Problem in cin(excise)

Dear cons
In case of Purchase orders with excisable tax code,the system is allowing to do invoice verification even if RG 23 Part 2 has not been updated.The system is automatically reversing the GR/IR Clearing account even if J1IEX has not been done.Earlier this check was there,but now it is not working
Thanks
nirupama

Dear Lakshmipathi,
Thanks for your reply, If I am not wrong 355 is rounding off rountine of excise values. as i told you mines is export pricing procedure my BED also in USD, which i can't do. If i do that even the rounding decimals when we converting to INR give lot difference.
Second : Rounding nearest value function module
In the background calculation when the system is calculating the assessable value, there we need to incorporte this with our won peace of code, but later on SAP bringing the original values somehow.
in my case also INR 2 decimals only, system in the background it is considuring the 3rd decimal.
do you have any other solution. please let me know.
Regards,
Raghava.

Similar Messages

  • I am facing a problem that Basic Excise Duty is not picking in Tcode.: J1IS

    while doing STO. Our STO procedure is intiallyyPO with UB STO then MB1B with 351 movement type transfering stock from one plant to another plant. Next step is Tcode: J1IS here BED should pick automatically once i click on GET EXCISE INVOICE tab. then we go for JIVS and MIGO with 101 movement type.
    I am facing a problem that Basic Excise Duty is not picking in Tcode.: J1IS .
    we are not going through SD configuration and I mentioned evrything in Tcode J1ID

    Chek SAP Note 951938 is applicable to you
    Regards
    Sanil Bhandari

  • In CIN excise accounting is happening.

    Hi Team,
    Excise invoice (Excise duty) condition accounting must not be posted for export sales. And Excise duty conditions it is marked as statistical and account determination in SD is not happening which is fine.,
    But in CIN , excise accounting happens.
    Please advise where to look ?
    Appreciate if you can reply at the earliest.
    Regards
    Sits

    Hi
    As you told as per the business process you don't want to Hit accounting . This happens in only following cases
    1. Export sale (Remmember to use the Export Customer -otherwise the Export option will not be active)
    2. Deemed Export (Local Customer)
    3. SEZ  (Local Customer)
    In J1IIN , Input the billing document number and get inside the screen.  Now here you can see the Excise Values are coming .
    You can see it in the bottom half of the screen.
    Next - Click over that utilization buttion, in the next screen again you will find the values and a PENCIL Button.
    Once you click the pencil button you will see, there are multiple option which gets activated in BLUE Color.
    In Case of Export the system checks the Country of the Customer should not be IN (India). If the country is not india the Export option will not get activated.
    Check for this - then you don't want excise entries - mean you want the export sale to be against bond.
    As you click the button the select the option against bond in blue color and SAVE- This will not hit accounting.
    But if you select NO BOND option , this will generate accounting entried.
    DO NOT GO BACK TO FRONT SCREEN- SAVE the document here.
    This will work fine.
    Thanks.................Rishi

  • CIN - EXCISE ACCOUNT DETERMINATION

    HI CIN experts,
    I need ur valuable suggestion cin excise accounts determination.
    The blw is the example of account determination ;
    GRPO - 25930004
    OTHR - 25930004  (SAME  NBR)
    DLFC- 14224023
    Like this the gl numbers are assigned , can we assign as per abv ?? as per understanding the Debit entries are flown frm GRPO and Cr entries frm OTHR and DLFC...
    so what's the benefit of keeping same gl nbr in GRPO and OTHR???
    As well,  if keep diff nbr agsinst OTHR compared to GRPO and what's impact? if i do return delviey it will hit on diff gl compared to GRPO nbr, in that case how to nullify?
    Jay

    Hi,
    Please explain in details which account are taking abt. for GRPO , OTHR and DLFC there are many accouts.
    And for accounting entries. the accounts are not taken from different Excise TT. for eg all accounts whether debit or credit will be taken from same excise TT for eg GRPO. the entries whether do debit or credit are dittermine from setting
    Logistics - General->India->Account Determination->Specify Excise Accounts per Excise Transaction
    here u give the accouting entries to be created and which gl accounts are pick from the Logistics - General->India->Account Determination->Specify G/L Accounts per Excise Transaction.
    so check this setting.
    eg for account entries..
    GRPO          CR Credit     CLEAR CENVAT clearing account
    GRPO          DR Debit     ONHOLD CENVAT on hold account
    GRPO          DR Debit     RG23AED RG 23 AED account
    GRPO          DR Debit     RG23AT1 RG 23 AT1 Account
    GRPO          DR Debit     RG23BED RG 23 BED account
    GRPO          DR Debit     RG23ECS RG 23 ECS Account
    GRPO          DR Debit     RG23SED RG 23 SED account

