Same Condition type with different G/L Accounts

Dear All,
Our customer wants to maintain different set of G/L accounts with the same condition types in case of Service tax.
We have three different condition types for Service taxes.
JSV4 - Service tax
JES4 - ECS on Service tax
JSE5 - SECS on Service tax
We have Two different Services
1. R & D Services
2. IT Services
For these two services, service tax condition types are common but we need different G/L Accounts for different Services.
How to achieve this?
Regards,
Mullairaja

Create two tax codes in FTXP, one for R&D Service and another one for IT Services.
Now go to OB40, select the required Transaction, say for example MWS and assign these tax codes with the required G/L Account there.
Finally, in VK11, for tax condition type, assign these tax codes and save.
Now do one sales cycle for each scenario and update the forum.
thanks
G. Lakshmipathi

Similar Messages

  • The same condition type calculates different amount !

    Hi there,
    On the print out of an invoice (VF03) I have realized that two different rows at the end of the invoice with the same description (Min Freight Charge) display 2x different amount of freight, once I check the condition type, on the header level, I see the same condition type (ZS..) with two different amount. Can anybody explain how can the same condition type (Min Freight Charge) be found calculating 2x different amounts
    Thanks
    Kami

    Hi,
    Check your pricing procedure at SPRO-> sales and distribution -> Basic functions -> Pricing control ->Define and assign pricing procedures ->maintain pricing procedures.
    There might be two condition types used to calculate the frieght value. Each might be assigned with different routines under Alternative formula for condition base value column. I assume only one frieght condition type is needed to calculate the final value with reference to another condition type. Check the settings.
    Regards

  • IT0041 : Same date type with different values in the same infotype

    Hi,
    Is it possible to store in the 0041 infotype, the same type date but with a diffentent date.
    Example :
    IT0041
    employee 1000:
    date type : xx 01.05.10
    date type : xx 02.05.10.....
    Thanks

    Hi there,
    My two cents.
    I don't think it can be done in standard. Also copying IT 0041 would limit you to enter only 12 dates.
    My suggestion:
    Create a custom infotype with subtype field and a date field like IT 0015.
    On the screen you will only be seeing subtype and date. And assign time constraint 3 to it.
    In this way with the same subtype you can record several dates.
    cheers
    Ajay

  • VF03: Condition type with no account key is posted to accounting

    Hi,
    I have one condition type JA1Y for which no Account Key is maintained in the pricing procedure.But in VF03 I am able to see JA1Y along with other condition types with account keys.
    Under JA1Y there are 5 line items & I have a message
    "No G/L account found in Account determination type KOFI"
    How can it be possible? How can I avoid this?
    Helpful answers will be rewarded.
    Thanks & Regards
    Swathi

    Hi,
    You have to maintain account determination:
    SPRO -> Sales and Distribution -> Basic Functions -> Account Assignment/Costing -> Revenue Account Determination -> Assign G/L Accounts.
    Here you have different ways of assign an account. Many of them use key account, but others not. Also, you can define your own access sequence.
    Regards.
    Points if it helped you.
    Ángel Rubio.

  • 2 same surrogate keys with different filter conditions in one report

    how do we put 2 same sr keys with different filter conditions in one single report??
    for example, we have to get the 'count' for tm_sr_key:
    1. count(tm_sr_key) where past_due_flag = Y
    2. count(tm_sr_key) where past_due_flag = Y and N
    to be displayed in one single report.
    it happens that both sr_keys will display the same measure (which is the 1st filter conditions)
    and the filter under criteria tab in anwer will show as :
    tm_sr_key where {filter condition 1}
    AND
    tm_sr_key where {filter condition 2}
    instead of :
    tm_sr_key where {filter condition 1} for 1st measure
    tm_sr_key where {filter condition 2} for 2nd measure
    d only option i could think right now is to duplicate the tm_sr_key data in the same table but with different name say, tm_sr_key_2..
    kindly pls help.
    thanx

    i'm sorry, not really understand.
    could you pls explain a bit more about the filter column? how do we do it? coz i'm really new in this tool.
    r u talking about editing the filter located under the column on the right side of the OBIEE answers?
    or is it by editing the 'edit column formula' for required column; that is by replacing the 'column formula' expression with this:
    FILTER(EXPS_FACT.FAC_SR_KEY USING EXPS_FACT.PAST_DUE_FLAG = 'Y') <----if it is like this, i tried it already & its giving me an error message..
    thanx.
    Edited by: rezza.nasha on May 28, 2009 1:26 AM

  • HT5114 can i have the same email address with different itunes accounts my kids are to young to have an email address but love apps

    can i have the same email address with different itunes accounts my kids are to young to have an email address but love apps

    Have a look here...
    http://macmost.com/setting-up-multiple-ios-devices-for-messages-and-facetime.htm l
    And Here  >  Sharing Apps
    http://macmost.com/sharing-ios-apps-with-family.html

  • Same condition type different value fields

    same condition type is used for
    1. sale of product
      2.scrap sales
       3.spares sales
    condition typr (pr00) should be assigned to three diff value fields
    (revenue ,scrap revenue &spares revenue) ,because they should not be summed up (need separate value)

    Hi,
    Can u sum up what is ur exact question/problem?

