OV77 Assign g/l account for cash sale only

Dear FI Experts very good mng
i am sd consuultant I know VKOA Account determination Process but OV77 Also Assign G/L Account For cash sales only
i thing For cash sale also we can maintaine Account Determination proceduere we can use VKOA But i want to know any special thing is there For OVKK ?
Thanks a lot
Plz forgive me if it is basic question

Hi,
Please check whether below thread is useful to you
Cash Sales Process & Accounting Entries
Regards,
Tejas

Similar Messages

  • Ristricting customer for cash sales only

    hi,
    is there any possibilty to restrict particular customer only for credit sales by analysing his  payment history(which is not satisfactory) because sales done in SD while payments monitored in FI.
    thanking u
    adi.a

    Hi,
    We can restrict customer for cash sales only.  configure following steps.
    1) SPRO>sd>sales>sales documents>define and assign reason for blocking : Define blocking reasons.
        eg: overall block.
    2) SPRO>sd>sales>sales documents>define and assign reason for blocking : Allocate blocking reasons to sales document types : Assign sales document types to your blocking reason except cash sale document type.
    3) Goto T.code XD05 : Enter the customer number and co.code and sales area details and choose enter
        Enter your blocking reason in order block field  for all sales areas or selcted sales area.
    I hope it will be helpful to you.
    Regards,
    Chandra

  • Account determination for cash sale

    Hi, sapcons
    please can any body can help me by sending  step by step notes on account determination for cash sales and rush orders
    my mail id is [email protected]
    thanks in advance
    regards
    srinivas

    Hi Srinivas,
    Account Determination for Cash Sale and Rush Order will be done in VKOA Transaction.
    Please find below the Process of Cash Sale and Rush Order
    CASH SALE:
    Cash sales is an order type for when the customer orders, picks up and pays for the goods immediately. The delivery is processed as soon as the order has been entered. A cash invoice can be printed immediately from the order and billing is related to the order. Receivables do not occur for the customer as they do for rush or standard orders, because the invoice amount is posted directly to a cash account.
    Process Flow
    In the standard system, sales document type BV is saved for cash sales with immediate delivery type BV.
    When the sales employee creates a cash sale, the system automatically proposes the current date as the date for delivery and billing. Once the order has been posted, a delivery with type BV is created immediately in the background and the system prints a document that is used as an invoice for the customer.
    The invoice papers are controlled with output type RD03, contained in the output determination procedure for order type BV.
    For Cash Sales the necessary Config Settings are,
    Copy the BV Standard Order and Copy to ZBV and in the functionality of ZBV check whether the field " Immediate Delivery" has the value "X" or not because that creates the Delivery immediately when the cash sale order saved. Do the same for item category BVN as ZBVN. And check whether credit active unchecked or not in ZBVN.
    Do the item category determination for cash sale for which u configured. And at the time of cash sale u will get the invoice. For that u use the output type Rd03.
    RUSH ORDERS:
    In a rush order transaction, the customer picks up the goods or you deliver the goods on the same day as the order is placed. In the standard system, when you save this sales document type, a delivery is automatically created and billing is related to the delivery.
    Process Flow
    In the standard system, sales document type SO is saved for rush orders with immediate delivery type LF. Once the goods have been removed from storage, the goods are picked, and goods issue is posted.
    Once the billing documents are created (for example, in collective processing), invoice papers are printed and sent to the customer.
    For Rush Order the necessary Config Settings are,
    Copy the RO Standard Order and Copy to ZRO and in the functionality of ZRO check whether the field " Immediate Delivery" has the value "X" or not because that creates the Delivery immediately when the cash sale order saved. Do the same for item category TAN as ZTAN. Do the item category determination for cash sale for which u configured. And check whether credit active checked or not in ZTAN.
    Please Reward If Really Helpful,
    Thanks and Regards,
    Sateesh.Kandula

  • Assignment of GL Accounts  to Cash Journals

    Dear SAP Gurus,
    I have a problem in Cash Journalas follows.
    1. 3 Cash Journals opened for  3 branches in one company code and assigned one GL accounts for each location / branch and shown the opening balances.
    2.When transactions posted and updated the cash Journals, the cash balances are  updating in one GL a/c i.e Cash In Hand only for all 3 cash journals in one company code, instead of each GL A/c assigned to each cash journal.
    3.My point is whether the  GL Accounts assigned is correct or missed any link,as it is not updating the GL a/c when posting made in cash journal, if so how to rectify, pls give clear cut details or menu path for correct assignment of  the GL accounts to each cash journal and post to the respective GL accounts.
    suggest at the method at the earliest.
    regards,
    maalik

    Hi,
    Check your GL account for your cash journal in T Code FBCJC0.  Here you have to assign different GL account for each of your cash journal.
    Hope it helps
    Saravanan.A

