Quantity in A/R Credit Memo

Hello all,
i can create an A/R Invoice  with Quantity 0 and just the price.
but if i want to create the same as A/R Credit Note this don't work (zero quantity is not allowed).
For the Purchasing side this also don't work for Invoice and Credit Note is there a possibillity to activate it or is it generally don't possible to create?
thanks and best regards
Serkan

Hi Joseph,
thanks for your reply!!
the problem is that we can not see the service invoices in the sales analyses reports.
best regards
serkan

Similar Messages

  • Need negative quantity non-inventory items on Credit Memo

    Version: (2007A)
    Description of requirements: (Please provide a detailed description)
    Our customer issues many invoices with a negative quantity line item for a miscellaneous non-inventory item. These non-inventory items are used to reduce the amount of the invoice regarding miscellaneous credits to their customers.  These are not discounts.
    When the customer wants to credit these invoices, they canu2019t create a Credit Memo based on the invoice because SAP wonu2019t allow this if there are line items with negative amounts.
    When they create a credit memo not based on an invoice, they arenu2019t allowed to enter a negative quantity for a line item as they are for an Invoice. They are forced to create a credit memo not based on an invoice the inventory item line items and an invoice or Journal Entry for the negative quantity line item to debit back the miscellaneous line amount.
    As an example:
    Invoice line item one for inventory item: qty one, price 100,line total $100.00
    Invoice line item two non-inventory item misc credit: quanity -1, price 10, total -$10.00
    Invoice Total $90.00
    In Order to provide the correct credit amount, they have to create a Credit Memo not based on an invoice for line item one, qty one, price 100 u2013 value -100 and an invoice for the non-inventory item for qty one, price 10 -  value 10.00.
    This creates a net credit for the customer of 90.00
    This looks ridiculous to their customers when they see these transactions on their statements, creates extra work for the users and there is no link between the three documents.
    By using inventory items for these miscellaneous credits, they can assign a sales revenue of their choice. They have multiple sales accounts and the GL posting is determined by the item group for the item. By assigning the desired item group to these non-inventory items, they can control which sales account is updated on their marketing documents when using these non-inventory items.
    If they were to use the Freight items, they would need a separate freight setup entry for combination of item group and miscellaneous credit. Because they have so many Item Groups and types of credits, they would need a great many separate Freight Charges to choose from.
    All of the above pertains to all of our customers. This customer has a custom add-on and their marketing documents are all created from custom objects.  They hit a button on the custom sales contract screen and an invoice is created.  When they hit another button on the screen, the selected invoice is credited. They have legally binding contracts for fixed quantities to be shipped, so we decrease the quantity shipped when creating an invoice and decrease the quantity shipped when a credit memo is created. The contract is fulfilled when the exact quantity contracted for has been shipped. Because the credit memo fails, we canu2019t update the custom objectu2019s remaining to be shipped, rendering it inaccurate from that time forward. (reducing the quantity shipped is part of the Credit Memo creation process).Creating Credit Memos and Invoices from the interface fixes the inventory count, customer balance, etc., but we have no way of fixing the sales contractu2019s quantity shipped & remaining to be shipped or linking the contracts to the documents created from the interface.
    Business needs: (Please describe the impact on your business, if the functionality is not realized)
    Examples: (Please describe a typical example, how the functionality should work.)
    Credit Memos should allow negative quantities and line total amounts for non-inventory items, the same way that A/R Invoices do, so that credit memos can be based on invoices that have negative quantity non-inventory line items.
    Current Workaround: (Please describe the workarounds you are using at the moment)
    Please see above
    Proposed solution: (Please suggest how the new functionality should work)
    Credit Memos should allow negative quantities and line total amounts for non-inventory items, the same way that A/R Invoices do.

