Revenue account determinatin in SD

Hi all,
(we have two revenues 1. Domestic revenue 2. Export revenue ) My client want to maintain High Sea Sales revenue account in Domestic revenue. How can i bifurcate revenue. pls help me in this regard.
Thanking u,
Meera

HI,
Maintain a seperate Distribution channel for High sea sales. that way you will have a seperate sales area for High sea sales, which will enable you to have a unique combination in VKOA settings.
Ofcourse there are many other ways to achieve this.
Hope this helps.
Regards,
Shantanu

Similar Messages

  • Revenue account determinatin analysis

    Dear mentors,
    Where can in view Revenue account determination analysis in CRM Billing transaction? In documentation its given that at item level in item overview tab page can we see it biut i could not find it?
    Also i am unable to determine pricing analysis at billing level though i have activated trace for pricing analysis in su3
    Please help me in this regard.
    Thanks and Regards,
    Kiran C

    HI,
    Maintain a seperate Distribution channel for High sea sales. that way you will have a seperate sales area for High sea sales, which will enable you to have a unique combination in VKOA settings.
    Ofcourse there are many other ways to achieve this.
    Hope this helps.
    Regards,
    Shantanu

  • What is difference between Reconciliation Account and Revenue account.?`

    What is difference between Reconciliation Account and Revenue account.?
    Where does it effects after a sales order , delivery doc. or billing doc.?

    Hello Mukesh the comments givan by Amol and Siva kumar are correct.
    Here I am telling you how these accouts arer wrking in sales order and at billing and delivery.
    Our reconsilation account is reconsile with customer that why when you create the sales order you are mentioning the customer at this time reconsiation account works.
    Whenever you doing any posting there is an accounting entry is mae in accounts book right .
    At the time of Delivery and billing both the accounts are affected as per the accounting rule .
    I hpoe this will you help you
    Regards
    ravi

  • Compare with my cost of goods sold account to my sales revenue account

    Hi,
    i want to compare with my cost of goods sold account to my sales revenue account.
    After PGI my COGS a/c will be debited INVENTORY a/c will be credited so after sales my SALES a/c credit & customer a/c debit . I want to see what is the difference value of COGS a/c with respective billing Sales A/C
    No doudt we can see in Profit of margin in billing doc. It is quite impossible to see all document in respective wise. Please give a solution for which i can know what is profit of margin with comparing values in both of Account.
    Thank's
    Abhay

    Hi,
    This is possible through CO-PA report. You can get the result per sales order.
    Also the same can be achieved in FI as follows:
    Outbound delivery document thr" VL01N is captured in "Reference field" of FI doc (BKPF-XBLNR) generated through delivery.
    If the settings are done by SD person to capture the outbound delivery no. in "Reference field" of FI doc generated through Billing document (VF01), then there will be a common field to compare the documents in both accounts.
    In transaction FAGLL03, select the account COGS & Sales revenue account. Once the report displays, sort or take sub total on this common field "Reference".
    This will give you difference between COGS & Sales revenue per document.
    Hope this resolves your query.
    Regards,
    Ashutosh

  • What is the purpose of Clearing and Revenue account in Asset Disposal : F-92?

    Hi All,
    Please clarify my doubt ;
    In Asset Disposal - Sale to Customer : F-92 with customer
    Suppose an asset with historical cost $1000 and accumulated depreciation of $100 is being sold to a customer at $1100, the posting entries will be as follows :
    Dr     Customer Account (A/R)                    1,100
    Dr     Accumulated Depreciation                    100
    Cr     Fixed Asset - Acquisition Cost           1,000-
    Cr     Gain/Loss of Fixed Asset Disposal       200-
    Dr     Clearing Account for Asset Disposal   1,100
    Cr     Revenue for Asset Disposal                1,100-
    I completely understand the first four line items, but don't know the purpose or the 5th and 6th line items.
    Please explain why we need a clearing and revenue account for asset disposal and what would be the impact of these accounts in asset accounting?
    Thanks in advance !!!
    Regards,
    Vicki

    Hi Vicki
    This is just a technical account, which gets Dr and Cr in the same document
    The purpose is just to tell you how much asset sale has happened during the year.. You can get this info by looking at the GL Account
    Since Asset Module is a sub ledger, the asset needs to be retired. At the same time, the FI-GL also should show the needed info from accounting perspective
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    Br. Ajay M

  • Revenue Account Determination based on Sales Order Document Type & Service Order Type

    Hi Expert,
    I have Customer Service Module with Resource Related Billing for services attached with SD.
    When DP90 runs sales document debit memo request is created & then debt memo is created.
    I need to configure Revenue Account Determination based on Sales Order Type and also based on Service Order Type.
    I did not see any field catalogue in revenue account determination for order type, For communication structure KOMKCV Header and KOMPCV Item level there is no field for sales order type nor service order type.
    Is it possible to bring in both order types? Can ABAP person do it?
    How to bring these fields?
    Is it possible & recommendd to have service order type filed AURAT for service order into this sturcture?
    Is this configuration is OK acceptable by SAP? If so is there any chnace for issues errors & wrong determination from FI CO view?
    Your valued input is highly appreciated.
    Thanks
    Prakash Parikh

