Reporting country on FB60 and MIRO for EU countries

Hi,
I am trying to post an Incoming Invoice  using FB60 or MIRO.
Since the company code is defined as a EU country(Netherlands), the Reporting country and VAT registration number fields apear on the 'DETAILS' Tab on both MIRO and FB60.
Once reporting country is entered, the VAT number gets selected from the Vendor Master.
I have the following questions for which I need help:
1. Is there a way to configure MIRO and FB60 so that the 'reporting country' is automatically selected and defaulted once I enter the Vendor Number? (similar to how the Payment terms gets defaulted from Vendor master).
Currently, I have to enter the reporting country each time I enter an Invoice.
2.If the Invoice is saved without entering the 'Reporting country', if I try to change the Invoice document, this field is not available for edit and so I cannot fill the Rptg country later. (The field appears in Document Header).
Is there a way to handle this in FB60 and MIRO configuration so that the field 'reporting country' is available for change when we change document using Fb02? is there a seperate setting for this?
Thanks,
Uma Toraskar

Hi Uma,
did you find some solutions for your questions?
Greetings, Vanessa

Similar Messages

  • Reporting Country in FB60/MIRO

    Hi all,
    I was wondering if there was a way to default the reporting country at the FB60/MIRO. I have only one country for which I need to have the VAT Registers, hence, I wish to default that at FB60 and MIRO level.
    Awaiting your replies on the same.
    Thanks,
    Hrishi

    Hi,
    You can may be create a screen variant for Enjoy transactions which would enable the automatic filling of the field.
    The attached note 186961 outlines how to maintain screen variants for the Enjoy transactions.
    Hope this helps
    Kind Regards
    Soumya

  • Project mat. proc. report with monthly breakup and cumulative for year

    Hi All,
    can any body suggest a report for  "Project material procurement report  with monthly breakup and cumulative total for a financial year "
    Thanks in Advance.
    Regards,

    Hi Ahmed,
    Thank you very much for the response.
    I am seeking the std sreport which can give the details for the project material consumption report with monthly breakup with the cumulative month total to year.
    ex. jan 10 units , june -10 units , nov 10 units, total (year) =30
    regards,

  • Value mismatch in ME23N and MIRO for PO with multiple account assignments

    Hello All,
    I've a PO for indriect material procurement with no material master and I've a single PO item with Account Assignment Category as "K" (Cost Center) and Net Price as "1,357.91". Account Assignment has been distributed by percentage such that 50% goes to a cost center and the remaining 50% goes to another cost center.
    When I do MIRO, the amount comes as "1.357,92". This is because, the actual PO price "1,357.91" is divided by 2 equal half due to multiple account assignment and the individual amount comes to 678.955. And this is rounded off to 678.96 and multiplied by 2 in MIRO and the final amount comes to "1357.92". So as you see, the variance between PO price and MIRO price is 0.01.
    How to get rid of this variance? Can something be done to match the PO value and MIRO value the same?
    Thanks for your inputs.
    Sankar

    HI Sankar,
    This is a standard behaviour as Currencies with 2 decimals will be getting rounded off. One work around to avoid posting of Small differences in Invoices (DIF accounts) is to maually change the amount in the Account assignment in the Invoice line to match to PO line total.
    Regards,
    Kathir

  • How to mainatin different country of origin and grade for article.

    Hi All,
    I have a requirement that in SAP i should have one article for e.g Apple ( i am procuring this article from different country and i have got different grade for the article) ,but at the same time i should be able to differentiate it through country of origin along with grade and size.
    I can maintain different EANS for size but how to go about country of origin and grade.
    Note: I cant have different article code for the same product.
    Need ur help and valuable inputs
    Regards,
    AM

    Hi Group,
    I resolved the issue myself and the solution is as under:
    When we run the transaction 'MIGO" or "MIGO_GR", internally the system generates a Batch, which can be changed by the User at his interest to any number he likes.
    And when this Batch gets created, we can have a Userexit (EXIT_SAPMM07M_003) called to update the Country of Origin (HERKL) as under:
    if XXXX - Condtion here....
       Populate the field HERKL in the structure BATCH_MASTER_DATA with the desired value
    endif.
    This will resolve the issue and we can view this Country of Origin in the transaction MSC3N.
    Regards,
    Vishnu.

  • T-code:FB60 and MIRO business place validation Section Code mandatory

    Hi,
    My requirement is to make mandatory in MIRO and FB60  field: BUPLA-business place and field:SECCO-Section Code.
    I have done validation through GGB0 . i am facing problem
    prerequisite: syst-tcode = 'FB60'
    check bseg-bupla   <>   ' ' and  bseg-secco <> ' '
    message 'Enter business place and business section.
    This is working fine when bseg-bupla  and  bseg-secco  is not entered .
    but when user enter value in both fields bseg-bupla  and  bseg-secco .
    in table bseg-bupla and bseg-secco both become blank.
    Is ther any other method to achieve this
    regads,
    K.Shobha.