    Hi Sean......
    System is behaving properly as per its logic. Infact it does same in all the previous or upcoming versions.
    If you have Item Type GRPO for Non Inventory Item it does not create any accounting but you can see the same during AP invoice.
    GRPO for such type is only optional. For further clarification you can discuss this with your CA what he suggests. But i suggest you to raise AP invoice also for getting Account effect. Just see doing this in test DB you get your answer......
    Regards,
    Rahul

  • How to create new line item in credit memo request in rebate settlement

    HI friends,
                 I need aimmediate help on following.
    Requirenment is for given agreement all invoices for that needs to be retrieved. In those invoices we need to check the tax code or tax city for all invoices. If all are same then do nothing.
               But if any of these 2 fields are different in all retrieved invoices, then we need to sum up the qty for all invoices having same tax code/city & like wise ned to create a credit memo request which will have one line item for each tax code/city.
    Example:
    Agreement 9999 with the relevant sales volume:
    Invoice 1: Material A, tax key X, quantity 1 kg
    Invoice 2: Material B, tax key X, quantity 2 kg
    Invioce 3: Material C, tax key Z, quantity 4 kg
    The credit memo request for agreement 9999 should look as such:
    Thanks & regards,
    Abhijeet.
    Item line 1: SETTLEMENT MATERIAL, tax key X, 3 kg
    Item line 2: SETTLEMENT MATERIAL, tax key Z, 4 kg
    Please help me . I am not getting the user exit / badi for this development.
    Please let me know if any one of you know from where to do this?

    Hi Vinod,
    The relationship with main item is stored with CRMD_ORDERADM_I- Parent.
    You need to pass the guid of main item to orderadm_i-parent. This will keep the relationship with main item.
    Thanks
    Ajay

  • Differences between Credit Memo in FB75 and in VA01

    Guys,
    Basic question: What is differences between posting Credit Memo in FB75 and VA01.
    I know FB75 is more FI perspective where VA01 is SD, but which tables get affected with these two TCodes, and what are business scenarios where one is preferred to other.
    Thanking in advance.

    Hi,
    Your understanding is correct,
    FB75 is the transaction in FI module
    VA01 is the transaction in SD module
    So as to the difference, you should refer to the different scenario:
    Using FB75 you can only book the credit memo value into relevant G/L account from FI module, no quantity required;
    With VA01, you should have return sales order and return delivery note, till after GR of return DN, you can not book the credit memo value and quantity into relevant G/L account.
    E.g. Original billing document   100 PC  2000 EUR
           Credit memo                    100 PC  -200 EUR  (You can use FB75 or VA01)
       or Credit memo                     50 PC   -100 EUR  (You have to use VA01, because there is the quantity adjustment in the credit memo)
    Hope can help you!
    Good day
    Tao

  • Invoice Verification (invoice, credit memo, subsequesnt debit and credit)

    Hello experts
    I have some questions about de logistics invoice verification:
    1.   I use only invoices and credit memos. How can I delete from the field of transaction the subsequent debit and subsequent credit? I dont see anything in the customizing.
    2.   How can I differenciate the invoices from the credit memos in the RBKP table, or in the BKPF table in the acounting document? is there any field? or can I create diferente document types for each one?
    Thank you in advance
    best regards,

    Hi,
    I would suggest you do nu2019t remove these. These are SAP standard setting it may require you to post in case any of the following case in day to day business transaction
    Credit memo: A posting that reduces the balance of receivables or payables to vendor. Which can used to whenever there is Return delivery to be made and subsequently Credit Memo to be raise in order to reverse the Value of returned Qty.
    Subsequent debit: You received an invoice from your vendor for delivered goods. Freight costs are to be charged. The invoiced quantity remains unchanged. Here you can add Freight value by using Subsequent Debit. Option or even in case on less Amount was posted to vendor in that case also you can use this option here Qty remains same but difference value can be posted.
    Subsequent credit: A reduction in amounts debited in respect of posted business transactions & You received a credit memo for delivered goods. Previously charged freight costs are to be credited. The quantity in the original credit memo remains unchanged
    Rg

  • Auto credit memo

    Dear Experts,
    for rejected quantity , we send the credit memo through 'MIRO'
    Is it possible to make this as automatic, i.e. whenever the rejected the material through 122 movement, the credit memo get generated automatically by the System.
    Is there any userext/BADI to acheive this.?
    points will awarded for your prompt reply.
    regards
    ram

    Dear Friend,
                     In MIRO, select Invoice Reduction option in layout field in item vise, i think its fulfill your requirement...
    From sas...

