Physical Inventory - need to reverse the posting

Hello Everybody,
We performed a cylce count on work center in a plant. There were 4 numbers that we had to do a recount on. I was unable to enter the recounts. By mistake I posted the document before the changes were made. I tried to cancel the mat doc but was unsuccessful. I need this posting reversed.
Can anyone pls guide me.....?

Hi
Please go with following transaction
MI01>Create physical inventory document>Enter Document Date>Planned count date>Plant Code>Storage Location>Click on Enter button>you will get the separate screen>Enter material code>and click on SAVE button (Ctrl+S)>you will get Physical inventory document number. (MI02-Use for delete)
(After getting Physical inventory document number you go with MIO4)
MI04>click on enter button>you will get "Enter inventory count screen>Enter Phys. inventory doc.no>Fiscal year>Count date>click on enter button>you will get separate screen>Enter physical qty>and click on save button ((Ctrl+S)>you will get massage from the SAPu201D Count entered for phys. inv. doc. 100000112"
(After completed above transaction you please go with MI07)
MI07>you will get Post inv.differences: initial screen>Enter Phys. inventory doc.> Fiscal year> Posting date>click on enter button>you will get separate screen with deference qty>click save button (Ctrl+S)> you will get document number generated from the system (Diffs in phys. inv. doc. 100000112 posted with m. doc. 4900001246)
Physical Inventory:
Physical Inventory is a business process in which physical stock is matched with book (system) stock. It is legal requirement to carry out physical inventory at least once in a year.
Physical inventory can be carried out both for a companyu2019s own stock (Unrestricted, Quality, Blocked Stock) and for special stocks (Customer Consignment stock, Vendor consignment stock from vendor, Returnable packaging). This inventory is carried out saperately for both type of stocks.
Physical Inventory Processes:
Several inventory processes available for physical inventory which includes as follow:
1. Periodic Physical Inventory
o All stocks of the company are physically counted on the balance sheet key date
o Every material must be counted
o Entire warehouse must be blocked for material movements during count.
2. Continuous Physical Inventory
o Stocks are counted continuously during the entire fiscal year.
o It is important to ensure that every material is physically counted at least once during the year.
3. Cycle Counting
o In this method of physical inventory, inventory is counted at regular intervals within a fiscal year.
o These intervals (or cycles) depend on the cycle counting indicator set for the material in Material Master record as CC indicator in plant view data.
o With this Cycle Counting Method of Physical Inventory allows fast-moving items to be counted more frequently than slow-moving items.
4. Inventory Sampling
o Randomly selected stocks of the company are physically counted on the balance sheet key date.
o If found not much variance between the counted stock and the book book stock, it is presumed that the book inventory balances for the other stocks are correct.
Physical Inventory Process Cycle Flow
1. Creation of physical inventory document
- Physical inventory document(s) is created individually or using the batch program, click for more information
- The transaction codes for creation physical inventory are as follow
Individual Inventory documentation creation
MI01 - Individual physical inventory creation
MIS1 - Inventory Sampling document creation
MICN - Cycle count inventory document creation
Collective Inventory document creation
MI31 - Own stock without special stock
MIK1 - Vendor consignment
MIQ1 - Project stock
MIM1 - Returnable Transpiration material
MIW1 - Customer Consignment stock
MIV1 - Returnable material with customer
MIO1 - Material provided to Vendor (Subcontracting material)
2. Print physical inventory document
- Physical Inventory document can be printed based on the physical inventory document status and or item status
- Transaction code MI21 is used to print the inventory document where print default value can be populated
3. Count the physical stock
- Based on the inventory document printout, the warehouse person will check the stock of material physically and note that on print out. This is completely physical process.
4. Enter count in system
- On completion of physical count, the count result is needs to be entered in the system. This can be with reference (using Tcode MI04) or without reference (using Tcode MI04) to the physical inventory document.
- If count quantity for that material is ZERO then select ZC (zero count) column instead of putting 0 in qty field. If 0 is used for zero count then systm will consider that as "not counted"
5. Analyze difference
- Once count is posted in the system, difference analysis can be carried out using transaction MI20
- The output gives information based on the input criteria i.e. physical inventory document, plant, material etc.
- The output gives information about the book quantity, Counted quantity, difference in quantity and value.
- From this output list, you can carry out further process ie initiate recount, change count quantity, post difference
6. Initiate recount and follow the steps 3,4,5
- If found unacceptable difference, recount is initiated using directly from difference analysis list (transaction code MI20) or using transaction code MI11.
- New inventory document will be created for selected items or for entire document
- The original document items will be deactivated once recount is initiated so original document will not be available for further process.
- On initiating recount, you need to process same as for new count document.
7. Post the difference
- Several options are available for posting difference
- Post difference after count is posted using transaction code MI07
- Posting the count and inventory differences using transaction code MI08, here you have created physical inventory but not counted so with this you can count and post difference in sinle step.
- Entering the count without a document reference using trasnaction code MI10, with this you can create inventory document, enter the count and post difference in single step.
some more points for posting difference
- Posting period must be open to post inventory difference.
- The fiscal year is set by specifying a planned count date when creating a physical inventory document.
- Tolerence to crear difference per user group can be set in customization.
- The system will generate material document for the difference qty and post the value to appropriate account (for valuated stock)
- The movement type in material document will be 701 or 702 based on gain or loss of material.
Serial Numbers in Physical Inventory
If material is managed with serial number then it is possible to carry out physical inventory for material with serial number. There are some pre-requisite before you carry out physical inventory for serialized materials.
- Serial number profile must be maintained in the material master.
- the serialization procedure MMSL (maintaining goods receipt and goods issue documents) has to be assigned to serial number profile.
- The stock check indicator in the serial number profile should be configured.
- Maintain basic settings for the serial numbers in customization for Serial Number Profile.
- Configure serial number management for physical inventory in the Settings for Physical Inventory step in Customizing for Inventory Management.
Blocked Stock Returns are the stock which is return stock from Customer or the stock which can be return back to vendor. To restrict the usage of this stock mostly business do transfer posting for this mateial as BLOCKED stock

