Procurement cycle of capital goods

all gurus,
can u pls let me know how to procure and take part 2 entries of capital goods
thanking
ujwal

Hi,
Procurement Cycle of Capital Goods: -
Domestic Purchase of Capital Goods: -
1. ME21N u2013 Create Purchase Order
2. ME2N u2013 List of Purchase Orders
3. MIGO u2013 Goods Receipt against PO
4. J1IEX u2013 Post Excise Invoice
5. J1I7 u2013 List of Excise Documents
6. MMBE u2013 Stock Overview
7. MB51 u2013 List of Material Documents
8. MIRO u2013 Enter Vendor Invoice
9. MIR5 u2013 List of Invoice Documents
Import Purchase of Capital Goods: -
1. ME21N u2013 Create Purchase Order
2. ME2N u2013 List of Purchase Orders
3. MIRO u2013 Enter Customs Invoice
4. J1IEX u2013 Capture Bill of Entry
5. MIGO u2013 Goods Receipt against PO
6. J1IEX u2013 Post Bill of Entry
7. J1I7 u2013 List of Excise Documents
8. MMBE u2013 Stock Overview
9. MB51 u2013 List of Material Documents
10. MIRO u2013 Enter Vendor Invoice
11. MIRO u2013 Enter Clearing Agentu2019s Invoice
12. MIR5 u2013 List of Invoice Documents
Note: - This includes Reports along with Transactions.

Similar Messages

  • Excise Invoice Cycle for capital goods

    Hello,
    Can someone enlist the complete CIN config settings & J1ID settings for capital goods procurement.
    Regards
    Mahesh

    Hello,
    Can someone enlist the complete CIN config settings & J1ID settings for capital goods procurement.
    Regards
    Mahesh

  • Stock Transfer of Capital goods(capex,assets)

    Dear SAP Gurus,
    How to do the stock transfer of the Capex material, as during the procurement of the capital goods, it got procured by using the short descriptioin without material master and with the PO account assignment category "ASSET" , and while doing the GRN , no stock lies in the storage location ,
    Now the Requierement is to stock transfer the Asset from one plant to the another plant. using hte stock transfer order,
    How to do this.
    As per as finance point of view is concerned , they will do the Asset to Asset Transfer , but from teh logistics point of view, how to achieve it.
    Thanks & Regards
    Nitin Chhabra

    Dear ,
            Please follow this link to get detail informatiom about Capital material handling.
    http://help.sap.com/saphelp_47x200/helpdata/en/09/ebf138cdd78a4be10000000a114084/frameset.htm
    Check Capital Goods under material management
    Hope it helps
    Abhijit

  • Capital goods purchase and return

    Hi Sap guys,
                         Can anybody give me the steps of purchasing the capital goods and return of the same.Also give me the steps of debit and credit of cenvat
    Best Regards.
    Sandeep

    List of Transaction Codes for Purchase of Capital Goods: -
    1. ME21N u2013 Create Purchase Order (Acct assmt cat. - "A")
    2. MIGO u2013 Goods Receipt against PO
    3. J1IEX u2013 Post Excise Invoice
    4. MIRO u2013 Enter Vendor Invoice
    1. At the time of Goods Receipt of Capital Goods, Asset Account will get debited and GR/IR Clearing Account will get credited.
    2. After posting the excise invoice that contains capital goods, the system posts half of the excise duty to u201CCENVAT Receivable accountu201D (Dr) and post the rest to a temporary offset A/c u201CCENVAT on holdu201D (Dr) and Credit CENVAT Clearing Account.
    3. At the time of Invoice Verification, Vendor Account will get credited and Clearing Accounts (GR/IR and CENVAT) & VAT Accounts (if required) will get debited.
    Vendor Return cycle of Capital Goods: -
    1. MR8M - Cancel Vendor Invoice (If Payment is not done)
    2. MIGO - Cancellation > Material Doc (GR Doc)
    3. J1IEX - Post > Vendor Excise Invoice
    4. J1IEX - Cancel > Vendor Excise Invoice
    4. MIRO - Credit Memo to Vendor (If Payment is done)
    1. At the time of Goods Return of Capital Goods, Asset Account will get credited and GR/IR Clearing Account will get debited.
    2. After posting the excise invoice cancellation that contains capital goods, the system posts half of the excise duty to u201CCENVAT Receivable accountu201D (Cr) and post the rest to a temporary offset A/c u201CCENVAT on holdu201D (Cr) and debit CENVAT Clearing Account.
    3. At the time of Invoice cancellation, Vendor Account will get debited and Clearing Accounts (GR/IR and CENVAT) & VAT Accounts (if required) will get credited.
    In short Reverse all the entries
    You can not show Return cycle as in case of RM since stock of Capital Goods are naot maintained.

