PCA document not generated

Dear friends,
The two packing material having the same master data, issued to one cost center. But for one material the PCA line item is not generated.
can you please give me any clue?
Thanks
VInay Thakre

Hi,
Is the Profit Center validity period is open? Check whether Profit Center is locked? You can also check whether the Profit Center is assigned to the Company Code where the postings are being made.
Thanks
Murali.

Similar Messages

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  • PCA document not created

    Hi,
    We have a situation where in a PCA document is not created during clearing of GRIR, although the FI document has the exchange rate difference (P/L) account.
    1. 3KEH is maintained only for all P/L accounts.
    2. The amount on this line item (exchange rate GL) is as follows:
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    $0.00        $0.00          $1.00
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    Hi,
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    1XXXX    500000   $100 EUR       $140 USD    $140 USD
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    On the FI document, I can see the PC for X-rate a/c. Now will a PCA document get generated for this document?

  • Accounting document not generating for excise invoice.

    Dear all ,
    my issue is
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    IMG -> In Logistics u2013 General -> Tax on Goods Movement -> India ->  Account Determination -> Specify Excise Accounts per Excise Transaction
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    DLFC       CR Credit      RG23ECS RG 23 ECS Account
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    Check if for all Excise group u2013 DLFC u2013 Company Code combination GLs are maintained or not (especially in production client)

  • Accounting document not generating for excise invoice-please help

    Dear all ,
    my issue is
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    please help

    Dear G. Lakshmipathi,
    As uknow i am getting problem when i am creating the debit memo
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  • Accounting document not generated

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    Hi,
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  • Accounting document not generated for cancled credit memo

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    i need to remove this status cancle of credit memo , status is open, there should be accounting docs...
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  • After cancelling the  billing document accounting document not generated

    hi,
    we released the billing and accounting document generated but customer needed changes in the billing values so we cancel the billing document but accounting document not generated(reversal accounting not happen)....in document flow it shows in cancel document in blocking state ....we try to release in VF02 but it throws the error "Client 200 does not contain an active application area" . but the other sales order we test in qulaity server the scenorio is working fine...............for specific one sales order creating problem now.....
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    Thanks
    Muthuraman.D

    Dear all,
    I have noticed this problem in my company system.
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    - then you create the cancel of the invoice, BEFORE forcing the posting of the invoice
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    --> standard VFX3 doesn't signal this kind of not posted documents situation.
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    So the 2 ways must be:
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    2) other possibility: add a further check in interface between SD and FI in order to check if original invoice is not posted to FI  and in this case block the cancel creation, as instead standard SAP does.
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    Raffaella

  • Accounting document not generating

    hi friends,
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    Hi,
    Go to VF02 and press the release flag by giving the relevant billing document number then you will get the error for what reason accounting document not generated.You can also give in side the billing document and there in enviornment Account Determination analysis and revenue Account Determination there you will get clear picture for the reason.May be some setting missing in VKOA.

  • Error in Posting Excise Invoice - Accounting document not generated !

    Hi,
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    Message no. 4F186
    Please guide.
    Please note that we are running the transaction in the Pre-production server for the very first time.
    Also would like to know what all reports I should run related with Excise. Someone told me that I should run the T Code J1I5 & J2I5 to update the RG23 register the next day of the transaction the entry related with excise is not updated on the same day. I think the updation of register should be automatic 
    Regards,

    Hi,
    I am repeating my Process/Question:
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    While Posting the Excise Invoice (J1IEX), the system is giving the follwoing error:
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    Message no. 4F186
    On Simulation window, the System is displaying the following CENVAT Posting:
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    24820000           Dr.      105,840.00
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    Please guide.
    Please note that we are running this Transaction on the Pre-production Server; On the Development Server it is working fine.
    Regards,

  • Billing Number Range problem ( accounting document not generated)

    Hi All,
    I have created some billing types and for them I have assigned some internal number ranges. Now when I create a billing document it is getting saved with the proper number range but no accounting document is getting generated.
    Also when I try to release the invoice I am getting an error which says " *Incorrect doc.no.: 10000009. Select document number between 0090000000 and 0099999999* "
    K I N D L Y     suggest  as U R G E N T.
    Regards,
    Danny.

    Dear,
              Billing Number Range problem ( accounting document not generated) is not an error because when you create billing document then accounting document not generated. Accounting done after posting of that billing document with VFX3 or VF02 T.Code by account department.
               And for second issue you had define number range between 0090000000 and 0099999999 for invoice so thats why it happen.
    Regards,
    Sandip Shaktavat

  • Billing Document not generated.....