  • Process for cash sale

    Hi,
    How does cash sale process work in SAP system?
    What happens if cash sale involves delivery which is relevant for picking?
    Thanks

    Dear Jack
    Cash sales is an order type for when the customer orders, picks up and pays for the goods immediately. The delivery is processed as soon as the order has been entered. A cash invoice can be printed immediately from the order and billing is related to the order. Receivables do not occur for the customer as they do for rush or standard orders, because the invoice amount is posted directly to a cash account.
    In the standard system, sales document type BV is saved for cash sales with immediate delivery type BV.
    When the sales employee creates a cash sale, the system automatically proposes the current date as the date for delivery and billing. Once the order has been posted, a delivery with type BV is created immediately in the background and the system prints a document that is used as an invoice for the customer.
    The invoice papers are controlled with output type RD03, contained in the output determination procedure for order type BV.
    If the customer has already received the goods, this delivery should not be relevant for picking. If the customer is to pick the goods up from a warehouse, the delivery should be relevant for picking. If the goods are to be sent, this can be processed by maintaining the delivery in the usual way.
    The system automatically creates a resource-related billing index which updates the billing due list. Billing document BV is created as the system processes the billing due list, but an invoice is not printed.
    Once the customer has received the goods and is satisfied with them, the transaction is considered to be complete. We recommend that you post goods issue in the background using a program designed specifically for this purpose. You can then bill the transaction.
    The cash sale can only be billed if the order quantity is the same as the goods issue quantity. If this is not the case, you need to adjust the cash sale document so that the delivered quantity and the quantity to be billed match.
    You use an order-related collective billing process to bill the cash sale, but an invoice is not printed. The sales order number is used as the reference for the accounting document, created in Financial Accounting.
    thanks
    G. Lakshmipathi

  • Different sales document for cash sale & credit sale

    Dear SAP GURUS,
    I have range of finish goods. I am selling that on cash and also on credit. I want different sales order type for the cash sale & for credit sale even though the FG is same and the customer is also same.
    How can I resolve this issue.
    Thanks
    CHEERS

    Hi Nitin
    you have  standard SAP-docs for this  kind of  process  , for cash sales - doc  type -CS,  for credit sales you can use the  same standard : OR -doc type   , nothing need to be configured here
    note- you can create  your own set of doc by copying the standard docs but it  need alot of configuration  ,so now you understand  it
    regards
    venkat
    Edited by: K.Venkata Chalapathi on Feb 24, 2010 7:24 AM

  • Billing problem for cash sales document

    Hi all ,
    Greetings
    we are customizing for cash sales. Required Three configuration setting are done for sales document i.e
    1. Shipping condition Immediatly
    2. Lead Time 0
    3. Immediate delivery must be switch on
    and order and delivery is done at the same time while creating the order. But while creating the billing for that order through vf01(billing type BV),  We are getting an error "DOCUMENT DOES NOT CONTAINS ANY ITEM WITH OPEN QUANTITIES".
    For the order, Output Type is RD03
    can any one help on this?
    Regards,
    Pramod

    Hello Pramod,
    In the copy controls from order to billing VTFA - check for the item category BVN - the billing quantity should be marked sa "A".
    Also check in the VOV7 for item category BVN - the illing relevance should be "B".
    Let me know if it works.
    Thanks
    Shobhit

  • Automatic PGI for Cash Sales

    Dear Friends,
    Please guide me for the configuration in Copy Control so that Automatic PGI is done at the time of creating Sales Order for cash Sales.
    At present PGI is being done manually.
    Also please guide me to configure the Output type RD03 so that the invoice is printed automatically. In our system RD03 is not there.
    Thanks,
    Jans

    hi,
    not sure of the requirement but in cash sales we mainly look at the spot sales and at the end of the day we consolidate all the deliveries in the sense that we take up the PGI due deliveries and run a background job. This does the PGI and we run another job to create invoices.
    as such there is no setting to do automatic PGI for cash sales.
    Regards
    sadhu kishore

  • Output Type and Determination for Cash Sale

    Hi Experts
    what is output type for cash sale invoice , and how we can do output determination for cash sale process ?
    thanks in advance

    Hi Hanumant,
    Use output type RD03  for cash sale, For output determination go to SPRO 
    IMG>Sales and Distribution>Basic Functions>Output Control>Output determination>Output determination using condition technique>Maintain Output Determination for Sales Documents.
    Regards
    M.Mohanavel

  • Out put type and determination for cash sale

    Hi Experts
    what is output type for cash sale invoice , and how we can do output determination for cash sale process ?
    thanks in advance

