Service po-invoicing Posting key-WRX

Hi i have a problem......when i post the service po for invoicing through MIRO. the system isthrowing an error that posting WRX for co cd.... is not possible.
i would like to know that WRX is GR/GI posting but service po is nothing to do with GR
kindly let me know where i have missed the point.
Note: i was working in development client for testing & could do the posting of invoices without any problems......pls  HELP
Regards
Bheemasimha
09900163939

hi,
GOTO OBYC  WRX is gr/ir clearing double click on that and for the valuation class assign the GL gr/ir clearing account ....
then ur problem will be solved...
if useful assign points...
regards,
santosh kumar

Similar Messages

  • Service PO Invoice posting through BAPI

    Hi Gurus,
    Please help me to resolve the issue explained below:
    We are using a third party tool for scanning incoming invoices from vendor.The scanned invoice details pass though SAP Interface and with the help of standard BAPI_INCOMINGINVOICE_CREATE in SAP ECC, invoices are automatically posted.
    Till now , we only had material/Goods PO invoices which use to get posted with quantity blocks before GR done.In future,SAP PM
    module will be implemented and service PO invoices will also be posted using this process.We have following issues for posting
    of invoices for service items:
    1.For service PO Invoice to get posted though BAPI, service entry number is mandatory without which system does not allow to post the invoices that is we can not have quantity blocked invoices if services have not been entered for service items.Even invoices can not be parked without service entry sheet no. for service items using BAPI.Please advise how this scenario can be handled.
    2.Second scenario is that if a particular service line has multiple service entry sheet numbers then which service entry sheet number should system use to post the invoice?
    Kindly advise.
    Thanks & Regards,
    Niti

    Dear Vipin,
    May I assume the following scenario. When you post an invoice manually and there's a small difference between the vendor amount and the total of the suggested amounts on items (plus VAT), you just adjust one of the items or enter unplanned delivery costs and this way avoid the disbalance.
    However, when you post the invoice automatically through BAPI, no such adjustment is made and the system tries to post the difference to the account defined behind the account key DIF. For this posting the system shall assign a tax code. One way to define this code is to assign the default tax codes in IMG for IV -> Incoming Invoice -> Maintain Default Values for Tax Codes.
    Or just make sure you define all the item amounts explicitly in the BAPI and there's no disbalance.
    BR
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  • Service PO with Freight/ Insurance Condition- Invoice posting

    Hi,
    I'm using ECC6.0 version. I'm getting one problem in External Services Procurement.
    Issue is:
    1. Created a Service PO. Item Detail level, maintaines 1 text service with 10 Qty @ 50 INR.
    2. In PO item Conditions tab, maintained Insurance condition (which is created by copying Frt. Condition FRB1) with say Rs. 100/-. Actually this should be levied on the overall item level at item overview Qty (i.e. 1 AU).
    3. I made Service Entry, Acceptance.3.
    At the time of Invoice posting, when I choose Goods/Services+ Plannd Del. costs, system proposing 5,000 ( 10 qty x 100 inr), instead of showing 100 inr. i.e. system proposing sub item qty times insurance.
    Is there any setting to control this price?
    Regards,
    Kanth

    Hi Sujit,
    We can't maintain it as Header Condition because for service PO just like other POs, some times we may maintain more than 1 item which covers different Rates.
    Please check my scenario
    Has anybody got similar problem?

  • Service entry sheet - invoice posted on SES

    Dear all,
    Does anybody knows if it is possible to see on Service entry sheet (SES) level if there was already an invoice (via MIRO) posted on it?
    Either a full or partial invoice?
    I have the tables ESSR, ESLL, ESLH, but I can't seem to find if there was already an invoice posted on a specific SES...
    Many thanks!
    Best regards.

    Venu,
    Thanks!
    Do you have any idea in which tables I can retrieve these values (Settled value/Invoiced qty)?
    Table: ESSR = Service Entry sheet header (contains Package number & SES no)
    Table: ESLL = Service entry line item, but not settled value (contains Package no, not SES no).
    What is the indicator (green, yellow or red light) next to the Settled value in the ME2S report?
    Many thanks!
    Best regards.

