Reg: Billing document not released to Accounting -Error

Hi Gurus,
I am facing a problem in Billing.I am creating a billing document and while saving the document it shows up the error " Credit Control area 1200 not assigned to Company Code 1000".
I have checked the enterprise structure and everything regarding Credit Control Area exists in the system.
I am able to create the billing document and release to accounting for the same company code for different payers.
But this error occurs unique to a particular Customer's Billing Document alone.
Please do provide me a solution to this error.
Regards,
Sarosh

Hi Ravi
Check in the enterprise structure wheather you have assigned correct credit control area to the (sales orgn+ dist channel + division) to your sales area . or not
Secondly check in VD02 wheather you have assigned any wrong credit control area or not
Regards
Srinath

Similar Messages

  • Billing Document not released to Accounting -Issue

    Hi,
    While releasing the billing document,it is not releasing to accounting and giving the below error log.
    Thanks
    Supriya

    Diagnosis
        When condition "ZSCM" (application "V") was transferred to the value field "VV139" in operating concern "AFCO" in Profitability Analysis, the following became apparent:
    u2022     The condition can take both positive and negative   values
    u2022     The flag "Transfer values with +/- signs" has not be set in Customizing for value field assignment.
        Inconsistencies in the data could occur as a consequence.
    System Response
        It is not possible to post the document in Profitability Analysis.
    Procedure
        Set the flag "Transfer values with +/- signs" for the condition "ZSCM".
        You should set the flag "Transfer values with +/- signs"  selectively for individual conditions if:
    1.  The conditions can take both negative and positive values (for example, in the case of conditions that describe a transfer price surcharge or a loss deduction).
    2.  The conditions appear several times in a billing document and thus cause a debit posting as well as a
        credit posting (this is the case, for example, when creating or cancelling reserves).
    By activating the flag "Transfer values with +/- signs", you balance the positive and negative values in a
    condition. You can thereby guarantee that the sum of the negative and positive condition values is displayed as the correct total value in the value field assigned to the condition.
    Caution when in the production system!
        If you have already used condition "ZSCM" to post data in the production system, then the sign in
        Profitability Analysis may differ from the previous sign as a result of the flag "Transfer values with +/-
        signs" having been activated. See the F1 Help documentation on the field "Transfer values with +/-
        signs" or the OSS note 52849. If deviating signs occur, it makes sense to move condition "ZSCM" to a new value field! Contact your system adviser or SAP.
        The +/- signs are handled as follows for the flag "Transfer values with +/- signs":
        Billing document (normal) "trans.with signs"  "trans.w/o signs"
         Debit posting                   negative     positive       (such as sales deductions)
         Credit posting                  positive      positive       (such as revenues)
        Credit memos/returns    "trans.with signs"  "trans.w/o signs"
         Debit posting                   negative     negative       (such as revenues)
         Credit posting                  positive       negative       (such as sales deductions)
        Maintain Condition Assignment to Value Fields u2013 SD Condition
        Maintain Condition Assignment to Value Fields u2013 MM condition
    Procedure for System Administration
    Thanks
    Supriya

  • Billing Document Not releasing to Accounting because of Condition Type

    Hi,
    We have used Sales Condition Type ZSCM(Which is a statistical condition type) in Billing Documents and they are already released to Accounting.Today we have created one more Billing Document with same Condition type ZSCM.But this billing document is not getting released to Accounting?
    What could be the reason? Why it was released to Accounting before with the same condition type ZSCM and why it is not getting released to Accounting this time.
    I am breaking my head to find the possible reasons...kindly help me out to find the problem.
    1.Billing document 90005889 - has value 64.48462- and It has only 2 Items and it was released to accounting
    2.Billing document 90005729 - has value 217.87960- and It has only 21 Items and it was not released to accounting and asking to activate +/- sing in KE4I transaction for the ZSCM condition type.
    Why billing document 90005889 is  released for accounting and why 90005729 was not released to accounting?
    Thanks
    Supriya

