Problem with Excise Duty tax calcualtion in Invoice

Hi experts,
Need your rexpert advise on the below issue.
We have MM invoice where by the tax is not calucalted correctly.
The Material is subject to excise duty, on the GR the excise invoice is getting generated with Cenvat clering account with correct amount towards excise duty
i.e. GR is done for amount - 52951.33 and corresponding Tax code is KE(10% excise duty, 3% Ecess and 2% CST) which comes correctly as 6214.73 approximately which is correct in case of GR
But however when the Invoice is posted for corresponding GR, the amount of tax calculated is only 1307.50, which should have been 6214.73 as the amount on the GR.
We really are not able to find out why their is diffrences in the calculation of excise duty.
Request your expert advise on this regard.
Thanks.
Shahid.

System will fetch the duties from J_1IGRXREF table into MIRO transaction. So firstly check whether duties are correctly updated for the respective Excise invoice in the said table.
Secondly ensure you have selected the correct tax code in MIRO same as PO tax code. There may be a chance that user had changed the tax code after posting the GRN in the Purchase order.
Finally check whether the condition records are valid for the selected tax code in FV13 transaction code and are not set to deleted.

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    [Dealer Process|Re: Second stage dealer process]
    [Dealer purchase |Re: dealer purchase]

  • How to do Payment against Proforma invoice with excise duty?

    Hi all
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    I have a scenario like, I want to make a proforma invoice partially/fully for the customer order(sales order) with excise duty and I will receive payment against this invoice.
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  • Sample invoice with excise duty only

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  • REVERESE SUBCONTRACTING WITH EXCISE DUTY

    Job Work done by Client with excise duty
    Business Process,
                                 Raw material got from the Customer & it is processed by Client finished goods are made the same will be delivered to the Customer with excise duty.
    Details:
    1     Sales order will be created with the details of raw materials that customer agreed to give & finished product that customer need after getting the P.O from the customer.
    2     Customer will send the material with excise invoice (paid by customer).
    3     Client receives the material post the customer excise invoice with part-1 & part-2 entry in the RG23A register.i.e Cenvat credit taken by Client for the customer material.
    4     The received Raw material processed by Client converted to finished product with RG1 entry.
    5     Finished send to the customer with excise duty paid by Client
    6     As excise duty liability is with Client every month excise duty difference between credit taken & paid is settled with customer.
    E.g. For August month
              Cenvat credit taken for raw materials Rs-10000
              Excise duty paid by the Client Rs-50000
              Difference to be paid by the customer to Client is Rs-40000
    Pl guide me how to map this process in cin
    Regards
    Umapathy.M

    Hai,
    The pre requisties for this scenario in CIN part is
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    2. Create the customer as a vendor.
    3. Maintain the input material in J1ID with material type raw material & chapter ID.
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    5.Maintain the assessable value for this material in J1ID. This has to be flow for excise calculation.
    6.Maintain the excise tax rates for the Chapter id in J1ID.
    7.Mainain the 501 Mvt type in IMG - Logistics general - Tax on goods & movements - India - Business transactions - Incoming excise invoices - specify which mvt type involves excise invoices.
    8.Maintain the settings for register entries & GL accts in Acct determination in IMG - Logistics general - Tax on goods & movements - India - Acct determination for the excise transaction type EWPO.
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    2.Do the MIGO with other receipt for 501 Mvt type to receive the raw material. Capture the excise invoice in the MIGO itself.
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    4.Do the process with PP cycle.
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    8.Check the accting entries at the Customer acct.

