Sequence for tax payment wizard

Hello experts
              I want to make payment of  excise duty through tax payment wizard. For this sequence has to defined for each location in respect of various documents.For what all document i have to assign sequence numbering for excise.
regards
manoj

hi,
Sequence is used to mantain numbering series for exciable material for various locations.check below link for detailed information about sequence number
https://websmp205.sap-ag.de/~form/sapnet?_FRAME=CONTAINER&_HIER_KEY=701100035871000529280&_OBJECT=011000358700000267942008E&_SCENARIO=01100035870000000183&

Similar Messages

  • Tax Payment Wizard - Country India - Version 2007 B PL 08

    Hi All,
    I am using SAP B1 2007 B PL 08 in country India.
    In order to use / test the Tax Payment Wizard,
    I have posted following documents
    Sequence for the Location.
    A/R Invoice and A/P Invoice with ware house for above Location.
    Respective incoming and out going payment documents giving reference of respective A/R Invoice and A/P Invoice.
    Now when I execute Tax Payment Wizard,
    In second step of Tax Payment Wizard, after entering all required information, when I select the Location, system gives following error message.
    Sequence is not defined for the Location [Message 80072-11]
    Please do let me know what could be the reason for it.
    Best Regards,
    Samir Gandhi
    Edited by: Palak Shah on Feb 13, 2009 1:39 PM
    Edited by: Palak Shah on Feb 13, 2009 1:42 PM
    Edited by: Palak Shah on Feb 13, 2009 1:45 PM
    Edited by: Palak Shah on Feb 13, 2009 1:51 PM
    Edited by: Palak Shah on Feb 13, 2009 3:55 PM

    Dear Palak,
    Have you defined sequence number for Tax payment wizard for this location?
    Please see the following from online help:
    http://help.sap.com/saphelp_sbo2007b/helpdata/en/b1/8fe14910cf46b9b2ff2de2f315e5a2/frameset.htm
    Please also see documentation on India Localization:
    https://websmp102.sap-ag.de/~form/sapnet?_FRAME=CONTAINER&_HIER_KEY=701100035871000529280&_OBJECT=011000358700000267942008E&_SCENARIO=01100035870000000183&
    Regards
    Preety Goel
    SAP Business One Forums Team

  • Amount in the tax payment wizard Against PLA remaining for BED is negative

    Hi All,
    I have made an outgoing payment selecting PLA radio button for BED,Ecess & Hecess in order to deposit the amount againg BED,EcEss,Hecess in PLA account.
    Now when i am trying to run the tax payment wizard ,system is showing me the -ve amount in the PLA remaining column against the BED,Ecess,Hecess.
    I am facing the problem to move ahead to the next step in the tax payment wizard as system is showing the error and not not allowing to move ahead.
    PLease suggest how can i proceed.
    Regards,
    Atif Mian

    Hi Atif
    The problem is with your date selection criteria.
    With what date range you are trying do run Tax Payment Wizard differs with the date when you fill PLA Account via Outgoing payment.
    Just check and let us know please.
    Regards,
    Rahul

  • Tax payment Wizard for Excise Clearing

    Hi,
                                      I want to know how to use the tax payment wizard that is available in the Banking module especially for  Indian Excise processing.Like how to take the PLA amount, Utilized BED,Cess,ECess ,etc and how to make the payment.Is there any material available on that?If it is there,can you give the link?
    Thanks in advance,
    Regards,
    Sekar

    To know how much tax to pay or how much tax to get back from the Govt.
    If you have to pay, a payable J.E will be created and if to be receive a receivable J.E will be created.
    check the below link
    https://websmp205.sap-ag.de/~form/sapnet?_FRAME=CONTAINER&_HIER_KEY=701100035871000529280&_OBJECT=011000358700000267942008E&_SCENARIO=01100035870000000183&
    hope this will help you .
    Regards,
    neetu

  • Service Tax On Down Payment and Tax Payment Wizard

    Hi All,
    We would like to make a down payment and apply service tax to it.
    Once i create a AP Down payment invoice with the service tax, make an outgoing payment against it, create AP Invoice and adjust the down payment, now after following this procedure, when i run the tax payment wizard, the service credit available becomes zero.
    It works well in case of partial payment but not 100% advance.  Has anyone faced this issue??
    How can this be resolved?
    Thanks,
    Joseph