    Hi,
    There can be following possible reasons fo the samed :
    1. If the specific GL account is not getting any assignment to CO object.
    2. Also you need to check assignment with VKOA that whichever GL is assigned as per business process of Sales (the account which is going to be credited) and all relevant settings in VKOA.
    3. Pls check all substitutions and validations if any connected with that condition type and GL. Becuase sometimes it may happen that because of calling some other application (for ex. Set or substitution as generally transportation of this element happen with entire hierarchy if you add your substition in the node.) at he time of posting of billing document. This has already happen with our business scenario.
    4. Also check if this sales revenue GL is assinged to any set and if that set is called through any substitution ot validation.
    Pls check all these possibilities and revert.
    Thanks & Regards,
    Taral Patel

  • Billing Document not released to accounting

    System is not allowing to release  the document for accounting. and even after saving the  accounting document is not reflecting in document flow.
    Please suggest the needful as to how to fix this problem. The material master contains standard price . Please suggest where else I need to check.

    Proforma Invoice is like a dummy invoice which is generated for accompanying the delivery note or for approximate prices for the Customer.  This will not generate any accounting document.  Later, these proforma invoices are converted to final invoices.  Billing types are classified as proforma or regular.  If your billing type is classified as proforma, you cannot generate any accounting document for the same.
    In the billing type, if the 'Blocked for posting' indicator is checked, you cant generate accounting document either.
    Ravi.

  • Billing document not releasing to accounting

    we unable to release Billing Document XXXXXXXX, the error massege is mentioned below.
                 XXXXXXXXXX 000000 Document XXXXXXXXXX  saved (no accounting document generated)
                 XXXXXXXXXX 000000 Error reading the material cost estimate for sales order "ZZZZZZZZ"
    Can you tell me why this error is coming at the time of releasing the billing document to accounting? and suggest me how to solve this issue.

    If the Cost estimate is based on sales order, then you have to settle all the costs of production order costs and sales order costs, then only you can release the document to accounting.
    Rgds
    Murali. N

  • Billing Document not posted to accounting

    Hello All,
    Billing Document not posted to accounting & throws error , if trying to release in VFX3:-
    Document number 1001003528 in company code 0952 in fiscal year 2010 is affected
    Message no. FF099.
    Please advice.
    Regards,
    Vikas

    Hello Vikas;
    Maybe you are trying to post FI document which does not correspond to SAP standard.  
    Check if your document has 2 line items with the same tax code AA and tax        
    condition MWS (one tax rate 0% and 30 %, for instance). It must be either different   
    tax codes and or tax conditions.   
    Hope it can help.
    Ruy Castro

  • User exit for billing document when released to Accounting

    Hi Expert,
                  we have a requirement, where the new output type has to be triggered automatically when the billing document is released to accounting while creating invoice in VF01.So to achieve the same what should be our approach?
    Thanks in advance.
    Moderator message: please do more research before asking, show what you have done when posting again.
    Edited by: Thomas Zloch on Jan 27, 2012

    Hi Ivano,
    I resolved my issue.
    I apply the note 339928 deactivating the new cancellation procedure.
    Thanks & Best regards,
    Ciao,
    MaxD.

  • Invoice Document not released to Accounting -Period was closed

    Hi,
    SD Invoices are not released to Accounting.Those documents are from previous period and also also those periods were already closed.
    Now what should i do? if i want to release the invoice documents which are created in previous periods.Kindly advice me.
    Thanks
    Supriya

    Hi Supriya,
    Please open previous period for posting. Please follow the given below path:-
    SPRO  Financial Accounting  Financial Accounting Global Settings  Document  Posting Periods  Open and Closed Posting Periods
    Here you need to enter Posting Period Variant name assigned to company code and other detail like account number.
    To know the Posting Period Variant follow this path:-
    SPRO  Financial Accounting  Financial Accounting Global Settings  Document  Posting Periods  Assign Variants to Company Code
    Or else you can take help of some FI guy.
    Regards,
    Anand