  • Material cost with Excise Duty and VAT

    Dear All,
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    Hi
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    1.     MM Excise Conditions
    JMOP     IN: BED setoff %
    JMOQ     IN: BED setoff Qty
    JAOP     IN: AED setoff %
    JAOQ     IN: AED setoff Qty
    JSOP     IN: SED setoff %
    JSOQ     IN: SED setoff Qty
    JMIP     IN: BED inventory %
    JMIQ     IN: BED inventory Qt
    JAIP     IN AED inventory %
    JAIQ     IN AED inventory Qty
    JSIP     IN SED inventory %
    JSIQ     IN SED inventory Qty
    JMX1     IN: A/P BED setoff
    JAX1     IN: A/P AED setoff
    JSX1     IN: A/P SED setoff
    JMX2     IN: A/P BED inventor
    JAX2     IN: A/P AED inventor
    JSX2     IN: A/P SED inventor
    JECP     IN:A/P e-cess setoff
    JECI     IN: Eces inventory
    JEX1     IN: A/P ecs setoffT
    JEX3     IN: A/P ecs invT
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    JIPS     IN Sales tax setoff
    JIPC     IN Central sales tax invoice
    JIPL     IN Local sales tax invoice
    JIP5     A/P RM Deductible
    1.     Service Tax Conditions
    JSRT     A/P Service Tax
    JEC3     A/P ECS for ST
    Define the Tax Procedure according to the settings in the figures below.
    You can do this in the IMG under Financial Accounting ® Financial Accounting Global Settings ® Tax on Sales/Purchases ® Basic Settings ® Check Calculation Procedure ® Define Procedures.
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  • Excise Duty tax status

    Hi
    I can't Modify the field EXCISE Duty tax status in material with transaction MM02
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    Dear,
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    In conjunction with other data, the data related to Indian Excise Duty is used to calculate excise duty on various transactions. This data is maintained by following the following path:
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    Thanks & regards
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  • REVERSE SUBCONTRACTIN WITH EXCISE DUTY

    Job Work done by Client with excise duty
    Business Process,
                                 Raw material got from the Customer & it is processed by Client finished goods are made the same will be delivered to the Customer with excise duty.
    Details:
    1     Sales order will be created with the details of raw materials that customer agreed to give & finished product that customer need after getting the P.O from the customer.
    2     Customer will send the material with excise invoice (paid by customer).
    3     Client receives the material post the customer excise invoice with part-1 & part-2 entry in the RG23A register.i.e Cenvat credit taken by Client for the customer material.
    4     The received Raw material processed by Client converted to finished product with RG1 entry.
    5     Finished send to the customer with excise duty paid by Client
    6     As excise duty liability is with Client every month excise duty difference between credit taken & paid is settled with customer.
    E.g. For August month
              Cenvat credit taken for raw materials Rs-10000
              Excise duty paid by the Client Rs-50000
              Difference to be paid by the customer to Client is Rs-40000
    How to map this process in CIN
    Regards
    UMAPATHY.M

    ,

  • Excise treatment during subcontracting process with excise duty

    Dear all,
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    Revert if you didnt understand this scenarion.
    Regards,
    Sravanthi.Y

    Hi,
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  • Plant to plant stock trasnfer with excise duty

    Hi,
      We have one company code and two plant assign to it , now one plant is Ma=fg. plant  and other plant is depot plant  , now I have purchase  material with excise duty in mfg. plant and excise is capture with J1IEX aprt1 and part2 is done   now our requirement is we wan to sal that material thorugh depot plant  so for this the entry should be there in RG23D  so can you giude or give some link for this so that material from plant A  to be trasfer to depot plant , with excise then we can sale that  material thorugh trading plant.
    regards,
    zafar

    Hi,
            Steps to Stock transfer from one plant to another plant as below... ..
    1. First enable Sales View of material that you want to transfer (MM01) and  fill required data i,e.
    Plant  Select Plant where Material transferred.
    3)     Sales Org. Data1 Menu   Select Division u201851u2019 Cement.
    4)     Sales Org. Data2 Menu  Select Gen Item Cat. Grp u2018 NORMu2019
    5)     Sales General Plant Data 
    A)     Availability check u2018KPu2019
    B)     Loading GRP u20180001u2019
    C)     Profit Center u2018Plant Codeu2019
    2. Create Condition Records  (VK11)
    3.Create Sales Order                 (VA01)
    4.Create Outbond Delivery     (VL01N)
    5.Create Billing Document      (VF01)
    6. Excise Invoice                          (J1IIN)
    7. Printing of Excise Invoice and Commercial Invoice                           (VF02)
    Regards

  • Sub-contracting with excise duty..?