Similar Messages

  • Physical Inventory Document has to be posted in back date!

    Hi friends,
    A user has created physical inventory document in november, but did not post then. Now MM period is open for December & FI period is open for January. How to post document that was created in november. User do not want to delete & recreate the document.  Can this be achieved?

    the only thing you can do is to delete this document with MI02 transaction.
    you can only post to current and previous period.
    Take it as an experience, next time you will be quicker with your activities.

  • Physical inventory document not showing the warehouse stock type in MI24

    Hi Friends,
    I am facing two issues.
    1. In Production system, after executing MI31 for plant 3070, if i see the report in MI24, in Plant 3070, sLoc 0010, for some materials Warehouse stock type is not coming even though the materials are warehouse managed and having warehouse management views are there in material master. for some materials warehouse stock type is coming in the same plant and sloc.
    2. In qulaity system, afetr executing MI31 for Plant 3070, no PID is generated for Sloc 0010 even though the sloc is having materials and those are warehouse managed and having warehouse management views are therein material master.
    where i need to check for the problem,
    Please help me in resolving this issue, this is high priority for me.
    Thanks in advance,
    Ravi.

    >
    Ravi Kumar Bittavarapu wrote:
    >> 1. In Production system, after executing MI31 for plant 3070, if i see the report in MI24, in Plant 3070, sLoc 0010, for some materials Warehouse stock type is not coming even though the materials are warehouse managed and having warehouse management views are there in material master. for some materials warehouse stock type is coming in the same plant and sloc.
    >
    > 2. In qulaity system, afetr executing MI31 for Plant 3070, no PID is generated for Sloc 0010 even though the sloc is having materials and those are warehouse managed and having warehouse management views are therein material master.
    >
    > where i need to check for the problem,
    >
    > Ravi.
    in your training documents (just kidding) .
    You wrote that your storage location is warehouse managed. But MI31 is the transaction to craete physical inventory documents for a non-warehouse-managed location.
    You have to create your physical inventory with WM transactions like LX16.

  • How to reverse the posted depreciation for a particular period..?

    Hi Experts,
    Please solve my problem, that my client users are changed the depreciation key in last month as per legal requirement. While changing the depreciation key they select the wrong depreciation key and run the depreciation in AFAB. But after running the depreciation they came to know that amount is wrong because of the wrong depreciation key. So now they want reverse the entry for last month only and post the new entry with changed depreciation key.
    Please give me advise how to reverse depreciation for only Last month. That should effect the all previous posting.
    Regards
    Narendra

    Hi,
    Depreciation Posted of only of the Previous Fiscal years
    can be reversed using ABZU Write-Up.
    ABZU -->Reverse the Past
    Dep. For current depreciation reversal you have no alternative except reversing
    co code depreciation document posted using OAGL and then repost it.
    Regards

  • Reversing the posting done in AB01

    Dear all,
    I have wrongfully advised the user to clear the down payment using T code AB01(Clearing of down payment  from current fiscal).
    I want to reverse this transaction.  Can anybody guide me where and how can i reverse it.?
    Regards,
    Sudish