    Hi Gurus,
    When i am creating a Billing Document VF01....after completion of VL01n...the system shows an error Billing Document not generated...
    Please help me
    Rewards will be given

    To resolve the error, you can analyze account determination in the billing document. Process:
    Goto T.Code: VF02 & Enter Invoice number
    Next (On the top most strip) goto Environment
    Next (Select Environment) go to Account determination
    Next (In Account Determination) select Revenue Account Determination (first option)
    This will list all the condition types in the Billing document & analyze each condition & check for which G/L accounts is not determined.
    Possible errors:
    1. VKOA not maintained for required combination
    Solution: Maintain the combination in VKOA.
    2. Account Assignment of Customer / material not maintained in Customer / Material Master (If maintained in combination in VKOA).
    Solution:
    Option 1 (Standard solution):
    step 1: Cancel Billing Document --> Reverse PGI --> cancel Delivery --> Cancel Sales Order
    step 2: Maintain Customer master / Material Master correctly.
    step 3: Recreate sales Order --> Delivery --> PGI --> Invoicing.
    Option 2:
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    3. Account Key not maintained in Pricing Procedure:
    Impact: This may create accounting document, but if condition type, which are to be posted to account, but do not have account key maintained in pricing procedure, it will not be post the relevant condition type to G/L account.
    From FI Side, you require to check that all the G/L account has been maintained through T.Code: FS00. G/L account being Master data has to be created in each client ot uploaded through LSMW / SCATT / BDC.
    In Billing Document in change mode (in the first screen where we enter Billing Document number), on the top most left hand corner, take a dropdown on Billing Document & select Release to accounting. Here you can get the under mentioned possible message:
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    2. Cost Element not maintained for G/L account.
    In both the above cases, FI consultant requires to take corrective action.
    Regards,
    Rajesh Banka
    Reward suitable points.
    How to give points: Mark your thread as a question while creating it. In the answers you get, you can assign the points by clicking on the stars to the left. You also get a point yourself for rewarding (one per thread).

  • Excise Accounting document not generated for Imported Asset GR

    Dear all,
    Excise accounting document is not generated for imported asset goods receipt(MIGO)
    but "C" Register part 2 no. is generated,usual accounting document is generated for GR,
    Asset is Dr to GR/IR
    Process is
    1. Create asset purchase order with acct. assignment "A",
    2. Customs miro based on p.o.
    3. Do GR with excise
    4. Post invoice for orginal vendor.
    What will be cause of this problem ?
    How to solve this issue ?

    The above issue may be due to Accout assignmnet -A . Check your accout assignment  in spro -mm-purchasing -accout assignment - Asset A - GR Non valuated has Ticked on . If it is ticked on - No Fi entry will happen at the Time of GR .
    The reason being , if an FI entry happen for the first time , asset is capitalised . To avoid this GR is made in ur config as this .
    rewdzzzz is full if correct
    Edited by: manu m on Apr 24, 2010 11:11 AM

  • FI document not generating in ABSO transaction.

    Hi,
    I executed ABSO transaction with 897 transaction type.
    System is generating asset accounting document. But corresponding FI document is not generating.
    please help in this regard.
    Note: Earlier for the same transaction(ABSO), system is giving message please contact system administrator. After maintaining account determination for revaluation (relating to 897 transaction type), now the system is posting AA document but not FI document.

    Have alook with a test run for that asset if it is created with the:
    ASKB - APC Values Posting
    AFAB - Execute Depreciation Run

  • Accounting Document not generated after Post goods issue in delivery order.

    Dear Experts
    Greeting of the daays,
    Need your help on below issue.
    After making the post goods issue ,the system is not making the accounting document.
    The error given by the system is as follows:
    Material document 12365 does not include an accounting document
    Diagnosis
    The system cannot find an accounting document for the material document 12365.
    Possible reasons for this are:
    The goods movement has no relevance to accounting. Therefore, the system did not generate an accounting document for the material document.
    The material document is a document that was posted before Release 2.1. Such documents must be converted so that the system can find the relevant accounting document.
    The procedure for the subsequent calculation of value is not active in your system. For further information, refer to the documentation on the program for valuating goods movements: RM07MWBU.
    __Solution what I tried to solve this issue ,but not successful.__
    __Solution 1- maintain OMS2__
    __Solution 2 - maintain OMJJ- movement type 601 - PRCTR is required entry.__
    __Solution 3 - price maintain is material master.__
    __Solution 4 - OBYC - BSX - 7920 - GLA/c  and GBB- VAX and VAY - 7920 GLA/c.__
    __Pls let me know if there is any confirgation is missing.__

    Hi
    Do this checks:
    In tcode OBYC check if you have the proper entries.
    Go to tcode OKB9 and do the settings for the G/L acc. that you have in OBYC.
    To populate PRCTR you can use OKB9 and you can check if you have values in MARC-PRCTR.
    I hope this helps you
    Regards
    Eduardo

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