    Hi Prakash,
    Yes, you can certainly add new table fields into the field catalog KOMKCV and KOMPCV and use it during account determination. You will also have to add these new fields in the user exit RV60AFZZ for it to work. I believe you will need ABAPer's help to make this work. The abaper will have to crate a ZZFIELD (ZZAUART for example) and put it in the structure and use the same in the user exit to pass the values.
    In your case, what I am not sure is, are you looking to modify the existing standard tables or creating new ones. My suggestion is to create the new condition tables with these new fields (like document type) after adding it to the field catalog. Only modify the access sequence (KOFI) in such a way that your new tables are access first before it goes into standard tables (or you can adjust it according to your scenario.
    We have done it in our company and it is working fine. Basically what we have done is to create new tables instead of modifying the standard ones. We have adjusted the access sequence in such a way that some of our custom tables are accessed first before the standard SAP tables (C001 to C005).
    I found a similar requirement on SCN. This might help.
    Adding New Field in Account Determination
    Hope this helps.
    Regards,
    Mukund S

  • Create sales revenue account in SAP R/3

    Hi there,
                I need to find the path for creating "sales revenue account" and "sales revenue deductions account" in SAP R/3
    I will appreciate suggestions for the same.
    Thanks
    Nishant

    Hi Nishant,
    The SAP NetWeaver MDM forum is not appropriate for your R/3-based query.
    Better try the ERP Financials forum (SAP ERP Financials) instead.
    Regards,
    Markus

  • G/L Account and Revenue Account determination

    Hi all,
    What is the difference between G/L Account determination and Revenue Account determination?
    How to configure them?
    Regards,
    Ajit

    Hi,
    The account keys ERL , ERS, DIFF which are related to revenue and sales deduction in your pricing procedure are defined in transaction VKOA. Here the account key, chart of accounts, your sales organization and G/L accnt combination are maintained.
    Whereas all the tax codes G/L accounts get picked from transaction OB40 , So in your pricing procedure where ever you see tax account keys, make sure you go to OB40, input your tax code and then you will see all the G/L accounts against each respective account key. This is nothing but the calculation of tax on sales / purchases.
    Alternatively you can check transaction FTXP based on chart of accounts and tax code which proposes automatic G/L accounts configured by FI consultants
    Hope this will solve your query.
    If it does, please dont forget to reward points for contribution.
    Regards
    Ravi

  • Unbilled Receivable and Unearned Revenue Accounts

    We are using expenditure items for generating revenue and then for billing.
    When we generate revenue, the entry is: Revenue Cr to Unbilled Receivables Dr
    When we generate Invoice, the entry is: Unbilled Receivables Cr to Receivables Dr, which is file
    If we cancel above invoice for some reason and again process invoice, then entry is: Unearned Revenue Cr to Receivables Dr
    Due to this, we are having Unbilled Receivables & Unearned Revenue balance in the system (though the amount in both accounts is same & it nullfies, it is not correct representation). Ideally, when we regenerated invoice, the entry should have been: Unbilled Receivables Cr to Receivables Dr
    Let us know why the system is bringing Unearned Revenue account in picture in this case.
    Regards,
    Ketan

    Ketan,
    Let me see if I understand what you are saying. You have generated the draft invoice and interfaced it to Accounts Receivable, correct? That part is working okay, it looks like.
    How are you cancelling the invoice? Are you doing that in Project Billing? Is it correct to assume that you are doing the "Cancel a released invoice" process, rather than the "Write off an invoice" process? Cancelling an invoice will create a credit memo for the entire amount of the canceled invoice (at least in R11, which is what I am on - you did not mention what version you are on). Did you get the credit memo generated and posted? If so, what was the resulting entry for that credit memo? That is what you need to focus on first, I thiink. If that entry is Unearned Revenue Debit and Receivables Credit, then it does make sense that when you regenerate the invoice, the entry would be Receivables Debit and Unearned Revenue Credit.
    I am guessing here is how the Oracle designers were thinking. Again I am guessing. And I am not saying I agree/disagree with such thinking. I think the idea is that it is not going to be unbilled receivables now because you had billed the revenue at least one time. After all, the cancellation technically does not undo the billed invoice - it merely creates a credit memo. The revenue had already been generated, so the Revenue account does not come into play. So, if not unbilled receivable, and you don't touch revenue, by default that leaves the unearned revenue account to hit.
    Now, like you, I would think Unbilled Receivables would be the better account to hit. It could be possible that you have run across a program bug here. So here is my thought process -
    1. What was the journal entry generated by the invoice cancel?
    2. Is the journal entry generated by the invoice regeneration not the reversal (in effect) of the credit memo entry?
    3. If those two entries are not offset, I would log a service request with Oracle support. Either they have a bug or they have a design flaw. Of course if a design flaw, then you are stuck. You would have to enter an enhancement request to get Oracle to change the process.
    4. However, if those two entries do offset, and it sounds like they do, then you have a system that seems to be working as designed. In that case you need to submit an enhancement request to have Oracle change its current process.
    Does this make sense?
    John Dickey