  • Procurement of Capital Goods-Accounting entries error

    Hi All
    I processing procurement of Capital Goods scenario.
    Qty - 1; Base Amount: 100; BED: 16%; AED: 8%; SED: 4%
    When I posted Goods Receipt, I beleive the accounting entries are expected to be as follows:
    Dr  BED  16
    Dr  AED   8
    Dr  SED   4
    Cr  CENVAT Clg 14-
    Cr  CENVAT On Hold 14-
    But the Part II entries are like as following after posting the GR:
    Dr  BED  8+
    Dr  AED   4+
    Dr  SED   2+
    Cr  CENVAT Clg 24-
    Dr  CENVAT On Hold 10 +
    Could you please help in this regard
    Best Regards
    Rahul

    for capital goods u can't claim the whole excise that u have paid, it will be only 50% u can claim for the first year..

  • Cenvat on Capital Goods Procurement (CIN)

    Hi SAP Gurus,
    With respect to the Capital Goods procurement in CIN, my client has requested the following process -
    Capital goods have 5 years useful life and want to sell it after 3 years usage -
    Excise on the Capital Goods = Rs.20,000/-
    So this year Cenvat Credit = Rs.4,000/- and the next 2 years Cenvat Credit = Rs.4,000/- each
    Total Cenvat credit = Rs.12,000/-
    (which is calculated as 20,000 INR / 5 year * 3 year = 12,000).
    But the Cenvat balance of Rs.8,000 [20,000 12,000] should be added back (cancel the offset) and it should be assinged to cost.
    Is the above process possible in SAP..???
    Can anyone please let me know.
    Thanks & regards,
    Chaps

    Hi
    I know the standard scenario for Excise and its related settings. Our system is also working absolutely fine for the 50% Cenvat credit utilization.
    But the customer wants to have a process like that of as I had explained earlier.
    Can you suggest whether it is possible.
    Thanks,
    Chaps

  • Cenvat credit on capital goods.

    Dear all,
    1. There is a rule that the cenvat credit in respect of capital goods shall be allowed for the whole amount of the duty paid on such capital goods in the same financial year if such capital goods are cleared from the factory as such in the same financial year.
    2.The system is designed in such a way that the cenvat credit in respect of capital goods received in a factory or in the premises of the duty paid of output service at any point of time in a given financial year shall be taken only for an amount not exceeding fifty per cent. of the duty paid on such capital goods in the same financial year.
    Please suggest us how to configure the system for the point no :1
    Thanks & Regards,
    A.Anandarajan.

    By standard 50% credit can be taken on first year,If u want to take full credit use transaction J2I8,
    Also refer both links
    SAP MM CIN Settings
    http://www.sdn.sap.com/irj/scn/index?rid=/library/uuid/207dd2ad-bf92-2b10-a88b-e3a4a01ca7fc
    Capital Procurement in SAP
    http://www.sdn.sap.com/irj/scn/index?rid=/library/uuid/808c60ca-013b-2c10-34a2-94d1eb442e6f
    Edited by: Jeyakanthan A on Apr 22, 2010 2:01 PM

  • AED Posting for Capital Goods

    Hi
    For Capital Goods, excise availed will be 50% for this financial year and 50% for next financial year.  Is it applicable for AED/CVD for imported goods also.
    Rgds
    Srini