  • A/P Credit Memo (Item Type) not to deduct quantity in inventory

    Hi,
    1. I purchased an item > supplier gave me invoice> I key in A/P Invoice (Item Type)
    2. Found out item was overpriced
    3. Supplier gave me Credit Note to adjust the price
    How do I key in this credit note via A/P Credit Memo? To my understanding if I key in the a/p credit memo (item type), my inventory quantity will be deducted as well.

    Because the item is over priced, it means that my inventory gl is over stated. When I get the supplier's CN, I will have to reduce the inventory gl. When I create a Service Type A/P Credit Memo I must choose inventory gl. But this will create another problem - Inventory Audit Report balance will not tally with Inventory gl balance (because i didn't reduce the item price in the first place). To solve this is to do a Inventory Revaluation.
    Hi Lay Chin, what you suggested is the best option so far.
    Thank you everyone for the reply.

  • Quantity Issue while Reversing a Paid Credit Memo of Vendor Return PO?

    Has anyone encountered the following problem when posting & reversing GRIR transactions against a Vendor Return PO'?
    We have a Vendor Return PO with a single line item - the return indicator is checked. The PO is issued and released. The GR is entered (mvmt type 161) and then the IR (credit memo) is entered. The user then entered another GR to reverse the transaction (mvmt type 162) and then attempted to reverse the Credit memo by posting an Invoice against it. The way they did it, the invoice added another quantity credit of 100 but posted the $ value (debit) correctly - as this is an invoice and not a credit memo, the quantity that posted should have also been a debit of 100, not a credit.
    Has anyone experience this issue? Could the problem be the order in which the document reversals were entered? Instead of entering them in the order that they were originally entered, maybe they needed to reverse the credit memo 1st and then the GR (mvmt type 162)? Could the fact that the transaction occurred last year and we are attempting to correct it this year, make a difference?
    Also, we have no idea how to get the quantity to correct.....any help would be appreciated.
    Thank you.

    Anyone to help on this please, thanks in advance.

  • Creating credit memo request - V1 498 / missing order quantity

    Hi Experts,
    could any of You pls help me with a credit memo creation issue?
    I credit memo needed to be created based on invoice, so configuration  and copy control is done as usual, but I have a failure during CR order creation referring to an invoice F2.
    I got an error message: V1 498 - Credit  already exist for item... - and no qty is transferred to new document
    I have gone thought the threads on Forum, but none of the suggested solution was appropriate to solve the issue:
    - the document flow is updated in copy control ,
    - I can no remove the schedule line flag at VOV7 - the order qty will be missed but target qty is used, and end up incompletition (VU 019 error messge), so billing is faile
    - completition control set as B at VOV7,
    Still have the problem
    Could any of You pls help me - answers will be appreciated.

    V1 498 - Credit already exist for item...
    What the above message means is that lines items have already been used as reference for the creation of credit memo request(s).
    Create a new sales order, delivery and billing document. Then create credit memo request with reference to this new billing document and test.
    In VTAF copy control, at item level, field "Pos./neg. quantity" dictates how the quantity in the source document is affected by copy control.
    PS - I tried to create credit memo with reference to billing document (F2), there were no issues there. Therefore I am taking that the issue is with credit memo request (copied with ref to billing document F2)

  • Credit Memo Quantity to be Equal to Quantity rejected via 'Return Delivery'