  • Posting Key for Sales Invoice

    Hi,
    I have a problm in creation of Sales Invoice
    While creating Sales Invoice instead of Customer A/c getting debit & Sales Revenue getting credit the Sales Revenue Account is getting Debited & also getting credited. In accounting document the posting key are 40 Sales Revenue & 50 Sales Revenue instead of 01 for Customer & 50 for Sales Revenue.
    Can I know where exactly I am wrong & where are the settingsd for posting key for Sales Invoice.
    Thanks in advance.
    Regards
    Bala

    look at  t code VKOA.
    This is where the account determination is calculated from, if you are creating the document from SD.
    Make sure there is only a single entry against the item you expect to see.
    Award points if useful.

  • FB01 Enter Trading Partner for Posting Key 01 (Customer Invoice)

    Dear Experts,
    I would like to ask is it possible to enter the Trading Partner for the FI Document line item with Posting Key 01.
    I can modify the Trading Partner for Posting Key 40 and 50 but I cannot find field in the More Data Button.
    Can anyone help me to solve this issue?
    Thanks.

    hi,
    Check whether the document type you are using to post is allowed to enter the trading partner.
    To check use the TCODe OBA7  and select the relevent document type. then select the check box enter trading partner under control data.
    and also check the customer you assigned for that posting key 01 is got assigned trading partner in the master record or not(TCOD XD02/XD03).
    thanks.

  • Unable to Change Withholding Tax Base Amount while creating Service AP Invoice through DI API?

    Dear All,
    I am trying to create Service AP Invoice through DI API.
    If I post the document without changing SAPPurchaseInvoice.WithholdingTaxData.TaxableAmount the dount ocument is created in SAP without any problem.
    But if I change amount in above field then DI API throws error Unbalanced Transaction.
    If I post same document in SAP with changed base amount it got posted in SAP without any Issue.
    Where I am doing wrong?
    please guide.
    Using:
    SAP B1 version 9 Patch Level 11
    Location : India.
    Thanks.

    Hi ,
    maybe you can find solution to these note 1812344
    1846344  - Overview Note for SAP Business One 8.82 PL12
    Symptom
    This SAP Note contains collective information related to upgrades to SAP Business One 8.82 Patch Level 12 (B1 8.82 PL12) from previous SAP Business One releases.
    In order to receive information about delivered patches via email or RSS, please use the upper right subscription options on http://service.sap.com/~sapidp/011000358700001458732008E
    Solution
    Patch installation options:
    SAP Business One 8.82 PL12 can be installed directly on previous patches of SAP Business One 8.82
    You can upgrade your SAP Business One to 8.82PL12 from all patches of the following versions:8.81; 8.8; 2007 A SP01; 2007 A SP00; 2007 B SP00; 2005 A SP01; 2005 B
    Patch content:
    SAP Business One 8.82 PL12 includes all corrections from previous patches for releases 8.82, 8.81, 8.8, 2007, and 2005.
    For details about the contained corrections, please see the SAP Notes listed in the References section.
    Notes: SAP Business One 8.82 PL12 contains B1if version 1.17.5
    Patch download:
    Open http://service.sap.com/sbo-swcenter -> SAP Business One Products -> Updates -> SAP Business One 8.8 -> SAP BUSINESS ONE 8.82 -> Comprised Software Component Versions -> SAP BUSINESS ONE 8.82 -> Win32 -> Downloads tab
    Header Data
    Released On
    02.05.2013 02:34:18  
    Release Status
    Released for Customer  
    Component
    SBO-BC-UPG Upgrade  
    Priority
      Recommendations/additional info  
    Category
      Upgrade information  
    References
    This document refers to:
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  • Posting keys - G/L Accounts

    Hello guys
    I would require some info on:
    Which are the posting keys (G/L's)that will hit on completion of the below given Processes
    1. Subcontracting
    2. Consignment
    3. STO Inter company
    4. STO Intra company
    5. Third party Purchase
    6. Standard Procurement
    7. Service entry sheet
    and any other proceeses left out.
    It would be really helpful if someone can throw some light on this.
    Regards
    Babu
    Edited by: Suresh on Jun 22, 2010 5:29 PM

    Dear,
    Posting key control the line item in a document sreen.
    and also it control the A) A/c Type (A-assets, D-customer,
    K-vendor and S-GL), B) Transaction Type  and
    C) Nature of Transactions (debit/credit). Go to tcode OB41  you are able to understand.
    every PK have field status group that  controls the document line item.
    For Example:
    PK 70 for Debit asset (because debit assets you can say it may be aquisition there differrent field have to maintain)
    PK 31 credit vendor for invoice
    PK 15 credit customer for payment
    PK 40 debit GL
    every posting key has differrent purpose.
    A FICO consultant can identify the document from posting key itself
    Customer (01 to 19)
    Vendor (21-39)
    GL (40&50)
    Asset (70&75)
    Assign points if you find worthfull........thanks in advance.
    regards,
    Madhuri
    Edited by: madhuri panda on May 22, 2008 1:32 PM
    Edited by: madhuri panda on May 22, 2008 1:33 PM

  • Relation Between Dummy Profit Center and Posting Keys.