    Businesses are allowed to set off excise duty on purchases of capital goods against excise duty on outputs. However, unlike with raw materials, you can only set off half of the duty in the first year, and the rest in any year after that.
    Prerequisites
    In the material master, you have classified the capital goods as such.
    Because duty on capital goods is handled using excise transaction type CAPE, you must also have specified that you want this transaction to credit the excise duty to the CENVAT on hold account. You make this setting in Customizing for Logistics u2013 General, by choosing Taxes on Goods Movements ® India ® Account Determination ® Specify Excise Accounts Per Excise Transaction.
    You must then have specified which G/L account is the CENVAT on hold account, again in Customizing for Logistics u2013 General, by choosing Taxes on Goods Movements ® India ® Account Determination ® Specify G/L Accounts per Excise Transaction.
    Features
    When you post an excise invoice that contains capital goods, the system posts half of the excise duty to your CENVAT account and posts the rest to a G/L account for CENVAT on hold.
    In following years, you can use a report to identify the capital goods with excise duty on hold and transfer the duty to the CENVAT account (see Transfer of CENVAT Credit on Capital Goods).
    Activities
    When working with excise invoices that include capital goods, note the following:
    Capturing vendor excise invoices
    When you create an excise invoice with capital goods, you have to set the material type to A (assets), C (consumables), or T (tools).
    Posting excise invoices
    When you come to post the excise invoice, the system posts only half of the excise duty to the CENVAT account. The system does not round the amount off.
    Transfer of CENVAT Credit on Capital Goods
    You use this report to display a list of the vendor excise invoices where the vendor has levied excise duty but you have not posted it (in full) to your CENVAT account.
    This is particularly useful in the case of capital goods, in order to find out how much credit remains from previous years.
    Features
    To access the report, from the SAP Easy Access screen, choose Indirect Taxes ® Procurement ® Excise Invoice ® Reports ® Balance Credit for Capital Goods.
    Selection
    On the selection screen, enter:
    Organizational data
    Data of the documents that you want
    Output
    The system displays a list of excise invoices with excise duty outstanding. It shows you:
    The total amounts of the various types of excise duties levied on the excise invoice
    How much duty has still to be posted to the CENVAT account
    Select the excise invoices that you want and choose Transfer credit. If you want to transfer only a portion of the remaining amount, enter this amount as the amount to be credited.
    The system creates an accounting document to post the duty to the CENVAT account and creates an entry in the Part II register.
    Regards'
    eswarmanu...

  • Procurement cycle in third party order and stock transport order.

    please provide me in steps the procurement cycle in third party order and stock transport order.

    Hi,
    STO Process: -
    1.Create a vendor for the company code of receiving plant, using account group :0007 using T-Code XK01.
    2. Assign this vendor to Delivering plant
    Go to XK02 >Purchasing view>Extras>Add. Purchasing data>Plant
    3. Create internal customer with the sales area of the vendor. Go To XD01
    4. In Pricing procedure determination relevant to STO, assign document Pricing Procedure and customer pricing procedure appropriate for STO to get the pricing in the invoice.
    5. Maintain condition records for the relevant pricing condition.
    6. Some more setting for STO: Go to MM> Purchasing > Purchase Order > Set up STO > define shipping data for plants > Go to Receiving plant >assign customer here & Supplying SA (for billing) to Receiving plant here
    7. Go to MM > Purchasing > Purchase Order > Set up STO > define shipping data for plants > Go to Supplying plant and assign the sales area of receiving plant.
    8. Go to MM > Purchasing > Purchase Order > Set up STO > assign delivery Type & Checking rule
    Assign the delivery type to document type. In this case, Delivery type NLCC is assigned to Document type NB
    9. Go to MM> Purchasing > Purchase Order > Set up STO > Assign document Type, One step Procedure, Under delivery tolerance
    Assign the document type NB to supplying plant and receiving plant
    10. After all settings , Create the STO using T-Code:ME21N and maintain pricing conditions of freight and Save.
    11. Create Delivery :VL10G
    Click on the Background Button after selecting line item
    A message is flashed : See log for information> next Click on Log for delivery creation Button >click on line item>click on document button to get Delivery document No
    12. Picking, PGI:VL02N
    13. Billing:VF01
    Save the document and its done
    14. J1IIN - Outgoing Excise Invoice
    15. MIGO - Goods Receipt against outbound Delivery
    16. J1IEX - Capture & Post Excise Invoice
    Pricing configuration for STO: -
    In SPRO > MM > Purchasing > Conditions > Define Price Determination Process > Define Schema Determination > Determine Schema for Stock Transport Orders > Here assign Calculation Schema "RM2000" i.e. Stock Transfer Document to Schema Grp Pur. Org, STO Type (For e.g. UB) and Supplying Plant.
    Calculation Schema "RM2000" has condition type P101 which will pick up the MAP of supplying plant automatically during creation of STO in ME21N ("Conditions" Tab).
    You can create new freight / delivery cost conditions in M/06 and assign in pricing procedure "RM2000" in M/08 and also assign the Accrual Key to this and do the Account Determination for this Accrual Key in OBYC
    At the time of PGI, following accounting entry will get generated;
    Stock A/c - Dr - 110 INR (Receiving Plant)
    Stock A/c - Cr - 100 INR (Supplying Plant)
    Freight Clearing A/c - Cr - 10 INR (Supplying Plant)
    Third Party Process Flow: -
    1) MM01 - General Item category Group should be BANS in basic view of material master.
    2) VA01 - Creation of sales order with VA01 transaction in SD module
    3) When sales order is created system automatically creates a PR for the material with item category as "S"--> Third Party Item
    4) ME21N - Directly PO with item category as "S" and delivery address as customer address
    5) MIGO - Statistical GR by MM ( When it is made goods are received and delivered)
    6) MIRO - Invoice by MM for vendor
    7) VF01 - Billing by SD on Customers

  • Procurement cycle

    pl. tell me procurement cycle with excise duty.Is therenecesasary to create excise invoice seperately in J1IS,if it is captured during MIGO and posted in J1IEX.