  • Same Condition in 2 different Procedures

    I am trying to post a freight condition ZFRT to an accrual account in 1 invoice (F2) and a Revenue account in another invoice (IV). The pricing procedures are different. Can the same Condition Type act like both accrual and revenue in different invoices?
    Should ZFRT be an accrual condition? Should I check(X) KRUEK for ZFRT?
    It works alright on the intercompany invoice (posting to revenue) but it is not right on the F2 invoice. I tried playing with the procedure but could not find a solution. Need help.
    Thanks
    Neha

    Hi Neha,
    You check in these areas
    The accounting keys should be different in two pricing procedure.
    -->In One procedure is for revenue (ERL).
    -->In other procedure (Accruals)two account keys one is account key and Accrual key (ERB and ERU).
    Condition record shoul be maintained difeferently based on the document type.
    -->Also check the G/L account assignment with respect to the account keys in VKOA transaction.
    I hope it will help you,
    Regards,
    Murali.

  • Same condition type used in MM , error?

    Hi ,
    I am (SD) using the same condition type which is used by MM and maintained different condition records in VK11. when I created STO , MM condition value is posting right , But with relevant to STO and Del , I create billing document , here The condition records what I maintained in vk11 are missing. I have check each and every step. where could be the error exists? cant we use the same condition type used by MM , though we maintained different acceess seq and condition records in VK11?
    Thank you,
    Kanna Palle.

    Hi,
    I copied the condition type and changed the name , but its already used by MM. Its a STO process .STO to DEL to IV Billing.I maintained condition records in vk11.In the combination of plant and material , I find different field name for material (but its still named as material and the data element is different from what MM material field). Its confusing I think.
    Precisely , I created access seq for plant and material , they field names are z123 and zabc. when I maintained condition records in vk11 ,  condition record saved in ZAAA and ZBBB fields. now at the time of Billing document , system throws an error saying, * condition record is missing *  The system checks z123 and zabc for condition records , which are not there becos they are in the fields ZAAA and ZBBB.
    At the time of Acc Seq creation , I tried to pick the same field which it shows in billing document.but that is not available in SD , its available only in ALLOWED FIELDS in MM. Pls Throw some light on this.
    Thanks,
    Kanna Palle.
    Any updates on this Pls?

  • POSTING WITH A DOCUMENT TYPE WITH DIFFERENT EXCHANGE RATE TYPES

    Hi there,
    We have different company codes in the same client. These companies are situated in various countries.
    I like to use the same document type with several exchange types M and X(specific for countries). Posting in MM and SD are ok by defining a exchange rate to master records of customers and vendors. Unfortunately I could not find a way to post documents from FI using the same document type.
    Is it possible and how?
    Thank you,
    melike

    Hi,
    In accounting editing options (Transaction code FB00) - in the tab Document entry - there is an option to select the check box Exchange Rate from first line item. If this is selected, the exchange rate entered manually in the first line item will be copied in the header automatically. This could be one of the options you can consider.
    However, the hitch is it involves manual entry which could result in human errors.
    Thanks
    Murali.

  • How to download the same song(track) with different keys? iTunes seems to think I have already downloaded the song and will not download the song in a different key of the Demo Track

    How to download the same song(track) with different keys? iTunes seems to think I have already dowloaded the song and will not let me download the song in a different key or the Demo.

    Hello Jigz19,
    It sounds like you are unable to play a couple of songs from your library becuase you get a message that the computer is unauthorized to play, but other content purchased that same day works without issue. I would verify that the affected songs were purchased with the same Apple ID first:
    Recovering a forgotten iTunes Store account name
    http://support.apple.com/kb/ht1920
    Open iTunes
    Highlight one of the items you have purchased (You can find your purchases in your Purchases playlist).
    Choose File > Get Info.
    Click the Summary tab.
    The Account Name area will list the account used to purchase the item. Unless you have changed accounts, this is your iTunes Store account name.
    If so, then delete the songs:
    How to delete content you've downloaded from the iTunes Store, App Store, iBooks Store, or Mac App Store
    http://support.apple.com/kb/HT5772
    Then re download them with this article:
    Download past purchases
    http://support.apple.com/kb/ht2519
    Thank you for using Apple Support Communities.
    All the best,
    Sterling

