.000000</BalScDeb>
      <BalScCred>0.000000</BalScCred>
      <IsNet>Y</IsNet>
      <DunWizBlck>N</DunWizBlck>
      <DunnLevel>0</DunnLevel>
      <DunDate/>
      <TaxType>0</TaxType>
      <TaxPostAcc>N</TaxPostAcc>
      <StaCode/>
      <StaType>0</StaType>
      <TaxCode/>
      <ValidFrom>19000101</ValidFrom>
      <GrossValFc>0.000000</GrossValFc>
      <LvlUpdDate/>
      <U_BPP_CTAD/>
      <U_BPP_CTAPAT/>
      <U_BPP_DCCD>0</U_BPP_DCCD>
      <U_BPP_DCPR>N</U_BPP_DCPR>
      <U_INFOPE01/>
      <U_INFOPE02/>
      <U_INFOPE03/>
      <U_InfoCo01/>
      <U_YVA_TIENDA/>
      <U_YVA_UNDTRANS/>
      <U_YVA_FECDOC/>
      <U_HYP_Status>3</U_HYP_Status>
      <U_HYP_BofEx400>268302</U_HYP_BofEx400>
      <U_HYP_Closed>N</U_HYP_Closed>
      </row>
      <row>
      <TransId>0</TransId>
      <Line_ID>0</Line_ID>
      <Account>12311</Account>
      <Debit>0.000000</Debit>
      <Credit>0.000000</Credit>
      <SYSCred>0.000000</SYSCred>
      <SYSDeb>0.000000</SYSDeb>
      <FCDebit>431.710000</FCDebit>
      <FCCredit>0.000000</FCCredit>
      <FCCurrency>USD</FCCurrency>
      <DueDate>20140305</DueDate>
      <SourceID>0</SourceID>
      <SourceLine>0</SourceLine>
      <ShortName>C10211220550</ShortName>
      <IntrnMatch>0</IntrnMatch>
      <ExtrMatch>0</ExtrMatch>
      <ContraAct>C10211220550</ContraAct>
      <LineMemo>LT-268303</LineMemo>
      <Ref3Line/>
      <TransType>-1</TransType>
      <RefDate/>
      <Ref2Date/>
      <Ref1/>
      <Ref2>268303</Ref2>
      <CreatedBy>0</CreatedBy>
      <BaseRef/>
      <Project/>
      <TransCode/>
      <ProfitCode/>
      <TaxDate/>
      <SystemRate>0.000000</SystemRate>
      <MthDate/>
      <ToMthSum>0.000000</ToMthSum>
      <UserSign>0</UserSign>
      <BatchNum>0</BatchNum>
      <FinncPriod>0</FinncPriod>
      <RelTransId>-1</RelTransId>
      <RelLineID>-1</RelLineID>
      <RelType>N</RelType>
      <LogInstanc>0</LogInstanc>
      <VatGroup/>
      <BaseSum>0.000000</BaseSum>
      <VatRate>0.000000</VatRate>
      <Indicator/>
      <AdjTran>N</AdjTran>
      <RevSource>N</RevSource>
      <ObjType>30</ObjType>
      <VatDate/>
      <PaymentRef/>
      <SYSBaseSum>0.000000</SYSBaseSum>
      <MultMatch>0</MultMatch>
      <VatLine>N</VatLine>
      <VatAmount>0.000000</VatAmount>
      <SYSVatSum>0.000000</SYSVatSum>
      <Closed>N</Closed>
      <GrossValue>0.000000</GrossValue>
      <CheckAbs>0</CheckAbs>
      <LineType>0</LineType>
      <DebCred/>
      <SequenceNr>0</SequenceNr>
      <StornoAcc/>
      <BalDueDeb>0.000000</BalDueDeb>
      <BalDueCred>0.000000</BalDueCred>
      <BalFcDeb>0.000000</BalFcDeb>
      <BalFcCred>0.000000</BalFcCred>
      <BalScDeb>0.000000</BalScDeb>
      <BalScCred>0.000000</BalScCred>
      <IsNet>Y</IsNet>
      <DunWizBlck>N</DunWizBlck>
      <DunnLevel>0</DunnLevel>
      <DunDate/>
      <TaxType>0</TaxType>
      <TaxPostAcc>N</TaxPostAcc>
      <StaCode/>
      <StaType>0</StaType>
      <TaxCode/>
      <ValidFrom>19000101</ValidFrom>
      <GrossValFc>0.000000</GrossValFc>
      <LvlUpdDate/>
      <U_BPP_CTAD/>
      <U_BPP_CTAPAT/>
      <U_BPP_DCCD>0</U_BPP_DCCD>
      <U_BPP_DCPR>N</U_BPP_DCPR>
      <U_INFOPE01/>
      <U_INFOPE02/>
      <U_INFOPE03/>
      <U_InfoCo01/>
      <U_YVA_TIENDA/>
      <U_YVA_UNDTRANS/>
      <U_YVA_FECDOC/>
      <U_HYP_Status>3</U_HYP_Status>
      <U_HYP_BofEx400>268303</U_HYP_BofEx400>
      <U_HYP_Closed>N</U_HYP_Closed>
      </row>
      </JDT1>
      </BO>
    </BOM>