  • Cin excise

    Dear Cons
    In cin(excise) where the menu path is Log.Gen- Tax on goods move-india-Accont.det.-spec. excise accounts per excise transaction.What is the meaning of each GL account field.For which transaction it will hit.

    For which transaction it will hit
    For ETT -
    GRPO - Good receipt with reference to purchase order / depot / Assets in MIGO(Single step excise) / JI1EX(Two step excise)
    DLFC- Factory sales in J1IIN.
    CEIV - Cancellation of excise invoice in sales using J1IIN or J1IH.
    EWPO - Excise without purchase order in  J1IEX
    CAPE - Capital goods excise credit in J2I8 when utilizing remaining 50% credit.
    57FC - Subcontracting challan - J1IF01
    57NR - Reversal & recredit of subcontracting challan in JIIF13.
    OTHR - Excise for other movement in J1IS(Vendor returns,Stock transfer with excise).
    Refer Note 542862 - FAQ: Country Version India (CIN) General MM queries & also refer SAP MM CIN Settings to know more about it.

  • CIN : decimal problem in export excise invoice

    Hi all,
    I have issue, we are in export sales and we activated 5 decimal option for our customer.
    issue is  we made a export billing document with ref that export excise invoice.
    - in my billing doc ED exchange rate is 47.4  and the unit price is 1.63 $
    when i am converting to inr  below difference is comming
    qty       inr price  Asse val       BED         dif for assessable value
    10224    77.26     789906.24   31,596.25  20.45 
                             789926.69    31597                 =>  it is calculated on 77.262 how to avoid the 3 decimal when system is calculating the Assessable value for duty calculation. ????
    above is for one line item. like this i have multiple line item is the same invoice and the difference is huge.
    Thanks in Advance
    Raghava

    Dear Lakshmipathi,
    Thanks for your reply, If I am not wrong 355 is rounding off rountine of excise values. as i told you mines is export pricing procedure my BED also in USD, which i can't do. If i do that even the rounding decimals when we converting to INR give lot difference.
    Second : Rounding nearest value function module
    In the background calculation when the system is calculating the assessable value, there we need to incorporte this with our won peace of code, but later on SAP bringing the original values somehow.
    in my case also INR 2 decimals only, system in the background it is considuring the 3rd decimal.
    do you have any other solution. please let me know.
    Regards,
    Raghava.

  • CIN-Excise Utlization J2IUN wrongly entered in previous month now reverse and re-Utlize in current month

    Hi Expert,
    Our user has taken Cenvat utilization(t-code J2IUN) wrongly in previous month.Now he wants to reverse that and re-utilized in current month, Please tell me the process, i have already checked many threads in the forum but that is not satisfying our problem.I had used J1IH for reversal and repost but that is not reversing all the accounts as desired..
    Please give the solution on priority
    Entry Generated (J2IUN)
    40
    10591005
    BED Pay Sales-CHS
    2,775,599.00
    2,775,599.00
    40
    10591105
    E Cess Pay Sales-CHS
    55,502.00
    55,502.00
    40
    10591205
    HE Cess Pay Sales-CH
    27,771.00
    27,771.00
    50
    20891105
    CVAT RG23A CHS
    713,000.00-
    713,000.00-
    50
    20891205
    CVAT RG23A-ECess CHS
    14,860.00-
    14,860.00-
    50
    20891305
    CVAT RG23A HEC CHS
    7,140.00-
    7,140.00-
    50
    20892105
    CVAT RG23C Adj.CHS
    47,316.00-
    47,316.00-
    50
    20892205
    CVAT RG23C ECAdj CHS
    946.00-
    946.00-
    50
    20892305
    CVAT RG23C HECAdj CH
    473.00-
    473.00-
    50
    20895100
    Service Tax Reco.
    80,000.00-
    80,000.00-
    50
    20895200
    Edu. Cess Reco-S.Tax
    1,600.00-
    1,600.00-
    50
    20895300
    H E Cess Reco- S Tax
    800.00-
    800.00-
    50
    20899105
    PLA - Excise Duty CH
    1,935,283.00-
    1,935,283.00-
    50
    20899855
    PLA ED Cess-CHS
    38,096.00-
    38,096.00-
    50
    20899875
    PLA - HED Cess CHS
    19,358.00-
    19,358.00-
    Regards
    Anurag