    Hi
    Please find the procurement cycle mentioned below
    Complete Purchase Cycle Till FI
    Let us go about purchase cycle:
    1. Purchase Requistation : First Purchase requisation has to made to purchase department wheever the product need by the user or production depaartment.They are created by tcode me51k.
    2. Once the purchase requested, then the purchase department will search for the materail, where available and when available. That is called Material determination.
    3. After the search of material is over, then look for who are the parties , who is going to supplies the material in competitive rate. Then select the correct vendor is known as material determination.
    4. After that Tender process done through Tcode-ME41.
    5. After finilisation of Tender, the vendor selected and purchase order issued. The Creation of Purchase Order is ME21N.  There will not be any finance entry while creating the Purchase Order.
    6. Once the purchase order issued, then by the terms of PO, the vendor will supply the materials. The Receipt of Good (GR) , done through MIGO or if it is an service entry done through ML81N.
    The Entry will be
         Inventory account - dr- 
         GR/IR Clearing a/c - cr-
         Purchase a/c       - dr-
         Purchase offset a/c -cr-
    GR/IR clearing is a intermediate account, will be used to connect cost and vendor. 
    In GR/IR clearin a/c - 1. Assesable Value
                           2. Sales Tax
                           3. Surcharge
    ie., Other than Cenvat Clearing will be there.
    7. After the receipt of material, the Good Receipt along with Invoice Bill submitted to the Excise person handling Central Excise matters, to take Credit of duty for the product.
    The entry will be
    1. Cenvat Clearin a/c - cr
        RG23a Part II  a/c - dr
        RG23a Part II cess a/c - dr.
    8. From the Excise person , the bill move towards the person who passing the bills for payment.  He will do the Invoice Receip First through MIRO. Here two document will be created, one for MM and one for FI.
    The entry will be
           Vendor a/c - Cr-
           Gr/IR Clearing a/c - dr
           Cenvat Clearing a/c- dr.
    9. After finalisation of Invoice receipt, the bill is for Payment process mode through F-53.
    The entry will be
           Vendor a/c - dr
           Bank a/c -   cr.
    There is no need to create entry thru J1Is if u post the GR thru MIGO and captuer excise thru J1iex
    J1is is used if u post the document with transaction/sub transation type is others.
    regards
    Reward if helpful
    shailesh

  • Availing full CENVAT Credit for Capital goods

    Hi,
    In our client, they want avail full cenvat credit for Capital goods in the present fiscal year itself. How can we do this in SAP? Plz. explain me.

    Hi Pawan,
    You cannot avail total 100% Credit on the CENVAT paid on capital purchase as per the goverment rules.
    The puirpose of maintaining the goods as capital goods are that you are only eligible for 50% credit in the current fiscal year and remaining 50% Credit in next Fiscal Year. its nothing that we configured, it is standard functionality in the country version. The Excise Transaction Type CAPE which come in to play at the time of capital procurement.
    1. If your Client Requirement is to take 100% Credit for this material, then ask them to maintain Chater ID for this Material in J1ID as RAW materail. and During Excise Auditing period your client has to give relevent explaination to Excise Authority.
    2. If your client has maintained in J1ID as capital , you can take the Remaining 50% Credit in current fiscal year also using J2I8, Before using this transaction verified from Excise Authority.
    Or else As per my knowledge you cannt take 100% excise credit for Capital goods.
    Cheers
    Manoj K Singh

  • While taking balance cenvat credit on capital goods not showing J2I8

    DEAR ALL
    While taking balance cenvat credit (Carry forward) on capital goods not showing in J2I8 transaction, in j1iex is Header level is showing INPROCESSES But item level is showing POSTED.
    in register PART2 is Upted.
    Thanks And Regards
    Sonu

    Hi,
    In capital goods procurement we will use 50% excise this year and rest of 50% credit we will use it in next year.
    Bcoz of this in header level its showing incomplete and the invoice posted for 50% created Part 2 entries.
    Hope its clear.
    reg
    Durga
    *Assign points if the info is useful

  • Consider scenario in Procurement cycle as under

    Dear Gurus,
    Consider scenario in Procurement cycle as under
    a) There is a residual open liability (say GR/IR or Freight liabilities) created after GR against PO
    b) This liability created is more than actual payable;
    thus liability discharged after IV (transferred to vendor liability) is less than the above created
    Thus the difference is the open residual liability
    c) This portion of liability needs to be removed WITHOUT (further) payment (as not payable)
    d) Practically it would not be feasible to reverse transactions & amend PO & recreate
    We need to understand how to remove(/transfer) this open non-payable liability & to which GL Account to be discharged to.
    Pls help