  • Query for Journal Entry as Incoming/Outgoing Payment

    Hi all,
    I need a query that returns all journal entries that are incoming/outgoing payments.
    I have not found anything in the journal entries tables that marks it as a payment.
    thanks,
    Lucas.

    Hi Lucas,
    I am afraid 2 queries could be more meaningful. That might be more convenient:
    Incoming:
    SELECT T0.TransId as [Journal Entry#],
    T0.RefDate as [Posting Date],
    T0.BaseRef as [Incoming Payment #],
    Isnull(T1.AcctName,T0.ShortName) as [GL Account Name/Vendor Code],
    T0.Credit
    from JDT1 T0
    Left JOIN OACT T1 ON T1.AcctCode= T0.ShortName
    where T0.TransType=24 AND
    T0.Credit > 0
    Order By T0.RefDate
    Outgoing:
    SELECT T0.TransId as [Journal Entry#],
    T0.RefDate as [Posting Date],
    T0.BaseRef as [Outgoing Payment #],
    Isnull(T1.AcctName,T0.ShortName) as [GL Account Name/Vendor Code],
    T0.debit
    from JDT1 T0
    Left JOIN OACT T1 ON T1.AcctCode= T0.ShortName
    where T0.TransType=46 AND
    T0.debit > 0
    Order By T0.RefDate
    Thanks,
    Gordon

  • Duplicate Journal Entry and system crash

    Hi All,
    Just wondering anyone experience when duplicate the journal entry and change the posting date and system will just hang and follow by crash?
    Please advise.
    Best Regards,
    Foong Yee

    Hi Foong Yee Tai...
    Check with the Following SAP Note...
    1616687 - B1 shuts down when updating amount in Journal Entry
    Regards
    Kennedy

  • Date deviates from permissible range [journal entry - Document Date]

    Hi, i have problem to add journal entry, when i creat journal document last year with:
    Posting date: 06-02-09 (this date)
    Due date: 06-002-09
    and Document date: 20-11-08 (couse the document late to creat at the journal)
    kindly, and thx for solution..
    Regards,
    Ani

    Ani,
    Take a look at this thread
    Re: Delivery Date on Sale Order
    Suda

  • Printing of Journal Entry

    Dear All,
    would like to ask a stupid question ...
    For the Financials -> Journal Entry
    When printing, 1 JE # will print out 1 A4 size paper... and most of the area of the paper is not used (only got a few transaction, seems so waste), just wondering if there is any method to print it out let's say 2 JE# in 1 A4 paper ?
    (except export to Excel)
    Thanks all
    Edited by: tac wong on Jul 22, 2008 1:22 PM

    tac wong,
    Use Transaction Journal Report,Select orginal Journal,
    Select From & To Date,Click Ok.
    Use PLD-Transaction Journal(Ehp) to print it in A4 Paper format.
    Jeyakanthan

  • Journal Entries

    Hello i am recently got a job and facing some problem in understanding the logic behind the job.:
    Please help me with following query
    1) What would be the journal entry for goods transfered to sperate location in SAP for damage and destory?
    When we get the goods damaged during transits or in warehouse then we move the goods to sperate location and at the end of the month after taking necessary approval we sale it to the scrap vendor or destroyed it as per the company policy.
    similarly when goods cross the Expiry date then it will be sold out or destroied as unfit for consumption
    Please note that we are in FMCG business
    Now, please help me what would be the journal entry when goods are received and transfer to specific location.
    for example: If there is STO of 100 product and we received 90 product in good condition and remaining in damaged condition, then we will do the grn for full amount of order and then using movement type will transfer the 10 damaged goods to DDIT (damaged and destory goods in transits) and then at the end of the month after necessary approval, this goods are sold out or burn or dump below the earth.so what would be the journal entry along with logic if possible.

    Hi,
    Please go through the user guides of various modules which give you information on JE created for various transactions.
    Or go through the online documentation on various modules.
    for example -
    For AR the userguide shows the various accounting entries in Chapter 7 -25.
    for all transactions
    I hope this helps
    thanks and regards,
    Raj..