    Hi all
    can anybody explain me the sub-contracting process with excise duty , here we are going create excise invoice(J1IS instead of sub-contract challan) and what abt material document for sending out materials
    whether v an use excise invoice as material transfer document to jobber place or what.
    Please explain me with example ..
    Regards
    sap-mm

    hi ,
    you can try:
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    2.Create the Subcontracting PO without payment of excise duty ie., with subcontracting challan. Here the components provided to the vendor & material at item overview should be the same.
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    4.Create the subcontracting challan w r t material doc by J1IF01
    5.Do the MIGO for SC PO.
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    8.Do the LIV for SC PO.
    9.Do the MB1A with 201 MVT type to issue the material to the Work location.

  • Excise duty & taxes

    Hi experts,
                     Kindly tell the SAP standard practice to post difference in  excise duty & taxes w.r.t vendor bill and PO?
    Thank you
    SAP MM.

    >
    Maria wrote:
    > Hi experts,
    >                  Kindly tell the SAP standard practice to post difference in  excise duty & taxes w.r.t vendor bill and PO?
    >
    > Thank you
    > SAP MM.
    Subsequent Debit, is the transaction you use in MIRO for all price difference related issues.
    Subsequent Debit
    subsequent debit
    What is Subsequent Debit ?
    Edited by: Afshad Irani on Jun 1, 2010 10:58 AM

  • Subcontracting process with excise duty??

    hi all
    Can anybody explain me about the subcontracting  scenario with excise duty??
    For example , i have cerated subcontracting PO for A material is finished material is exciseable.
    To produce A material , i have provided ,B,C,D materials to subcontractor , those materials also exciseable .
    this is my scenario , explain me with transaction code (Step by Step).
    Explain me about excise duty accounting folw for above scenario.??
    Thanks
    SAP-MM

    Hi,
    During J1IS: -
    CENVAT Payable BED - Cr
    CENVAT Payable ECS - Cr
    CENVAT Payable SECess - Cr
    Excise Duty Paid - Dr
    During J1IEX: -
    CENVAT Input BED - Dr
    CENVAT Input ECS - Dr
    CENVAT Input SECess - Dr
    CENVAT Clearing - Cr

  • Excise Duty/Tax - CIN Doubts - Suggestions Please

    Hi,
    Please give solutions for this...
    1. Service Tax payment or credit is required in three types ( i.e BAS, TIC, GTA).  Where as in SAP it is in single type.
    2. How SAP will address the entries for ineligible credit on Service Tax, Vat and Excise Duty?
    3. In Excise there are two invoices (i.e Commercial Invoice and Excise Invoice).  In some cases, Commercial invoice is in one name and Excise invoice is in another name.  The accounting of such type of invoices are not addressed.
    4. Commercial invoice Received in single invoice where as the corresponding excise invoices are more than one bill. How this will be addressed?
    5. In case of Dealer invoice Excise duty may not be 10.3%.  It will vary.  This also to be taken in to consideration.
    6. Duty amount should be rounded off
    7. In case of any shortage of materials or price difference how the  debit note are to be generated?
    With Regards
    Anbu

    I would like to correct that BED is not always 16% and depends on the chapter
    For education cess and higher education cess the rate depends on whether the product was manufacture after certain cut-off dates
    for higher education cess this cutoff is 1st march 2007
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  • Very urgent...accounting entries for (excise duty)taxes and duties on sales

    Hi Friends,
    I'd appreciate if anyone would help me out the entries for excise duty and cenvat utilisation during sales.
    During billing document:
    Customer -- dr
    To sales a/c --(cr)
    To CENVAT SUSPENSE AC (CR).
    Now could anyone tell me what kind of account is cenvat suspense account i.e., current asset or current liability.
    Like wise can anyone help me out with the entries of excise invoice creation, TR6C Challan, Entries for Fortnightly utilization etc. that is all the entries until that particular sale is completed.
    It would be greatly useful if you could even specify the kind of account is (for each account possibly) i.e, if the account is an expense or current asset or current liability.
    If anyone possesses a document in regards to the same plz do forward the same to my mail id:
    [email protected]
    regards
    kim.