    Dear All,
    In ideal scenario of MIRO (Credit Memo) , the quantity proposed by the System is equivalent to the Quantity of MIRO. There has been a requirement from My client that the quantity should be equal to the quantity for which rejection ( Movement Type 122 ) entry has been passed through MIGO. Your sincere advise is required in this regard.
    Thanks in Advance,
    Victor

    Hi,
    This scenario need to be tested first, so on Moday after testing i ll update u with correct solution..
    but one suggestion.. doesn't GR based IV helped u in this case....
    how are you posting IV? is it thru ERS? then please check in GR based IV check box in your PO and then try the same..
    Post GR
    Run /nMRRL for IV
    Post 122 for required qty.
    Eun /nMRRL again fo CRME
    Try this.. n update the same here...
    N i ll also update it back onMonday!!!
    Thanks And Regards,
    Krupesh Kothari.

  • How to change the Quantity in the Credit Memo using BAPI

    Hi All,
    I have a requirement in which i need to change the Quantity Value field available in the Credit Memo using BAPI.
    Can anyone help me out to get any available BAPI to perform this action or any Solution to change the Quantity in the Credit Memo ?.
    Regards,
    Muruganand.K

    Hi,
    Try using BAPI_SALESORDER_CHANGE.
    DATA: s_order_header_in LIKE bapisdh1.
    DATA: s_order_header_inx LIKE bapisdh1x.
    DATA: BEGIN OF i_order_item_in OCCURS 0.
    INCLUDE STRUCTURE bapisditm.
    DATA: END OF i_order_item_in.
    DATA: BEGIN OF i_order_item_inx OCCURS 0.
    INCLUDE STRUCTURE bapisditmx.
    DATA: END OF i_order_item_inx.
    DATA: BEGIN OF it_return OCCURS 0.
    INCLUDE STRUCTURE bapiret2.
    DATA: END OF it_return.
    DATA: BEGIN OF i_sched OCCURS 10.
    INCLUDE STRUCTURE bapischdl.
    DATA: END OF i_sched.
    DATA: BEGIN OF i_schedx OCCURS 10.
    INCLUDE STRUCTURE bapischdlx.
    DATA: END OF i_schedx.
    s_order_header_inx-updateflag = 'U'.
    i_order_item_in-itm_number = vbap-posnr.
    i_order_item_in-TARGET_QTY = rv45a-zzqty.
    i_order_item_inx-updateflag = 'U'.
    i_order_item_inx-itm_number = vbap-posnr.
    i_order_item_inx-TARGET_QTY = 'X'.
    APPEND: i_order_item_in, i_order_item_inx.
    i_sched-itm_number = vbap-posnr.
    i_sched-sched_line = '0002'.
    i_sched-req_qty = rv45a-zzqty.
    APPEND i_sched.
    i_schedx-itm_number = vbap-posnr.
    i_schedx-sched_line = '0002'.
    i_schedx-updateflag = 'U'.
    i_schedx-req_qty = 'X'.
    APPEND i_schedx.
    IF sy-subrc = 0.
    CALL FUNCTION 'BAPI_SALESORDER_CHANGE'
    EXPORTING
    salesdocument = xvbap-vbeln
    order_header_in = s_order_header_in
    order_header_inx = s_order_header_inx
    behave_when_error = 'P'
    TABLES
    return = it_return
    order_item_in = i_order_item_in
    order_item_inx = i_order_item_inx
    schedule_lines = i_sched
    schedule_linesx = i_schedx.
    CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'.
    ENDIF.
    Change the fields as per your logic before populating orders item and schedule line data.
    You have to pass the quantity in schedule line items as well in case you want to change quanity in order.
    KR Jaideep,
    Edited by: Jaideep Sharma on Jun 22, 2009 7:35 PM