  • Same Batch Number with different characteristics value

    Dear Gurus,
    I have the following scenerio:
    The finished goods should be maintain in batch with external number  and at the time of confirming the finished goods in co11n the client want to capture the finished goods value like length, width and diameter.
    So we propose the batch characteristics with class type of 022 for finished good and we maintain the character as length, width and diameter under the batch class 022 and assign the batch class in finished good classification view.
    Now the requirement is we want to capture the batch characteristics value length width and diameter with same batch number for multiple confirmation.
    Example:
    Confirmation      Batch number               batch Class               Length     width     Diameter
    1                        1000                              022                              100        50             20
    2                        1000                              022                              120        25             10
    3                        1000                              022                              150        70             30  
    Now at present we are trying to capture the batch characteristics with same batch number but our standard system will not allow to maintain the different batch characteristics value under same batch number. If we overrite the batch characteristics in msc2n transaction the last value maintained be copied to all batch number. but we want same batch number with different batch characteristics value.
    Please share your idea and try to solve..
    Regards,
    Vimal

    Dear Vimal,
    It is not possible to maintain multiple batch characteristics in one batch.
    Work around is to create original batches and assign to your production order.  During CO11N, generate one batch per confirmation.  There is a report in batch information cockpit to link between original batch and batch per confirmation. 
    Rgrds,

  • How to Use Same Asset Number with Different Sub-number

    Hi
    We want to sell some assets and buy them back on lease. We want to use same Asset number with different sub-number under the same company code. This new asset will be under different Depreciation Area (Statistical).
    We use external numbes for assets . And same asset number range is used by all compnay codes.
    Please suggest whether this is possible & how.
    With Regards,
    Nitin

    Hi,
    Go to field status for asset master data section and change the field status to optional for field Deactivation date, then follow the below steps.
    You can create an sub asset number to an asset, which is already deactivated by retirement as like normal sub asset creation with AS11.(While creating sub number, you need to remove cap date and deactivate dcate field manually from asset master)
    With this you can get new asset number as same as your old retired asset main number and but sub number will be different.
    To post to diff dep area, other than 01, then you first create an acq transaction type, which will post only to specific areas and then use the new asset number in ABSO to post acq with your custom TTY.
    I have tested and found working well in my system............Try now in your test client
    Thanks,
    Srinu

  • I have multiple devices backed up to the same computer each with different data. how do i keep them from syncing all data when i back up or transfer stuff from the computer to a device?

    i have multiple devices backed up to the same computer each with different data. how do i keep them from syncing all data when i back up or transfer stuff from the computer to a device? one is an iphone 6 and the others are ipad mini first gens, each ipad has 64gb and the iphone has 128, need to keep the data seperate as they are not all mine

    Itunes content and pics are NOT part of the backup that itunes performs.
    Backing up, updating, and restoring iPad, iPod touch, and iPhone software
    You should transfer any purchases from iphone regularly:  File>Transfer Purchases  , if they fail to be transferred when you sync.
    You buy one and only one download.  It is your responsibility to move/copy/backup your purchases.
    You can try contacting itunes support and asking for an exception, but they are under no obligation to allow.
    http://www.apple.com/support/itunes

  • How to use the same OC4j server with different port number

    How to use the same OC4j server with different port numbers..?
    I have to OC4J installed on my machine on different hard disk drives....
    I want to be able to run both the server simultaneously..?
    is it possible ..it yes then how..?
    for that i have changed the port number of one server...
    but when i am trying to start the other server with different port number..it says that JVM -Bind already...
    Is there any clues...?
    Nilesh G

    In the config directory:
    default-web-site.xml: Change the port the HTTP listener listens on
    jms.xml: Change the port the JMS service listens on
    rmi.xml: Change the port the ORMI listener listens on.
    Or, you can add another web-site.xml file, and deploy your applications to 1 server, and bind the web applications to the different web sites. This way you only have to deploy your applications to 1 place.
    Rob
    Oracle

Maybe you are looking for

  • Illustrator CS5.1 Crashing on Start Up

    Illustrator just started crashing on me.  I have no idea what is causing it.  It was working fine earlier today and then I restarted my computer, booted up the program, and after it went through the startup process and displayed the tool bars and men

  • International characters and mod_plsql

    We are having troubles with mod_plsql translating international characters. Here is the scenario: We have an HTML form whereby the user can enter a letter. If they enter the letter 'X', by the time it calls the ACTION in the html form, it has changed

  • How to keep zoom ratio in new tabs

    <blockquote>Locking duplicate thread.<br> Please continue here: [[/questions/881761]]</blockquote> How can I keep the zoom in ratio in newly opened tabs?

  • Export sales requires ARE 1& ARE 2 details

    Hi all, My customer Exports the excisable goods to outside country with and without payment of duties. While making the sales Invoice to the customer he wants to have a track of Form ARE 1 and ARE 2 details for tax(Excise department) purpose. how to

  • Make the Forum Search Tool useful

    The current Forum Search Tool is nearly useless.  Please add the following features to make it a functional tool: 1. Logical operators - i.e. allow the following searches: cow AND chicken, cow OR chicken, cow NOT chicken (or -chicken) 2. Quoted text