    Its not possible to reverse the utilisation done in J2IUN. Refer this note.
    535616
    - FAQ: Country Version India (CIN) General SD queries
    Raise an OSS Ticket to SAP. Please inform if you got any solution.
    Regards
    Binoy

  • CIN: Excise invoice entery

    I am working in CIN 4.0A.
    User is reporting the following problem.
    While doing excise invoice for import order, system does not pick "Custom Invoice No". Earlier it was picking it.
    Can we do something about it ?

    Hi Sumit,
    What do you mean by "system does not pick "Custom Invoice No"". Kindly elaborate.
    According to me the import process should be as follows:
    1. PO
    2. Customs MIRO
    3. Capture Cenvat
    3. GR
    prasanna

  • Problem in Depot Excise Invoice - J1IJ

    Dear friends,
    The business process is like this- After reaching the material to the depot they torn the bags and sell it as loose material and change the storage location (plant is same), this change is being done with movement type.  After selling the material to the customers depot invoice J1IJ is not getting generated.  (While doing STO  J1IG is taking place with a different storage location).
    So here what should I do to rectify the problem.
    Regards,
    Sreehari

    Let me know whether GR and Excise capturing is done for full bag
    If so Go to J_1IRG23D Table in SE16 chage the unit  from Bag to Kgs and change qty appropriatley.
    Then while billing material to customer in losse qty you can post excise IN J1IJ for QTY which ur dispatching.
    If ur porblems sloves just tell and also give some reward points
    Rgds
    BJ

  • CIN: Excise invoice accounting document is incorrect - MIGO

    Dear All,
    In MIGO, the Material document has two items (both are Consumables with the same chapter ID) for which the excise invoice has been posted successfully. The RG23C Part 2 register is updated correctly.
    But the accounting document so created has postings for only the second item. The posting for the first item is missing.
    We have checked for the settings for 'Multiple goods receipt, Multiple credits' in Plant Settings and also in Excise Registration which is set.
    Both the items in the Material document have the same tax code.
    We have checked for the excise GL accounts.
    The Excise GL accounts have been configured to GRPO
    We have also checked the J_1IPART2 table. and the accounting document updated with BED, AED, ECS and SeCEss amounts are correct.
    But what puzzles me is, when we check the accounting document in FB03, it has postings for only one item.
    We have checked the configurations and everything seems fine. We have simulated this situation in Quality system and it works fine, i.e .the accounting document has postings for both the items. Problem here looks like, itu2019s a manual error. Since all the tables are updated, and only the accounting part is missing, is it ok, if we create a manual accounting document?
    Can you please suggest?
    Many thanks in advance
    Vinod P

    You are saying materials are consumables and registered in RG23C.  This register is for Captial goods and not for consumables.  I think it could be RG23A.  check once again.
    Check J1ID for both materials and compare.  I am sure some of the details were missed here.  Even blank field will not allow to post
    Srinivas

  • Problem while creating excise invoice by J1IJ

    Hi Friends
    I am creating excise invoice from delivery for a depot using T-c0de J1IJ . Problem is every time when I select RG23 in drop down menu after entering delivery no, excise gp and series gp and and save it, system gives error that item is incomplete so excise invoice cannot be generated.
    Can anyone pls let me know what is the problem. I though found one things that there was no excise value in the J1IJ screen. i.e bed and other excise duties were 0, so could this be the problem?
    Thanks
    Amit