    Hello Gurus,
    It will be a valuable feed back for below mentioned Scenario.
    One of our client is on SAP Version 4.7 and New GL is not activated. In COCD one Customer Invoice entry is booked as below.
    PK     Account           Amount      Profit Center
    01     SURXXX1            100.00         ABCD
    50     REVENUE A/c      50.00         ABCD
    50     ENT TAX               20.00         ABCD
    50     SERVICE TAX       30.00         ABCD
    After running t codes 1KEK, F.5D, and KE5T for customer line item system picks same profit center as mentioned in other line items i.e ABCD.
    But when we reverse the above document system picks DUMMY Profit center instead of ABCD. 
    PK     Account           Amount      Profit Center
    12     SURXXX1            100.00         DUMMY
    40     REVENUE A/c      50.00         ABCD
    40     ENT TAX               20.00         ABCD
    40     SERVICE TAX       30.00         ABCD
    Basically we have checked field status variant for Posting Key 01 and 12 in which Profit Center field is Required and field status for profit center for reconciliation account is also required. This is unusual behavior which we are facing right now.
    Regards,
    Ajinkya Ahire 

    Profit Center :
    A profit center is a management-oriented organizational unit used for internal controlling purposes. Dividing your company up into profit centers allows you to analyze areas of responsibility and to delegate responsibility to decentralized units, thus treating them as "companies within the company". EC-PCA lets you set up your profit centers according to product (product lines, divisions), geographical areas (regions, offices or production sites) or function (production, sales).
    Profit Center Accounting (PCA) allows you to calculate internal measurements of profitability. This internal view of profitability, then, reflects the success of a given profit center at meeting the profitability goal for which it was given responsibility.
    Cost Center :
    The cost center is an organizational unit in a controlling area. Cost centers can be defined according to several different design approaches. A typical approach could be for an enterprise to define a cost center for each low-level organizational unit that has responsibility for managing costs. As costs are incurred, they are assigned or posted to the appropriate cost center. These costs could include payroll costs, rent and utility costs, or any other costs assignable to a given cost center.
    Each cost center is assigned to a category, e.g. Administration cost center, production cost center, etc. Each cost center master record has a field for the name of the person responsible for the cost center.
    For detailed information go thru the below article
    https://wiki.sdn.sap.com/wiki/display/ERPFI/BasicConceptsof+Controlling
    Hope this helps.
    Cheers,
    Srinath.

  • Query relating to posting key

    hii all
    i am new in sap. I have a very basic question. my  question is when we post any transaction, how the system determine the posting key determine automatically?
    Suppose I am posting a customer invoice  through f-22. where system autumatically determine posting key 01 for invoice. my question is, in posting key 01(Invoice) debit indicator is set for the customer account type. where posting key 02 (reverse credit memo) is also belongs the same nature as posting key 01.
    My question is how the system determine the posting key 01 by default at the time of invoice creation. why not posting key 02 ? please eleborate
    Moderator: Unfortunately, basic questions are not allowed on this forum. Search before posting

    Try using  -RestrictToSingleComputer parameter when creating service account with New-ADServiceAccount.
    Gleb.
    Hi Gleb
    Thank you for your help, it is appreciated.  That did the trick.
    All the best.