    Thanx for your advice.
    I was able to reverse the document in AB08. But my original issue still remain.
    When my user in trying to capitalise asset in AIAB he is getting an error message AW605.
    I got to understand that I have to clear the down payments first in F-54. But to clear DP in F-54 i need the document numbers.
    I tried to get the document number in AW01n. But I am not able to find. Can you guide me how do I find the FI document number for this transactions so I can clear the same in F-54.
    Regards,
    Sudish

  • I need to reverse the command and let the computer use Windows to search the program I want to use t

    I am not sure if you can help me.  I need to command my computer to look for a program that is most suited to open files automatically.  I accidentally check the mannual mode and appointed Adobe Reader x to be the designated program.  Now nothing will open.  How can I undo what I did last night and reverse the process to restore my original setting?

    You made Adobe Reader the default progrm for what: .pdf files, or anything else?
    "Nothing will open" means what, programs, files, any files?
    Try a System Restore to a date before you made the change.

  • How can I reverse the posting generated by MF47 or COGI?

    Hi,
    Using transaction MF47 I have generated a posting document. But when I ran MF47 I did it with the wrong posting date, so the accounting document generated by transaction MF47 has the wrong posting date. I would like to reverse the document generated by MF47 in order to run MF47 afterwards with the correct posting date. Is it possible? I  have try to reverse it using MF41 but I do not see the document generated by MF47 in order to reverse it.
    Thank you very much,
    Ariana

    Hi,
    It is not possible to reverse the MF47 entry or COGI entry. Once it is cleared means that's all. May be you can try with cancelling the material document and once again you can try with the backflush. But this will not create any COGI entries reversal or MF47 entries reversal.
    Regards,
    V. Suresh

  • Quick help needed on reversing the Journals

    Hi Gurus
    While importing the data from the GL_INTERFACE the REFERENCE_21 …. REFERENCE _30 are moved to REFERENCE_1 through REFERENCE_10 in the GL_JE_LINES table and the GL_IMPORT_REFERENCES table..
    When reversing a posted entry all the 10 reference fields(REFERENCE_1 through REFERENCE_10) are not copied into the new reversed GL line. Only REFERENCE _2, REFERENCE _3 and REFERENCE _5 are copied in GL_JE_LINES table.
    Is there any setup, which allows the JE reversal to populate all the reference fields in the reversed line in GL_JE_LINES table?
    Any quick help is appreciated.
    Thanks
    Isaac

    Hi all,
    I could able to get the solution for this problem.
    Oracle provides Patch 5136186 to resolve this issue in 11.5.9 and 11.5.10.
    Thanks
    Isaac

  • I need to reverse the system migration done through migration assistant

    Hi All,
    I have purchased a new macbook air 13".
    From my previous macbook pro i have migrated the sysem using migration assistant.
    i now want to reverse the migration and bring the machine back to the pre-migration stage.
    Please guide me how to go about doing this.
    Thankyou in advance.

    Hi Again,
    I did the procedure as detailed in the KB, but an unfortunate thing has happened. After neraly 4 hours (on a 512kbps net connection), it gave an error "Cannot find installation information for this machine - contact Apple Care".
    When I spoke to Apple Care they guided me with the same procedure, but even after retrying, the status remains the same. Now I am stuck with a brand new Macbook Air with me that I cannot use at all due to this recovery goof-up.
    Please please ... some one help.
    Many thanx in advance.

  • Financial impact - Need to correct the posting key

    Dear All,
    During a configuration,by mistake in OBYC in transaction key COC, in posting key, a entry 40 and 50 in the field Debit & credit was made.
    However, It was blank in initially. Now when going to change it by making it blank, system throwing an error as:
    "Specify at least one posting key "
    Message no. F4837
    Please suggest me to rid out from this issue, I would like to maintain it again as blank.
    Thanks in advance..........
    Warm Regards
    Jayesh

    Thanks Bijay,
    The values of posting key in COC were blank.
    I changed  and save that. but surprising thing is that, just immediately when I tried to made its blank.
    system was not allowing to made it blank by thrown the error "Specify at least one posting key "
    I do not want any value in it and would like as it was in initially i.e. blank  (standard)

  • Material Blocked for Goods reciept during Physical inventory.