  • Open quantity in credit memo and debit memo

    Dear Friends,
    I am facing one problem in billing cycle. I am creating credit memo directly with ref to invoice(With out cr memo request). I am describing  scenario below.
    I have created Invoice 8012003 with one item with 10 quantity, after that I am creating credit note with ref to Invoice no 8012003, here I am creating credit note with 3 qty. Sub subsequently when i create credit note with ref to invoice number 8012003, in open billing quantity system is showing 10 quantity instead of 7.
    I have used copy requirements 027 and billing quantity field is disabled.
    Kindly advice.
    Kaushal

    Hello ,
    you could check the field VBRP-POSAR in your credit note .
    If it's 'A' , it's only a value position.
    That could come from table TVAU , field VAUNA -
    the last part in copy requirement 027 .
    Regards Wolfgang
    Dear Wolfgag,
    Thanks a lot for your kind reply, k've checked, VBRP-POSAR is 'A' in and VBRP - AUGRU AUFT is blank. Please let me know whether order reason is affecting open quantity field or i've modify routine 27 for  passing value ' '(Standard Item) instead of 'A'(Value item).
    Please note that i am creating credit memo direct ref to invoices.
    Thanks a lot in advance.
    Kaushal

  • Credit memo without changing quantity invoiced but only value

    Hi,
    I wanted to know how to book a credit memo from a vendor related to a PO by MIRO transaction
    This credit memo does only change the value but not the quantity already invoiced.
    Thank you
    Audrey
    Message was edited by:
            audrey manileve

    Hi Audrey,
    From the MIRO screen, in field "Transaction" choose subsequent credit.
    Dawn

  • Reversing miro quantity at the time of credit memo.

    HI,
    pls suggest me a solution about the miro issue ,here i will explain the scenario.
    Ex:PO was created for the quantity of 100, GR  and Invoice was done for  100 quantity.
    After invoice has been posted, 30 quantity was returned to vendor by movt type 122 from MIGO.
    For this returned quantity of 30,we will have to raise a credit memo.
    So normally from MIRO screen,selecting credit memo option&  PO no. was entered,then system picks full quantity of 100&corresponding amount,
    we use to change the quantity of 30 & corresponding amount manually.
    **Is there any solution,so that system has to propose the quantity &amount for credit memo option in MIRO screen.

    hi,
    Do one think....take help of ABAP consultant..define the below scenerio to him...ask whether its possible or not...
    Use the table EKBE, where system saves all the purchasing data ie. from PO till IR...
    so, now when you have returned the 30 pcs, the table would have got updated for those returns as well...
    So, ask the consultant to trace returns quantities/values (add all if there are partial returns as well) and reflect it in the given field in the MIRO doc..
    Check it out..
    Regards
    Priyanka.P

  • Credit memo or sub credit for wrong quantity in invoice

    hi,
    vendor invoice printed wrong quantity.
    po $10 * 10 = $100
    migo - dr stock $100
             cr grc      $100
    when receive invoice, additional 2 unit.
    iv $10 * 12 = $120
    in miro, i should not change the quantity as it will affect grc account.
    miro - dr grc                      $100
             dr clearing acc           $20
             cr vendor                 $120
    1 when vendor send in credit note of $10 * 2 = $20, should i create credit memo or subsequent credit?      
    2 how is the accounting entry like?
    thanks

    1) You have to enter the subsequent credit
    2) The account postings for a subsequent debit/credit depend on the quantity that the subsequent debit/credit applies to:
    If the quantity of the subsequent debit/credit is smaller than or the same as the quantity delivered, the system tries to post the subsequent debit/credit to the stock account. If the material is valuated with a standard price or if there is insufficient stock coverage for the quantity to be debited or credited, the amount is posted to a price difference account.
    If the quantity of the subsequent debit/credit is larger than the quantity delivered, the system distributes the relevant amount proportionally. The part of the subsequent debit/credit that does not have a goods receipt is posted to the GR/IR clearing account. The remaining amount is posted to the stock account u2013 or in the case of standard price control or insufficient stock coverage u2013 to a price difference account.

Maybe you are looking for