    Hi Rahul,
    Exactly! The system doesnt consider the tax on DP when we check through Tax Payment Wizard.
    I guess this is a missing functionality? What do you think? Because there may be a chance that the service tax may get deducted at down payment! What is your take on this?
    Looking for valuable responses from other experts too!
    Thanks,
    Joseph

  • Credtit Availble in Tax payment Wizard

    Hi All
    I am trying to get the total Credit available for each and every CENVAT Components for the month in the report...
    I checked the table TPW6 but it lists all the Journal Entries from which the credit payable can be calculated..
    Is there any way i can calculate the credit available for the month... is it stored in any field...
    PLEASE HELP ASAP....
    Thanks.... Marikannan

    Hi,
    If you are looking at credit available in TPW6, then you will not get the right values.
    TPW6 stores the data about invoices for which credit was utilized in the Tax Payment Wizard runs.
    Ignore the entries in TPW6 when you select date from OIEI table.
    With Regards

  • Purpose of Tax payment wizard.

    Deat All,
    Please can you expalin me the purpose of tax payment wizard.
    (If possible gibe me example Pls.)
    BR,
    mahesh

    Dear Sir,
    Thanks for sending help file.
    But can I get steps to run it.
    BR,
    Mahesh.

  • Can I use the Tax Payment Wizard to pay the Withholding taxes...?

    For SAP B1 2007 B PL 7---
    Can I use the Tax Payment Wizard to pay the Withholding taxes...?

    You must use a credit card  registered with your name and address.
    There is no other option.

  • Service Tax Credit Avilable is not showing in Tax Payment Wizard .

    Hi Experts
    I am working on SAP B1 2007B PL 08.  I made some entry of service tax in AP invoice and AR Invoice. I also made outgoing and incoming payment for these invoices. But in Tax Payment Wizard Service Tax Credit is not showing however with the same tax code in AR invoice Service Tax Payable is showing. I check all the master setting with OEC database. There is no difference between them. Tax code Type is Service Tax and Input and output Tax Account are properly maped. Anybody can tell me what can be reason.
    Thanks.
    Regards
    Gorge
    Edited by: Paul Finneran on Oct 15, 2009 12:36 PM

    Dear Gorge, How do you arrived at the result? plz can u say me?
    Thanks,
    Shiva.

  • Tax Payment Wizard

    Hi,
    Please guide me on how to configure the Tax Payment Wizard.
    It gives me error in step 4.
    Thanks
    Sandeep.

    Hiii sharma
                   have a look at this
             http://help.sap.com/saphelp_sbo2005b/helpdata/en/3c/c6c7e3235a4f26831be774dce209a7/content.htm
                                                                                    regards RIYAZ

  • Tax Payment Wizard-VAT Payment error

    Hi friends,
    I am trying to do VAT payment using Tax Payment Wizard.System calculates and displays VAT Payable amt,Credit Amt and Payment amt.Then I enter the Direct Payment amt in the Payment means.Then I click 'Next' button.In Step 6 of Tax Pmt Wizard ,General Parameters window opens.Here after filling all the parameters when I click on Next button ,system shows following error message -
    In "Value" field, enter number greater than 0 [Outgoing Payments - Accounts - Paid][line: 2]  [Message 131-22]
    What is the reason? Your expert advice will be a great help.Please reply.
    Thanks & Regards
    Sudhir Jadhav

    Hi Sudhir,
    What is your B1 version & PL? There is known bug in certain versions.
    Thanks,
    Gordon

  • New Access Sequence for Tax based on material Group

    Hello All,
    Our requirement is that we tax our employees on apparel only if the value is greater than $50.00.
    To achieve this, we created a new tax condition table (953 which is copied from 053) and assigned it to access 09 in the access sequence ZTX1 (created w/ref from TAXJ). We added material group (MATKL) to the condition table and selected exclusion indicator for the access.
    We created the condition record in FV11.
    When we created the sales order, the new access sequence (09) is not being accessed. It gives a message "Access not made (initialized field)" Message 102(VE).
    Please advise if we are missing something.
    Thanks,
    Leela

    Hi Leela,
    Are you creating sales order in the same system like
    You have created table in Development system in same system your are creating sales order
    If you are creating here you just go to V/07 transaction then slect your access sequence go in to the tables detail screen here you select your table 953 then click on fields here you check all the fields are available correctly or not then save the changes.
    Now try
    or
    You transported these confugaration to other system like Quality or Production here and you are creating the sales order,
    If you are creating here you need to create condition table again then try.
    I hope it will help you,
    Regards,
    Murali.