    Hi
    Have you tried it with customizing tools? I understand that you can achieve it. I think that you want to populate these fields if you have a field status group for this account (check it in FS00). You can create a field status group for this account and do mandatory this fields. If you have doubts, search the help of a FI consultant.
    If you see the help for this field:
    Field status group
        Determines the screen layout for document entry.
        Fields can have the following statuses:
        o   Optional entry - you can enter data in the field
        o   Mandatory entry - you must enter data in the field
        o   Suppressed - the field does not appear on the screen
    You can mantain it with tcode OBC4.
    I hope this helps you.
    Regards
    Eduardo

  • Difference between MIGo and MIRO for GR IR clearing

    Hi all,
    I hav created one PO in foreign currency for 10 items. GR is happening for all 10 lines with rate say Rs 50. Now when i am doing MIRO with same rate i.e. Rs 50, 8 materials are getting posted correctly. But for 2 materials there is inventory posting for fixed amount (in local currency) irrespective of quantty.this case amount in foreign currency is same but dieefernce for GR/IR account is in local currency.
    When line items analysed it was observed that fo these 2 materials exchange rate picked up is different than header exchange rate. the difference in exchange rate is posted to stock account.
    In short system icking differen xchange rate for different line items for one invoice ( MIRO is happening against only one invoice)
    Can any one please explai this phenomena and any solution for this?
    thanks

    When you do aut. clearing and the exchange rates account is set up it will clear the GR/IR account.
    There is no reason to change exchange rates

  • Charts in Report Designer - choosing columns and rows for categories

    Hi,
    I am trying to create a pie chart in report designer from a data provider which has 4 rows and 4 columns. As a default the chart created is using the 1st row for data and the four columns as categories.I want the pie chart  to use the first column for categories and 2nd column for data. How do I change the default chart behaviour?
    Best regards,
    Jai

    Hi Jai,
    take a look at:
    "Class 1 Chart Types" in http://help.sap.com/saphelp_nw04s/helpdata/en/c9/08533b97037963e10000000a114084/frameset.htm
    Link is regarding WAD web item but editing is the same in Report Designer.
    Here you will get information with example query for editing pie charts and what is possible or not.
    like:
    Structure of the Data Provider for a Pie Chart
    In a pie chart, the underlying table has only one row. The values in the columns form the pie segments.
    If the table contains more than one row, the additional rows are ignored when the table is converted into a chart. However, you can define which row is to be used (see below).
    Additional the link describes how to build the query for your requirement.
    Regards
    Andreas

  • Document clearing required in vendor invoice in FB60 and MIRO

    Hello Experts,
    I am posting one vendor invoice. I want to distribute one vendor invoice between two profit centers. Now SAP is posting following entries:
    Expense A/c... Dr (Cost Center: 100001 / Profit Center: 1000) - Rs.5000
    Tax Receivable A/c... Dr (Profit Center: 1100) - Rs.400 (Default profit center for this GL is pulled from FAGL3KEH)
        To Vendor A/c (Profit Center 1000) - Rs.5000
        To Vendor A/c (Profit Center 1100) - Rs.400
    In above entry, vendor line item is getting divided into two profit center. But my requirement is that, system should not vendor line item in two. It should post using document balance clearing A/c. Desired entry is:
    Expense A/c... Dr (Cost Center: 100001 / Profit Center: 1000) - Rs.5000
    Tax Receivable A/c... Dr (Profit Center: 1100) - Rs.400 (Default profit center for this GL is pulled from FAGL3KEH)
    Document Splitting clearing A/c... Dr (Profit Center 1000) - Rs.400
        To Vendor A/c (Profit Center 1000) - Rs.5400
        To Document Splitting clearing A/c (Profit Center 1100) - Rs.400
    Please help me in achieving the above set of entries. Following and attached are the settings done for document splitting:
    1. Vendor GL account is marked as 03000 (Vendor) without overridden tick.
    2. Tax GL account is marked as 05100 (Tax on Sales / Purchase) without overridden tick.
    3. Expense GL account is marked as 20000 (Expense) without over ridden tick.
    Please look into it and provide with your inputs

    Hi Deepak,
    check document splitting for gl a/c give vendor recon a/c gl and give item category as vendor.
    also check doucment type which you are using it should be vendor only.
    when ever you use document splitting don't use standard one copy it do the modifications.
    Regards,
    Raman

  • Sequence of condition different in Po and MIRO for import PO

    Hi,
      While making the import PO we add the custom condition in PO in sequence as below
    JCV1     CVD Percentage     10.000
    JECV     Edu.Cess on CVD     2.000
    J1CV     SEcess on CVD     1.000
    so as per above it is easy in a sequence of 10, 2, and 1
    but when we do the MIRO the condition comes in the sequence as belwo
    J1CV     SEcess on CVD
    JCV1     CVD Percentage
    JECV     Edu.Cess on CVD,
    now our requirement is to have the same sequence  how we can do this as when there are more items in BOE some time it is creating problem.
    regards,
    zafar

    Hi Zk
    In MIRO sytem populates the Excise conditons in alphabetical order. You need to be very careful while entering the values in MIRO if any
    Cheers
    Kris

  • Sales and Support for Foreign Countries?