  • Billing Document is not released to Account -Error

    Hi,
    I am getting the below error while releasing the billing document into accounting.kindly help me
    Error Log
                 0900000165 000000 Document 0900000165 saved (no accounting document generated
                 0900000165 000000 Enter a true account assignment object with revenues
                Long txt
                    Detail
                     Diagnosis
                         You made an account assignment for 420100, a revenue
                         element, in controlling area 9000 to a cost center or
                         profit center.
                     System response
                         Cost centers and profit centers can carry revenues in the
                         R/3 System as statistics only. To ensure reconciliation
                         between FI and CO for revenue element 420100, a CO account
                         assignment object must record the revenues as a real value.
                         This object type is used for updating to the reconciliation
                         ledger.
                         In principle, it's possible for the R/3 System to
                         automatically derive this CO account assignment object, the
                         reconciliation object. However, all postings made in CO for
                         costing-based Profitability Analysis are logged in the
                         reconciliation ledger under "reconciliation object". In
                         this manner, the reconcilation ledger identifies the exact
                         values flowing into the operating profit. If you post
                         reconciliation objects during revenue postings to cost
                         centers or profit centers, you must do so while keeping the
                         interpretation of the reconciliation ledger reports in
                         mind. The sums of revenue postings to profitability
                         segments, cost centers, and profit centers cannot be broken
                         down further.
    Procedure
        o   To avoid posting to reconciliation objects, make
            account assignments to a real CO account assignment
            object.
        o   If you want to post to reconciliation objects, you can
            change this message to a caution or a note for future
            users, or deactivate the message entirely. Use the
            Implementation Guide under "Controlling: General" and
            choose Change message control. Enter area KI and
            message number 166. If you do not enter an individual
            user here, the change is valid for all users.
    Technical data
        Tech. data details
         Client
         Group Number
         Sales Document Number                  0900000165
         Item Number of the SD Document         000000
         Schedule Line Number                   0166
         Counter in Control Tables              00
         Message Identification                 KI
         System Message Number                  166
         Output Type                            E
         Message Variable 01                    420100
         Message Variable 02                    9000
         Message Variable 03
         Message Variable 04
    Please help me
    Thanks
    Supriya

    Hi Supriya,
    The following step is missing in your configuration: So please check the following step:
    Financial Accounting (New) - Financial Accounting Basic Settings (New) - Ledgers - Real-Time Integration of Controlling with Financial Accounting - Account Determination for Real-Time Integration - Define Account Determination for Real-Time Integration
    The above step is used for:
    You define account determination for the real-time integration of Controlling (CO) with Financial Accounting (FI).
    You have two options for the definition of account determination:
    Account determination without substitution (standard account determination)
    The level of differentiation with which you want to trace the postings to Financial Accounting determines how many accounts you create and whether you assign transactions or object classes. You can assign the accounts as follows:
    You specify an account for all reconciliation postings.
    You assign an account to each business transaction.
    You assign an account to each object class.
    You assign an account to each transaction and to each object class.
    Account determination with substitution
    In addition to account determination without substitution, you can determine the reconciliation account using substitution. For this, you have to define account determination at least for the specification of the posting key. Furthermore, you can use substitution to refine account determination.
    In contrast to when the reconciliation ledger is used, additional fields are available when real-time integration is used:
    RCL_ICCF-BEKNZ
    RCL_ICCF-RSEGMENT
    RCL_ICCF-SSEGMENT
    These fields are only filled by the system when real-time integration is used.
    Caution
    If you deploy the following functions, you may not use the additional fields in account determination:
    You still use reconciliation posting instead of real-time integration.
    You use real-time integration but you still have the reconciliation ledger activated so that you can use the reconciliation reports from Cost Element Accounting, such as CO/FI Reconciliation in Company Code Currency.
    These functions use the reconciliation ledger data, which does not contain the additional fields.
    For more information about defining account determination, see Define Adjustment Accounts for Reconciliation Posting.
    Please let me know if you need more clarification
    Thanks & Regards,
    Venkataraju Khottari