    Hi,
    RD03 is the output type
    Try to find the answers for your query by searching in the forum using the SEARCH option.
    I am confident that you will be getting a lot of resources and answers and even more replies
    which will already helped in solving the issue and also definitely they will give you broad understanding of the topic.
    And also check the WIKI section of this forum there are valuable notes, configurations,etc.
    check this link for wiki section.
    https://www.sdn.sap.com/irj/scn/wiki?path=/display/erplo/main
    https://wiki.sdn.sap.com/wiki/display/ERPLO/ERP+SD
    regards
    rithvika

  • Schedule line category for cash sales

    Hi guru's
    here i have a small query wat is the schedule line category for cash sales
    regards
    srinivas

    Hi,
    The schedule line catagory for the Cash Sales is CN- No MRP. As the cash sales dont need MRP the materials has to be delivered and invoiced immediately.
    Hope this is clear
    Reward if helps.
    Manoj

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  • For cash sales in order management and Account Receivables

    My Dear's,
    For the sales with type cash can I do Receipt from order management to directly create receipt in Account receivable , and how?
    Thanks

    HI Dhairyasheel,
    This is a client specific requirement and so no such process was delivered by SAP.
    The way you have handled it almost the same way I would ahve done had I been asked to do so.
    To answer your first point - as long as your account postings are happening fine (both forward and reversals), then I dont think there should be any issues.
    As this new, pl do keep this thread updated if possible.
    Thank you.
    Best regards,
    Harsha

  • Problem Receivable account determination, cash sales (EVV)

    Hello all,
    I need work with cash sales, billing type BV, then in the BV invoice type I have the EVV in the Account key for cash allocation.
    I create correctly the G/L account determination, introducing one account in the entry for the key EVV.
    And another for the receivables account, for example key ERL 700000
    When I save the invoice, the account determination procedure works correctly, it found the account 700000, but the FI doc is not generated....
    If i delete the EVV from the BV, the determination work correctly (accoutn 700000) but the cash account is not determined because I delete the EVV.
    ¿why is the reason?¿why it doesn't work when the BV have the EVV? I miss some customizing?¿depend of the definition of the FI accounts?
    Best regards,
    Javier

    Hi Javier,
    To begin with why you need to maintain both EVV and ERL in account determination?
    The purpose of the account key in Billing document control is :-
    Account key for cash allocation
    account key that causes the system to post to a G/L account rather than to a receivables account. You can enter G/L accounts for the key entered in account assignment. (Account determination can be found in Basic Functions).
    Use
    You can use this to allow cash transactions to be carried out directly for the customer rather than receivables being created.
    So this means that once you maintain the Account key for cash allocation,Direct entry will hit the relavant GL account rather than creating a receivable entry.
    In your case you are trying to do both the things at same time.
    In my view either you should maintain EVV or ERL.
    Hope you will try and let me kow if it works allright
    Reward points if useful
    Regards,
    Amrish Purohit

  • GL Accounts for cash desk

    Hi Gurus,
    In our business process, check payments are accepted through mail and walk-in. All the mailed-in checks will be posted using check lot FP25. All the walk-in payments are posted using FPCJ (cash desk).We are posting checks using check deposit account (posting area 1031 and 0080)
    In the
    1) Check Lot:
    For each individual check
    Dr Check clearing Act
    Cr Customer Act
    For the lot
    Dr Check deposit Act
    Cr Check clearing Act
    Overall check lot accounting entry would be
    Dr Check Deposit Act
    Cr Customer Act
    2)  Cash Desk:
    For the check payments posted through cash desk also we have similar entries
    Dr Check Clearing Act
    Cr Customer Act
    When lot is closed,
    Dr Check deposit Act
    Cr Check clearing Act
    Accounting entries are same as check lot till now. But when we do withdrawal from the cash desk, we are forced to create one more accounting entry
    Cr Check Depost Act
    Dr Withdrawal Act
    Withdrawal process is reducing our check deposit acct balance, though both the check lot and cash desk are used to handle the check payments. Configuration for posting area 0160 does not allow me to assign the same deposit account for withdrawal.
    I believe this is a common scenario, so hoping I'll find a resolution.
    Thanks in advance.
    Regards,
    Santosh

    Hello,
    Are you looking for same balances in FPCJ & FBCJ?
    If so pls refer to below post<for Q1>
    Re: Cash Book.
    Question Number two:
    We are giving so many GL accounts for bank accounts in fica. I would like to know the flow which we are using in FICA
    The GL Accounts for bank accounts in FICA are mentioned in IMG\FICA\Business Transactions\Payments\Processing of Incoming and Outgoing payments\Define Bank clearing Accounts for Payment lots.
    When you are assigning a bank clearing account, it means that Bank clearing account wud be debited during receipts and credited <Returns config is needed> during Returns.
    Hope this is useful. If not let me know.
    Rgds
    Rajendra
    Edited by: rajendra mukhyaprana on Jun 23, 2008 6:58 AM

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