    Dear All,
    We are using Batch management .
    While carrying out the Physical inventory, system allows the goods receipt for the materials existing in the physical inventory document,  As the new batch is created during the Goods receipt.
    While creating the physical inventory we are putting the posting block and including all the existing batches available at that time.
    Can anyone suggest anything so that the goods receipt can be stopped till the time difference is not posted in the system.

    Dear Don,
    Please explore the "Posting block" and  "Freeze book inventory"
    checkbox in transaction MI01 .
    Posting block Indicates that no goods movements involving the materials
    listed in the physical inventory document can be posted for the duration
    of a physical inventory count.
    I hope this helps
    Regards
    V V

  • Posting during a physical Inventory

    We are in the process of a Physical Inventory. We created a physical inventory document and block the material, executed the count for a material but we haven't posted the physical inventory differences and the system is allowing to register good issues from warehouse. Is this correct? How can I block the material until de inventory differences are posted?
    Thanks.

    >
    Susanna Gill Bermundez wrote:
    > We are in the process of a Physical Inventory. We created a physical inventory document and block the material, executed the count for a material but we haven't posted the physical inventory differences and the system is allowing to register good issues from warehouse. Is this correct? How can I block the material until de inventory differences are posted?
    >
    > Thanks.
    Make sure POSTING BLOCK was checked in MI01, not FREEZE BOOK INVENTORY.
    Second, when count is entered without difference, system will release the posting block as there is no difference.

  • Posting block - Physical inventory

    Hello,
    Is it possible to do a posting block at storage location level for physical inventory without creating a phy.inv.document? If so, could you guide me?
    Thanks
    UV

    Hello UV,
    There are three options for blocking the posting in Sloc.
    1. Create inventory document and block the posting in that sloc, once you are done then you can delete that inventory document or complete with count and clear it so you can again use the SLoc.
    2. Delete the SLoc for temporary. so it will not allow to post any transaction in that SLoc. When you are ready at that time create SLoc with the same (previous) name.
    3. Use authorization profile and restrict any transaction for that storage location.
    Hope this helps.
    Regards
    Arif Mansuri

  • Urgent : need to reverse a document posted thro MIRO

    hi experts,
    i have posted an invoice thro MIRO transaction.
    is it possible to reverse it... if so how?????
    regards
    priyaraj

    Hi
    u need to reverse the mr8m that cansel the invoice and also that particular document u fi side u need to reverse through fb08
    Regards

  • How to reverse the cash journal posted entries in FBCJ

    Hi All
    In Cash journal (FBCJ) user has posted the document by mistakenly two times, is it possible to reverse the cash journal posted document. Please advise how to reverse the posted cash journal entries.
    Regards
    K.Gunasekar

    Hi,
    For reversing, select the line and then go to "Edit > Delete Entry (Shift+F2)" or "Delete Row" button at the bottom part of screen. (Deletion function reverse the document in FBCJ)
    However in case you are trying to reverse the entry after printing a receipt if you must implement OSS Note 359656 first:-
    [https://websmp130.sap-ag.de/sap(bD1lbiZjPTAwMQ==)/bc/bsp/spn/sapnotes/index2.htm?numm=359656]
    Regards,
    Gaurav

Maybe you are looking for

  • ASA5505 Can't pass traffic between inside (private) & outside (private)

    10.15.50.0/24 <---> 10.15.50.254 (inside / ASA5505 \ outside) 10.60.15.253 <---> 10.60.15.254 <--- (cloud) ---> (eventual destination 10.15.60.0/24) Goal: 10.15.50.0/24 traffic will communicate with 10.15.60.0/24 while block all other.  Current confi

  • Class not found for class generated by autotype when deploy

    I'm getting a ClassNotFoundException when I attempt to deploy a webservice that was originally generated from an XSD. 1) I create the stubs using "autotype" and the schemaFile attribute. Class files are generated and placed in the location specified

  • WBS elements not deleted from PRPS table

    Hi Experts, In CJ20N transaction: When I delete a project with project profile (ZABC):   - The project record is completely deleted from 'PROJ' table.   - The WBS records are completely deleted from 'PRPS' table. When I delete another project with di

  • Is there a filter for "missing photos"?

    Can you search for missing photos from within a folder? I know there's the command that says "find all missing photos" but that delivers results for the entire catalog. I'd like to see the missing photos from just one folder and wonder if that's poss

  • VIRTUAL PROVIDERS LOAD

    Hi all, among the statistic cubes on BI 7.0, there are also the VIRTUAL cubes (0TCT_VC01, 0TCT_VC02, 0TCT_VC03). I loaded the basic cubes by Infopackages without problem, but If I try to overview data into corresponding virtual cubes from RSA1, two m