  • Billing document not released to Financial accounting

    Hello all,
    when I want to release a billing document in transaction VF02 into accounting, I get only a message: 
    Document xxxxxxxxx saved (error in account determination)
    And no accounting document has been created. DO you please know possible reason?
    thanks in advance
    hana

    Hi Hana,
    Go to VF02 --> Enter your billing document number --> Enter --> (In menu) click at "Enviroment" --> select Acc.determ.anslysis --> Select Revenue account.
    On next screen you will your condition types
    Ope them one by one and analyse which condition type didnt get the record.
    That record you have to maintain it in T-code VKOA, Once you maintain the entry then release the billing document.
    Hope this helps.
    Regards,
    MT

  • Billing document not transferrred to Accounting:  Msg no. KE350

    Dear All.
    We're having an issue in SD Billing.  Some billing documents error out when released to accounting.
    This is due to a material on the billing document, which is set up as FERT but they are also checked field 'Do not Cost' on the material master.  As our accounting group does not want to cost these materials.
    So we turned off the 'Determine Cost' checkbox on the item category.  Seems ok, no VPRS is calculated now in the billing document.
    Still though the items error out when the billing document is generated and no accounting document is generated.
    Message = Valuation with material cost estimate:  error with product "xxxxx"
    Any thoughts, or seen this before?
    Many Thanks!

    This is failing because COPA valuation is active in your system and a product cost estimate is required for that material type.  If you don't want to create a product cost estimate for this material then you must change one of the valuation settings in your system.  Currently your system is set so that if a valution key is not assigned an error message is issued.  That can be changed so that an error message is not issued if a costing key is not found.  Another option is to assign a "blank" costing key to this particular material.  In that case the costing key requirement is meet and the item will post.
    There are different ways to assign costing keys for valuation, so you will need to check to see how your system is set.  Check transaction code KE4J.  If you have settings in that table then keys are assigned by material type. If desired, you can deactivate the error message for the costing key so that the posting will not fail if a costing key is not found. (Controlling - Profitablity analysis - Mater data - Valuation - Setup valaution using material cost estimate - Define access to standard cost estimate)
    Alternatively, you can maintain costing keys with t-code KEPC.  This one is more flexible and preferred.  Here you can create derivation rules for finding costing keys.  Create one rule for finding a costing key by material and another rule for finding by material type (or what ever characteristics make sense for you).  For the rule by material, assign a "blank" costing key to the materials that should not be valuated.  This will satisfy the costing key requirement and you will not ger a valuation error.
    thanks,

  • Billing Document Not Released

    Dear All,
    After Saving the document it is not released and system gives error is as;
    You have not defined a CO account assignment for an account that is relevant to cost accounting.
    System response
    Account 411101 is defined as a cost element.
    This means that you must always specify a CO account assignment.
    Waiting for response.
    Sachhin

    Hello Sachhin,
    Postings to a profit center are only statistical and does not fully
    satisfy the 'Cost Accounting Assignment' required by the system.
    This is probably why the system continues to prompt you for a (valid)
    CO object. If you are using CO-PA, the profitability segment will
    satisfy the cost accounting assignment. If you assign an internal order
    of project, etc. it will also satisfy the cost accounting assignment.
    However, if your revenue accounts are set up as cost elements, you will
    receive this error message when trying to release the billing
    document to accounting.  You will need to establish a real CO object.
    If you do not want to post this revenue to any CO object, and only
    want to post to a profit center in EC-PCA, then you should not create
    the GL account as a cost element. If you do not declare this as a
    cost element, then it posts to FI and EC-PCA without the error KI235.
    Also I would recommend that you check the account assignment to make
    sure it has been set up properly in customizing.  Please review
    transactions 'OKB9' or 'OKC9'.
    Here are some notes for your review:
    83702      INFO: Acct assignmt logic sales order proc. - REM
    41103      INFO: CO account assignment logic
    17939      KI235 Account requires acct.assign. rel. to cost ac
    704119     Error KI235 in processing of a billing document
    105024     Automatic a/c assignment (OKB9) does not work
    106968     FAQ: Account Assignment Logic
    590855     VF02: Error message KI235
    Please also check whether you have assigned a cash account determination procedure to billing type in VOFA, if so, system will try to post to cash account.
    But the cash sales accounts are not relevant for CO, then error is issued.
    Regards,
    Alex