    Hi Friends
    Let em explain you the process so as to analyse the problem clearly.
    this is a trading process. My client is creating PO in advance and not on teh basis of PR generated after sales order.
    SO process they follow is create sales order, delivery, gate entry, weightment entry, PGI and then J1IJ and invoice.
    Here plant is a depot, so it is some kind of a depot sales process.
    Dear G. Lakshmipathi
    As suggested by you, will J1IG process be relevant in this case?. If yes then on what basis PO will be genrated here as my client is not generateing any PR w.r.t to sales order. Please advice.
    Waiting for your reviews.
    Thanks

  • Problem in posting excise invoice(part2)

    hello gurus,
    i am facing one serious problem. i am using 46c version.
    in case of import procurement . i am not able to post excise invoice .the step i am following are as follows
    1.after doing  MIRO i captured excise for CVD through j1iex with refernce to purchase order , pop up menu appears , i put MIRO number and years. system generated internal excise invoice no.
    2.GR process done with refernce to PO.
    3.than i create part1 through j1i5.
    than after i am trying to post part2 by tcode j1iex again but it shows message that no part1 exist .
    how i can solve this problem, can any one tell me whole cycle for import purchase in sap 46c.
    one more question while making MIGO with refernce to PO one pop up screen should appear for entring MIRO no for reference (as it appears in SAP47c and above), but it is not coming in sap46c. can any one help me whether it is possible in sap46c or not.
    regards
    ashwani tripathi

    Hi,
    Generally, for Import procedure folowed is.
    - PO created without GR/IR Unchecked and for Customs duties conditons are correctd with Custom vendor number
    - MIRO done for the Customs Vendor ( after the receipt of Goods )
    - MIGO done for the Goods ( when Tcode is excuted it will display the Doc number Generated in the MIRO run, or you have to input the correct number )
    - J1IEX done for the part2 posting
    Regards

  • Problem in export excise invoice under bond

    Dear Gurus,
    I am creating excise invoice for export under bond, in T-code J1iin, in utilization tab when i change to export invoice then it became mandatory  for deemed export while i set it for under bond by following path
    maintained in IMG Path -- Logistics-General --> Tax on Goods Movements --> India --> Business Transactions --> Outgoing Excise Invoice --> Maintain Default Excise Group and Series Group.
    For that series group,excise group,sales area, plant,shipping point, I maintained Export under bond
    But still problem is there.
    Please give me solution
    Thanks & Regards

    Hello Rajesh,
       While creating excise invoice for export excise invoice if duty values are getting nullified after selecting
    utilization TAB, excise invoice type BOND, then kindly use the user exit J_1I7_USEREXIT_DUTY_IN_EXPORT
    here pass the suppress calculation = X. So duty values will get copied from the billing document. If it is left
    blank system will recalculate duty while creating excise invoice.
    Best Regards
    MBS

  • Problem in capturing excise invoice

    Dear Experts,
    I am facing problem at the time of capturing excise invoice in J1IEX.
    A message always displays is "Excise Details are not maintanied for Vendor 9000232"
        Message no. 8I565
    When i am entering excise invoice with reference to PO, without PO or even the Goods Receipt.
    Can anybody tell me how to overcome this error.
    Thanks & Regards
    Prasant Sekhar

    hi,
    In J1id maintain vendors excise details
    Regards
    Kedar

  • Problem in Cancelling Excise Invoice

    We create excise invoice for both exports and local sales for manufacturing items.
    But the problem is we maintained same number range for both objects:
    J_1iexcloc , J_1iexcexp     (i dont know how system accepted).
    So same excise numbers are allocating for both local and export sales.
    That means if local excise invoice number is 001, we will have an export excise invoice too with 001.
    We have not maintained any subtransaction type.
    Until now we have not faced any problem. but now we need to cancel one export excise invoice.
    When i try to cancel in J1iin with the document number 001 (for eg), it is showing me local excise invoice.
    which i cannot cancel.
    So how can i cancel that export excise invoice.
    Please Provide me solution.
    If my query is not clear, please tell me.. i will explain..
    Thanks
    Pardhu

    Hi
       Please note that it is always recommended use different number range for Local Invoice and Export Invoice. If you maintain the same number ranges then it is expected that While cancelling the Export excise invoice system will cancel the excise invoice created for local sales.
       Thus Kindly maintain different number ranges to resolve this issue. If this issue is happening in your production server then you have to set the cancellation indicator at the table level for the Export Excise invoice which you want to cancel it.
    Regards
    MBS

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