    Hi!!! Kim,
    Entries related to Excise –
    When Availing of Cenvat Credit – (T.Code – J1IEX)
    (GL A/Cs against ETT – GRPO)
    RG23A BED A/C Dr. (BS GL – Current Assets)
    RG23A E.Cess A/C Dr. (BS GL – Current Assets)
    RG23A S&H E.Cess A/C Dr. (BS GL – Current Assets)
    To Cenvat Clearing A/C (BS GL – Current Liabilities)
    RG23C BED A/C Dr. (BS GL – Current Assets)
    RG23C E.Cess A/C Dr. (BS GL – Current Assets)
    RG23C S&H E.Cess A/C Dr. (BS GL – Current Assets)
    To Cenvat Clearing A/C (BS GL – Current Liabilities)
    When Billing Document is created, Corresponding A/C Entry -
    (GL A/Cs from VKOA & Tax Codes)
    Customer A/C Dr. (Recon GL – BS – Current Assets)
    To Sales A/C (P&L GL – Income)
    To BED. Recovered A/C / Cenvat Suspense A/C
    To E.Cess Recovered A/C / Cenvat Suspense A/C
    To S&H E.Cess Recovered A/C / Cenvat Suspense A/C
    When BED / E.Cess / S&H E.Cess Recovered A/Cs are used -
    These are P&L A/Cs & Grouped as Income A/Cs in FS Version.
    When Cenvat Suspense A/C is used  -
    It is BS A/C & Grouped in Current Liabilties in FS Version
    When Creation of Excise Invoice - (GL A/Cs against ETT - DLFC)
    E.D Paid A/C  / Cenvat Suspense A/C Dr.
    To BED. Payable A/C (BS GL – Current Liabilities)
    To E.Cess Payable A/C (BS GL – Current Liabilities)
    To S&H E.cess Payable A/C (BS GL – Current Liabilities)
    When E.D. Paid A/C (P&L GL - Expenditure)
    When Cenvat Suspense A/C (BS GL - Current Liabilities)
    When TR6 Challan & Deposit of Cash into PLA A/C - (JV by FB50 / F-02)
    PLA on Hold A/C Dr. (BS GL – Current Assets)
    To Cheque Issued A/C  (BS GL – Current Assets)
    Updation of TR6 Challan in J1IH – (GL A/Cs against ETT – TR6)
    PLA BED Dr. (BS GL – Current Assets)
    PLA E.Cess Dr. (BS GL – Current Assets)
    PLA S&H E.Cess Dr. (BS GL – Current Assets)
    To PLA on Hold A/C (BS GL – Current Assets)
    When Fortnightly Utilization – (T.Code – J2IUN)
    Utilization from RG23A Registers / RG23 C Registers (GL A/Cs against ETT – UTLZ)
    BED. Payable A/C Dr. (BS GL – Current Liabilities)
    E.Cess Payable A/C Dr. (BS GL – Current Liabilities)
    S&H E.cess Payable A/C Dr. (BS GL – Current Liabilities)
    To RG 23A BED A/C Cr. (BS GL – Current Assets)
    To RG23A E.Cess A/C Cr. (BS GL – Current Assets)
    To RG23A S&H Ecess A/C Cr. (BS GL – Current Assets)
    BED. Payable A/C Dr. (BS GL – Current Liabilities)
    E.Cess Payable A/C Dr. (BS GL – Current Liabilities)
    S&H E.cess Payable A/C Dr. (BS GL – Current Liabilities)
    To RG 23C BED A/C Cr. (BS GL – Current Assets)
    To RG23C E.Cess A/C Cr. (BS GL – Current Assets)
    To RG23C S&H Ecess A/C Cr. (BS GL – Current Assets)
    Hope that this information will serve your purpose.
    Please give necessary marks.
    Regards...
    Ameya D. Mohoni...

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