  • Billing doc not released to accounting

    Hi !
    What can be the reasons that a billing document is not automatically released to accounting?
    I know one reason - that is when there is a posting block assigned to the billing document type .
    Plz correct me if I am wrong with the above reason,and plz provide if there can be other reasons as well.
    Thanks.
    Edited by: Shamik Sengupta on Feb 25, 2008 4:43 PM

    Go to FS00 (Edit G/L Account) and assign a cost element to it in Edit Cost Element tab. Based on the name given to this G/L account you could correctly determine which category under which you could create it as a cost element.
    Go to VF02, try clicking on the green flag and the system would throw an error.
    Anaylze the error and try out transactions OKB9, VKOA to find out whether you have correctly maintained your entries.
    Try running transaction FS00 and see whether the G/L accnt used for determination is valid in that particulat Company Code.
    Sometimes the error could also be because the G/L accnt might required to be created as a cost element.
    Let me know what is the error that you are getting. We can then propose a solution.
    Reward if helpful
    Regards
    Ravi

  • Billing Document and release to Accounting

    Hi,
    Please, does anyone could explain me why the process of billing and release to accounting can be executed in different steps ?
    I need explain it to my key-user.
    Best Regards.
    Kleyson Rios.

    HI
    It depends on the business process
    1.Before releasing to accounts if you want to check the value of the invoice and tax implication  any changes required you are able to do before releasing  once that is done then  you can release to accounts.
    2. Once the billing document has generated accounting document then you will not able to change  any thing in the billing document
    Iin configuration you can set the   posting block for billing  document by going to t code VOFA .
    REgards
    Damu

  • Accounting documents not released

    Hi Guru's
    When saving the billing document the accouting documents were not released ,wat may b the probable reason.I have checked the sd configuration,It was ok .Pls let me know wat may be the missed link .
    Thanks in advance
    rgds

    To resolve the error, you can analyze account determination in the billing document. Process:
    Goto T.Code: VF02 & Enter Invoice number
    Next (On the top most strip) goto Environment
    Next (Select Environment) go to Account determination
    Next (In Account Determination) select Revenue Account Determination (first option)
    This will list all the condition types in the Billing document & analyze each condition & check for which G/L accounts is not determined.
    Possible errors:
    1. VKOA not maintained for required combination
    Solution: Maintain the combination in VKOA.
    2. Account Assignment of Customer / material not maintained in Customer / Material Master (If maintained in combination in VKOA).
    Solution:
    Option 1 (Standard solution):
    step 1: Cancel Billing Document --> Reverse PGI --> cancel Delivery --> Cancel Sales Order
    step 2: Maintain Customer master / Material Master correctly.
    step 3: Recreate sales Order --> Delivery --> PGI --> Invoicing.
    Option 2:
    Force the Account Assignment Group of Customer / Material through Debug in change mode of Billing document, which will release Billing Document to Accounting.
    3. Account Key not maintained in Pricing Procedure:
    Impact: This may create accounting document, but if condition type, which are to be posted to account, but do not have account key maintained in pricing procedure, it will not be post the relevant condition type to G/L account.
    From FI Side, you require to check that all the G/L account has been maintained through T.Code: FS00. G/L account being Master data has to be created in each client ot uploaded through LSMW / SCATT / BDC.
    In Billing Document in change mode (in the first screen where we enter Billing Document number), on the top most left hand corner, take a dropdown on Billing Document & select Release to accounting. Here you can get the under mentioned possible message:
    1. G/L account not found
    2. Cost Element not maintained for G/L account.
    In both the above cases, FI consultant requires to take corrective action.
    Regards,
    Rajesh Banka
    Reward suitable points.
    How to give points: Mark your thread as a question while creating it. In the answers you get, you can assign the points by clicking on the stars to the left. You also get a point yourself for rewarding (one per thread).

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