  • Inital posting to a revenue account

    Hello Gurus,
    How do I populate the values in the revenue accounts that are plugged in the access sequences in VKOA before Go-Live. My concern and confusion is that these accounts are plugged in VKOA so ideally they should get populated via some trigger. If I try to post a journal entry directly, then I get the error ,'Enter true account assignment'.
    For example, when the question of populating trade receivables domestic account (recon account in customer) came up, that account will get populated automatically when we upload open AR balances.
    But in case of revenue account, I am not sure what exactly needs to be done.
    Any suggestion/advice
    Thanks
    Edited by: SB on Sep 17, 2008 9:46 AM

    The revenue accounts (for that matter all GL accounts) will be updated when the GL balances are uploaded before Go-Live. Normally from FI side four types of opening balances will be uploaded before going live.
    1) Customer balances
    2) Vendor balances
    3) GL Account balances (which includes excise opening balances)
    4) Asset balances
    Regards,
    GSL.

  • Revenue Account Determination in MM

    Hi all,
    Can i know the path for configuring Revenue Account determination in MM.
    Regards,
    Ramaswamy.

    Dear,
    This is how Account determination done in MM,
    Movement types have key role as central account determination in MM side.
    This account determination is for MM settings u2013 group RMK.
    Account determination is based for combination of valuation grouping code, general modifier/account modifier, valuation class in SAP MM.
    This will be defined for particular transaction event key. Transaction event key will inturn be defined for each movement type of SAP MM.
    Basically GL account are assigned for certain combination of above. To put down in flowchart format-
    SAP RMK group (MM)
    Movement type-
    Transaction event key-
    GL account determination (one debit and one credit)- based on below combination
      Valuation Grouping code/ Valuation Modification -- Tcode: OMWD
      Account modifier -- Tcode: OMSK
      Valuation class -- Tcode: OMWN
    SAP will see transaction is made in MM, it searches the transaction event key from movement types. Based on valuation grouping code, account modifier and valuation class, determination will be done for GL account for debit and credit.
    and concern G/L Account assigned in TCODE- OBYC
    Need further clarification revert back.
    Dear atleast putup a thanks in responce to  people efforts before closing the issue
    Regards
    AJIT K SINGH
    HAPPY TO HELP U
    Edited by: AJIT K SINGH on Jan 6, 2010 5:22 PM

  • Need to setup a liability GL as  inventory revenue account

    Dear All,
    Is there a way to setup a liability GL as inventory revenue account?
    When I setup GL by item level then go revenue GL for either warehouse, I can only select revenue account. But some of the revenue GL should be liability account. Our consultant said he did some changes and made it worked before. But we cannot figure out how. Please help. Thanks in advance.
    Regards,
    Yuka

    Hi,
    Go to your Chart of Accounts. Select the G/L Account that need to be changed and change the Account Type to be Expenditure. Go to Edit Chart of Accounts and move the account from Liabilities to Expenditure. Just remember if you do this, the accounts will be part of the P&L and not be part of the Balance Sheet anymore.
    Kind regards
    Carin

  • Split valuation : how to differentiate revenue accounts

    Dear all,
    is there any possibility to manage different revenue accounts for material with different valuation types?
    I mean if I activate split  valuation for a material which has two valuation type: purchase and production accounting department of my company wants to differentiate not only the cost of goods sold in delivery note but also revenue accounts when I release the billing document.
    I appreciate any contribute by you.
    Thanks in advance
    Vir

    Hi
    If the PO is partially open ensure that the PO order qty is changed to Delivered and invoiced qty and then flag the delivery completed and final invoice indicator and then flag the item for deletion.
    Now you try to activate the valuation category.
    Usually if we have such requiremnt of activating the material for split valution, always you create a new material and falg the old material for deletion. This will be helpful in the reporting parts also.
    You donot have to face all these problems in that case.
    Thanks & Regards
    Kishore

  • Revenue Account Change

    If it is possible to change the Revenue account in (11i) AR interface before generating invoice in AR

    Hi ,
    It depends on how you make autoaccounting.
    Thanks
    Mohammed

  • Accruals revenue account change

    Hi,
    I have chaged the account number accruals revenue account  by T code VKOA.but when i am posting the invoice to accounting still it is show the old account number in accounting document.i checked the settings almost everywhere,also searched on SDN as well.can anyone tell me if any possible error in any assingment.
    Thanks

    Hi there:
    Could you tell me which table(combination) do you change for assigning G/L accounts?

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