    Although I'm not familiar with the exportability of MATRIXx, I assume foreign sales are permitted (and encouraged). If I work with a foreign customer, to whom in NI should I direct their questions about pricing, planned development, and support?
    Thanks.

    Michael -
    National Instruments has over 35 international offices. You can find the contact information for the branch nearest your foreign customer at Contact NI. The staff there will be able to address all of your concerns surrounding foreign sales and the exportability of all NI products in that area, including MATRIXx.
    Regards,
    Greg Wempe
    Product Manager for MATRIXx
    National Instruments

  • FB60 / MIGO / MIRO

    What is the main purpose of each of these transactions as it relates to AP?  What are the primary differences between these transactions?

    hi Hari
    Good question
    first os all understand the process of Account payable
    there are two scenario
    Local purchase
    Import purchase
    when u purchase a material from vendor, there are flow how to receive material and post the invocie
    in local case- u create Purchase requisation - PO -
    then u receive a material u capture Excise
    J1IEX - Capture excise
    then u post good receipt  Through MIGO Transaction
    MIGO Means - Good receipt whichever u receipt
    here fi entry genrated
    Stock a./c dr
    GR/IR A/c
    then u post the excise through J1IEX
    then u post vendor invocie through MIRO T.Code
    here fi entry
    Vendor Cr
    GR/IR Dr
    Excise Dr
    cess on excise Dr
    Secess Dr
    u use FB60 and MIRO for Vendor invoice
    then u make a payment through
    F-53       - Mannual
    F110 --       Automatic
    If any query revert back
    Regards
    Roobal

  • CO-PA  FB60 vs MIRO

    Hi guys, we are posting third party invoices through FB60 and MIRO.  We need to make sure cost should flow to CO-PA.  Can some one explain advantages and disadvantages using FB60 or MIRO.  Is there white paper or documentation I can go and study so that we can submit our recommendations to customer.  Please help.

    HI
    Double invoice check for a vendor is possible for:
    1. Company Code
    2. Invoice Date
    3. Referece document
    If in config all of these are selected, and if you enter 2 invoices with all same values for above parameters, then system will throw an error.
    Amount is not checked for this and can you verify may be Reference given differently
    Thanks
    Vishnu

  • FTXP Reporting country (T007A-LSTML) missing

    Hi,
    I have problem with missing box for reporting country in FTXP and therefore in all posting transactions for company codes from US and CA. For others it is ok. As far as i know only 'Plants abroad' needs to be activated to have this 'reporting country' available.
    Is there anyhting else that i can check for those specific countries for which it is not working ??
    Thanks,
    Tomek

    Hi,
    In the source SAP system from which accounting docs are coming to Finance SAP this field is available in FTXP or postings transaction for US so i think that is not the reason...
    Tomasz

  • Returns to vendor agter MIGO and MIRO

    hI,
    I have made on PO, did MIGO and MIRO for the same (CIN)
    Now i want to send back the material to vendor in two scenarios
    1) After MIGO
    2) After MIGO and MIRO
    3) After payment has been done.
    Regards,
    Satyendra

    Hi,
    For First case you can use 102 mov type against material document to return material.
    For Second & Third cases
    1) Create a return po and check the return item field in the po detail.
    2) create a return goodds receipt with migo. 161 will happen automatically.
    3) create a credit memo thru. miro.
    4) crease a excise invoice for other movements thru J1IS (if material is excisable.)
    5) post a excise invoice thru J1IV
    Revert back if any doubts.
    Ashok
    Reward is useful.

Maybe you are looking for

  • Firefox 18.0.1 often freezes, at random times, since about 31 Jan 2013

    2 Feb 2013 Concerns: Firefox 18.0.1 often freezes, at random times, since about 31 Jan 2013 I am using Mozilla Firefox 18.0.1, Windows Vista, PC, Desktop. My Mozilla Firefox freezes since about 31 Jan 2013 at random times quite often, when I do see T

  • How do I start Desktop Firefox in Offline Mode (if possible)?

    Currently using Firefox 21* with 64-bit Windows 7 Pro SP1: If I enable File > Work Offline, then Firefox will not retain the setting for the next launch. So it will always access the Internet (and complain if it can't) every time that it launches. Th

  • Program about download alv to excel

    i have a program,when run it ,there to be a alv display,in the alv display,the unit is 'PC',but after  download it to the excel,the unit 'PC' all turn to '*****',does anybody know why? thanks for your replay.

  • Set up choice of partition to boot on every start up instead of one or the other?

    I have an iMac 24", using Mountain Lion. I have partitioned another section to run Windows 7 (64 bit). My favorite keyboard is a Microsoft 6000 wireless one. On startup I would ideally love to see the choice screen come up so I can choose to boot in

  • Mysterious Messaging At 3 Am

    I look at my usage on ATT.com and I see strange outgoing messages between 3 and 4am. They all say they are sent and are different sizes ranging from 200kb to 2500kb. They also say internet/media WAP.CINGULAR. I called *611 they said I'm not being cha