  • AP Invoice journal entry

    Hi Experts,
    I have a small query regarding AP invoice journal entry, when we do AP invoice copying from GRPO, we have generally one journal entry passed in the background, one is GRNI which is being Debited and another is the Supplier A/C which is being credited.
    But I have one AP invoice where the background journal entry is like this, the supplier A/C credited , GRNI  debited by an amount and  Trade inventories debited by an amount.
    My question is how comes trade inventory A/C is coming here? what is the reason?
    it will be a great help if some one assists me.
    Rgds
    Suman

    Hi SKR,
    Suppose the following situation:
    In GRPO the qty is 10, and during copy from process the same is copied and qty is changed to 15.
    Let the price for 1 item is 100,
    the entry will be as follows.
    For GRPO, JE will be
    Inventory Debit 1000
    GRNI      Credit 1000
    And the JE at AP Invoice will be
    GRNI          Debit 1000 -----reversal of GRNI while invoice is created.
    Inventory     Debit   500 -----extra 5 units during changing units.
    Sundry Creditor               1500
    The reason is that SAP system considers that 15 units of inventory is received so the extra 5 units shall be also accounted.
    So the case must be that qty must be altered during recording AP invoice.
    Usually this is not allowed by SAP, please check whether this happened.
    However if there is addition of another item/product during AP Invoice, the same can happen.
    Hope this help you some way,
    Regards,
    JO
    Message was edited by: Jiju Oommen

  • DI: About Generating a Journal Entry with Returns

    Hi since Mexico, I have a problem when I add a Return based on a Delivery. The problem is that the Journal Entry that has to generate for doing the seat of warehouse against cost of sale it does not it do. How can I solve this problem or what I missed for do this task.
    Greetings and thanks for your help.

    Hi Rafael,
    What I understodd about your note is this:
    When you post a return based on a Delivery using the DI API object, the system is not posting any journal entry?
    Is that right?
    I've checked this issue in SBO version 6.5 SP1 EF: 07 and you are right.
    The RETURNS object from the DI API is not posting any journal entry for this transaction. Hence, the stock for the item is right, but the balance of the stock account and the COGM account is wrong since no posting was made by the RETURNS object.
    Anybody has a solution for this problem?
    Kind Regards,
    Iván Juárez

  • Stock Posting does not tally with Journal Entry

    Hi Mentors,
    I currently trying to see the cause of a particular issue with the JE being created by Stock Posting.
    After scavenging the forums, I came across SAP Note 1525960.
    Symptom
    On creating Inventory Posting in locked Posting Period, system gives error message 'Period is
    locked for new data [Message 131-107]'. Keep the window open, go to Posting Periods to
    change the Period Status to 'Unlocked', and then click on 'Reconcile' again. Inventory Posting
    is successfully added.
    The Transaction Value in the Inventory Audit Report is correct. However the Debit / Credit
    amounts in the Journal Entry of Inventory Posting are doubled.
    The note was created in 2010, filed under SAP Business One 2007. I tried to replicate it, and it holds true for our system, which is currently 2004B.
    When I tried to explain the SAP note to our accountant, she said that she did not encounter the error message, since she was the one controlling the period.
    So my question is, if there any other factors that could influence the change in the posting of the JE such that the variance being posted in the JE is more than the actual amount(as verified against "Inventory Posting List" and OINM)? 
    Some facts about our Finance department's practices.
    They enter the "Stock Posting" a month later.
    E.G. Stock Posting for Oct2011 Stock Variance
    System Date: Nov 16, 2011
    Stock Posting - Posting Date: Oct 31, 2011
    Thanks in advance!
    Sean

    Hi Sir Gordon,
    I already checked using your suggested query:
    SELECT * from oinm
    WHERE NegInvAdjs != 0
    found in this [thread|Re: Diffe Amount posting in Same document].
    Unfortunately, 2004B does not have the column "NegInvAdjs". The query failed to execute.
    Thank you for the guidance,
    Sean

  • "21141: Error while posting journal entry :-10 / Internal error"

    Hi All,
    I'm want to dispose fixed asset by using retirement function in Fixed asset module. Anyone know the solution for this error message "21141: Error while posting journal entry :-10 / Internal error". Please help me.
    Thanks in advance.
    uddin

    Hello Muhd
    Please could you go in Administartion > Set Up > Fixed assets > GL
    Account Detemination and check the settings of  'Clearing Acc. Asset
    Acquisition' account, which is used when creating Journal Entry for
    'Acquisition without vendor'.
    Could you check if there is a 'Default VAT Code' assigned to this
    account. In this case could you to clear the Default VAT Code assigned
    to this account and try to do 'Acquisition without vendor' again?
    Also,please try to check below option to see if that could help:
    1)Check asset Class Land
    2)Check GL accounts settings
    3)Check the checkbox "Permit Other VAT Group"
    Regards,
    Syn Qin
    SAP Business One Forums Team

Maybe you are looking for