  • Location Configuration for Tax Types VAT, Excise

    Hi,
    Our Client has manufacturing plants, Depot Sales  in different states and even more than one plant in a State with different excise registrations.
    Some of the products are excisable and some are not.
    The requirement is Vat payble is to calculated State wise (for all the Depot in the State) and Cenvat is calculated for each Division (for each excise registration)
    For Vat purpose if i configure Location as State and wareshouse as Depot, i am able to generate the tax payment wizard, XL Reporter like purchase register and sales register by using location as state
    But for CENVAT if  location is selected as  state only one division report (as only one ECC no. can be linked to location) can be generated, but our client has plants with different ECC nos. in the same state.
    Alternatively,
    If i create seperate location for each ECC no.,  i am not able to generate the Vat report state wise.
    How to configure the Locations ?
    Please suggest.
    Thanks,
    Kumar.

    Dear M K kumar,
    As per your requirement you only run  Tax wizard by location.
    For VAT you have not an issue.
    but for excise payment not possible.
    So for that if you  you have two ECC No. in one state  so create two location Like Maharastra1 & Maharastra2
    and check accordingly.
    Regards
    MANGESH PAGDHARE.

  • Payment Wizard was not executed   [Message 3657-5]

    Using SAP 8.82 PL6.
    I am trying to do a Payment Wizard for a company but when I run my wizard for all vendors or even for only 1 vendor, it fails with error message in subject line.
    I already followed all steps of SAP Note 725786 - Definitions necessary for the payment wizard, so please don't send me that again or the related thread.
    The only difference is that when the A/P invoice and A/P credit memos were created for say the single vendor ABC, the PeyMethod field was blank and before the payment run, these fields were populated with 'Outgoing check' payment method. Then the payment wizard was run, every step was okay except last step gave the error in subject line.
    In Step 8 of 8 if I click non-included transactions, I get the message "In "Posting Date" field, enter posting date that is equal to or earlier than system date (Line 1)" but this message does not appear in the step 6 of 8 when I click non-included transactions in that step!!!
    My posting date in invoice and credit memo is Mar 31, 2014, and system date is Apr 12, 2014.
    I am able to create individual vendor Outgoing Payment transactions manually but not through the wizard. There are 300 vendors so I would like the wizard to work.
    > The House bank is properly defined in setup as well in the vendor.
    > The Vendor Payment Run tab was populated after the invoice and credit memos were created
    > The Payment Method fields in invoice and credit memos were populated after these transactions were crested since they were blank
    > The Business Partner Bank in 'Payment Terms' tab was blank since it is not an EFT/ACH transaction. These fields were also filled with a dummy bank but got the same error.
    > Again, I am able to create a manual Outgoing transaction for each vendor one-by-one but the Wizard gives above errors.
    Any ideas?
    Thanks,
    Ajay Audich

    Hi,
    I was able to run the Payment Wizard. It was a simple fix really.
    In Administration > System Initialization > Document Settings > General Tab > the box "Allow Future Posting Date" was unchecked > After checking it off, the Payment Wizard worked fine without the above error.
    The manual Outgoing Payment that worked, after checking now, had a posting date defaulted to Apr 12, 2014 hence it worked manually but failed in the wizard!
    Hope this helps someone else with a similar problem in future.
    Cheers,
    Ajay

  • Outgoing payment with Payment Wizard with Bank Transfer

    Hello to everyone !!!
    I'm Configuring a Company who want to use the 'Payment Wizard' to make Outgoing Bank Transfers payments with it.
    I did the configuration in 'Payment Methods' of Outgoing Bank Transfers, where I chose a File Format from the list (Even I don't know which one should I choose) and I also chose de 'House bank', bank and account where the Outgoing Bank Transfers will come.
    At the time when I did the payment wizard it suggest me to make an outgoing payment of my due A/P invoice very well. The problem is in the next step (STEP 7) when i run the execution and in STEP 8 it says:
    0 Payments were added
    0 Bank transfers were added
    So, It did not make any bank transfer Transaction!!!! =S
    Someone knows what i'm missing from the configuration???
    Someone knows if this is a bug??
    Thanks for your Help!!!!