    Hi,
    SAP has provided a Standard way of clearing these GL A/c.
    Use MR11 - GR/IR Clearing Account Maintenance for this;
    Use: -
    Quantity differences between goods receipt and invoice receipt for a purchase order result in a balance on the GR/IR clearing account.
    If the quantity invoiced is larger than the quantity received, the system then expects further goods receipts for this purchase order to clear the balance.
    If the quantity received is larger than the quantity invoiced, the system then expects further invoices for this purchase order to clear the balance.
    You can also clear differences for delivery costs.
    If no more goods or invoices are to be received, you must clear the balance manually.
    This can be done in different ways:
    You can return the extra goods to the vendor.
    You can cancel the invoice and post a corrected invoice or a credit memo for the surplus posted quantity.
    You can clear the GR/IR clearing account manually.
    GR/IR Account Maintenance: Account Movements
    Use: -
    The offsetting entry to clear the GR/IR account is the same as the posting made when you enter an invoice for a purchase order.
    Material with Moving Average Price (MAP)
    The GR/IR account is cleared against the stock account, unless no stock coverage exists. If the material stock is smaller than the quantity to be cleared, only the actual stock quantity is debited or credited proportionally. The remaining amount is posted to a price difference account.
    Material with Standard Price
    The offsetting entry is posted to a price difference account.
    Purchase Orders Assigned to an Account
    The offsetting entry is made to the cost or fixed asset account shown in the account assignments in the purchase order.
    Also refer following link;
    [Maintaining the GR/IR Clearing Account|http://help.sap.com/saphelp_erp60_sp/helpdata/en/30/1060387db94003e10000009b38f8cf/frameset.htm]

  • External Operation but without entire Procurement Cycle

    We have an operation in the Production Order, where a process is done by a vendor. However this is handled such that the Vendor collects materials across several production orders on a regular basis. The invoicing is also done late, perhaps monthly. Because of this, we find that modelling the operation as an External Operation is difficult since the PO would stay open and the Production Order cannot be closed until all the administration work is completed.
    We would like to capture the external costs of the operation, as a form of immediate 'Confirmation' for that operation and posting into interim costs. Later, when the physical goods have arrived and invoiced CO can reconcile those costs against these interim costs.
    Is it possible to set an Operation as External yet not have to go through entire Procurement cycle?

    Dear
          if vendor is doing first operation, Create a semi finished material with special procurement 30 subcontracting key in material master MRP2 view  and maintain BOM of components which are sending to vendor and routing with external procurement.
    Open another semi finished material for in house production and make BOM of component received from vendor i.e. subcontracting semi finished.
    Result of above given procedure, there will be two documents without interlink (purchase order and production order). then you can open production order as per material available quantity and close whenever you desire and similarly for purchase order.
    if vendor is last operation, procedure will be vise versa of above procedure.
    Thanks
    Muhammad Ashfaq
    Edited by: Muhammad Ashfaq on Jul 21, 2011 6:23 AM

  • Error in J2I8 -Transfer of capital goods credit

    Hi,
      I want to transfer the capital goods credit,  In J2I8 ,  I have select the check box of vendor invoice numner then when i click on transfer credit, system is giving error message as Please check the amount,  how to solve problem.
      regards,
       zafar

    hi,
    Check on it:-
    http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/808c60ca-013b-2c10-34a2-94d1eb442e6f?quicklink=index&overridelayout=true
    As per this flow it done..
    Capital Procurement in SAP
    Create a material master u2013 MM01
    Create a Vendor master u2013 XK01
    Create an Asset master u2013 AS01
    Maintain Chapter id & Cenvat determination u2013 J1ID
    Create a PR for a material with account assignment category A, ME51N (Optional)
    Create a P.O. for vendor / Material with account assignment category A, asset number u2013 ME21N
    Release of capital order (Optional) u2013 ME29N
    Goods receipt & Capture the Excise invoice u2013 MIGO
    Post the Excise invoice by using internal excise number u2013 J1IEX
    Invoice verification for the asset purchased - MIRO
    Transfer credit in the second year u2013 J2I8
    Check the asset value u2013 AW01N
    Transfer credit for balance excise amount
    By using J1IEX T code first 50% cenvat credit shall be claimed. For claiming balance 50% cenvat credit in the second year, J2I8 T code shall be used.
    Check on CIN Cinfig as well.
    pherasath

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