    Hi Karina,
    please see the info from SAP Note 725786. The note is currently being updated with the new information relating to system behaviour in version 2007  & should be released again shortly:
    In order for the payment wizard and subsequently the payment engine to
    work properly, SAP Business One must be defined correctly as follows:
    1. Define the House Bank:
    a) Administration -> Setup -> Banking -> House Bank Accounts - Setup.
    b) Choose the Bank Code, Country and Account Number.
    c) If the business partner bank is a postoffice bank, tick the Post Office box.
    d) Update the window.
    e) Enter into the House Bank Account Setup winod again and enter the Branch and the account number of the corresponding G/L Account.
    f) Update the window.
    2. Define Business Partner bank:
    a) Administration -> Setup -> Banking -> Banks.
    b) Choose the Country Code, Bank Code and Bank Name, if necessary Swift number.
    c) If the business partner bank is a postoffice bank, tick the Post Office box.
    d) Update the window.
    3. Define Payment Methods:
    a) Administration -> Setup -> Banking -> Payment Methods.
    b) Enter the Payment Method Code, Description and the Transaction Type.
    c) Select the Payment Type and the Payment Means.
    d) In "File Format" choose the correct plug-in for the transaction (refer to the Payment Engine Online Help for the correct plug-in for the transaction you have defined).
    e) Select your House Bank for this particular payment method.
    f) Select the validation options and remember to tick Post Office Bank, if the bank is a Post Office Bank.
    g) If the outgoing payment is by cheque, restrictions can also be defined here.
    h) Add or update the window.
    4. Set up a Business Partner for the payment wizard:
    a) Business Partner -> Business Partner Master Data.
    b) Under the "Payment Terms" tab, enter the bank country.
    c) Enter the account number and the branch, update to return to Business Partner Master Data.
    d) Under the Tab "Payment system" tab, tick the desired Payment Method to include it in a payment run.
    e) Under the Tab "Payment system", select the house bank that was defined for the desired payment method used for transactions with this business partner.
    f) Update the window.
    5. Generate invoices for this business partner.
    6. Define the standards for the payment run:
    a) Banking -> Payment System -> Define Payment Run Defaults (In 2007 A version the path is: Administration -> Setup -> Banking -> Payment Run Defaults).
    b) Define tolerance days, cash discounts etc as needed.
    c) Define minimum and  maximum payments if necessary.
    d) Tick the box beside "Payment Methods".
    e) Click on the radiobutton beside "Payment Methods" and select the payment method(s) to be executed in this payment run by putting a tick in the tick box.
    f) Update the window.
    7. Open the Payment Wizard (Banking -> Payment System -> Payment Wizard).
    a) Select a new payment run - Step 1.
    b) Click on "Next" and define the Payment Run Name and the Posting Date, the payment type and the payment means - Step 2.
    c) Click on "Next" and select the business partners to be included in this payment run, make sure that the tick box for the relevant Business Partner Name is ticked - Step 3.
    d) Click on "Next" and define the document parameters - Step 4.
    e) Click on "Next" and select the payment method this payment run is applied to by ticking the box to the left of the payment method code - Step 5.
    f) Click on "Next" and tick the payment number for the business partner to be included, individual invoices can be selected by clicking on the "Expand All" button and either selected or deselected. This also applies to Credit Memos (and to manual Journal ENtries in 2007 A). Click on "Non-included Trans." to identify any troublesome transactions - Step 6.
    g) Select to either "Save the selection criteria", or "Mark as recommended" to process at a later point in time or select to "Execute" immediately - Step 7.
    h) In Step 8, you are given the Payments Run Summary.
    i) If you selected to execute the payment run, in Step 9 the Document and Report Printing options will be displayed. To generate the bankfile and any associated documents relevant to your localisation, click on the radiobutton "Bankfile".
    j) A "Browse for Folder" window will pop up where the destination directory of the output files must be selected. Once a folder was selected and "OK" was clicked, the payment engine will take the data out of Business One and create the defined files.
    k) Once the procedure has completed, an information system message will be displayed: Payment Engine run was successful"
    8. Go to the destination folder and check the logfile and the bank file(s).
    All the best,
    kerstin

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