  • Posting keys

    Hi,
    Iam asking for posting keys (40 and 50). How are there posting keys determined for GL account determined from VKOA.
    1 )I need to know if the system determines GL account xyz. how the system knows that xyz nneds to be debited through posting key 40 or xyz needs to be credited through posting key 50.
    can you pls tell me the config path for the posting keys and the integration with account determination.
    2) Is the debit(40) and credit (50) also dependent on the type of document. That is if we make an invoice , the system debits GL account xyz through 40 posting key as an example and if we make a credit note with ref to invoice  and use the same GL account xyz, the system uses the account key 50 and credits the gl account xyz. Is this the inerchange of posting key is done automatically or any config is required from FI side ?
    regds

    Hi,
    Check Transaction OBYC for MM side.
    Here  in this transaction a  for a particular transcation type : chart of account and account determination is assigned.
    if you check after chart of account the posting keys are also assgined.
    and enteries are made on valuation area and valuation class,
    Valuation class is assigned in Material master.
    Sales :
    ->Chart of accounts
    -> Sales organization
    ->Account assignment group for payer
    (This allows you to divide customers into different groups, such as domestic
    and overseas customers.)
    -> Account assignment group for material
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    and retail goods.)
    -> Account key
    (Account keys are assigned to condition types in the pricing procedures, so
    that conditions, such as freight conditions, can be posted to special freight
    revenue accounts.)
    You must ensure that the configurations you make for account determination
    match the configurations in FI and CO.
    Account determination is carried out using the condition technique.
    Depending upon the billing type, an account determination procedure is assigned
    for G/L accounts.
    This determination procedure contains one or more condition types to which an
    access sequence is assigned.
    This access sequence is composed of individual accesses in the form of condition
    tables.
    The condition tables contain the fields and field combinations upon which revenue
    account determination depends.
    The key fields are filled with document data, so that the system can search for a
    corresponding G/L account for the relevant combination.
    If an access determines a G/L account, then it is set in the accounting document
    and the search is terminated.
    I hope this will help.
    Regards,
    Nisha

  • Wrong Vendor Invoice Posting Due To Wrong Excise Tax Code

    Hi:
    We have created a Purchase Order as per below:
    Qty     10
    Price     100
    Value     1000
    Excsie 10%     0
    Cess     0
    SECess     0
    Value+Excise     1000
    VAT 5%     50
    ValueExciseVAT     1050
    (Please note that the PO was to be created in the following fashion as the Material was excisable)
    Qty     10
    Price     100
    Value     1000
    Excsie 10%     100
    Cess     2
    SECess     1
    Value+Excise     1103
    VAT 5%     55.15
    ValueExciseVAT     1158.15
    We did the Goods Receipt and the FI Document is as follows:
    24340000     Paper Stock     BSX     1,000.00
    13110100     GR/IR-ext proc     WRX     1,000.00-
    We did the Vendor Invoice Posting as follows:
    100183     SIEGWERK INDIA PVT LTD (SICPA)     KBS     1,050.00-
    13110100     GR/IR-ext proc     WRX     1,000.00
    24638100     VAT Recoverable     JP5     50.00
    The Material was issued to Cost Centre
    Later at the time of Excise Invoice posting, we came to know that the Tax Code in the Purchase Order was wrong. Here in our case, we have created separate Tax Code based on Excise Percentage. For example, V1 for VAT 5%, E1 for VAT %+Excise 10.3%.
    To post the excise invoice, we changed the Tax Code in the Purchase Order and did the Excise Posting as follows:
    24820020     CENVAT Inp SHEcess     1.00
    24820000     CENVAT Inp BED     100.00
    24820010     CENVAT InpEcess     2.00
    13113920     CENVAT clearing     103.00-
    My Question:
    a. Is this the correct way?
    b. What about the following FI Entries which got generated when we do the MIRO with actual Tax Code:
    100183     SIEGWERK INDIA PVT LTD (SICPA)     KBS     1,158.15-
    13110100     GR/IR-ext proc     WRX     1,000.00
    13113920     CENVAT clearing     JI1     100.00
    13113920     CENVAT clearing     VS9     2.00
    13113920     CENVAT clearing     JI6     1.00
    24638100     VAT Recoverable     JP5     55.15
    Please guide.
    Regards,

    Thanks Sanjoo for the reply.
    Here my worry is the all the postings have been made in SAP in Production Client.
    The User has already done the postings for MIRO & J1IEX without informing to us, and the volume of transactions is huge.
    We are in the back-log mode and at this stage, we can't go for any reversal . I am Just exploring the alternatives.
    Our MM & FI Users are little bit smart, when ever they do some mistake, they simply say "we will pass a JV" and we are not able to educate them that the JV is not a Solution. Please guide.
    Regards,
    PK

  • Outbound delivery date in June and customer invoice post in July,tax rate?

    Hi Experts
    tax rate (June)=22%
    tax rate (july)=24%
    issue is Outbound delivery date in June and customer invoice post in July,so sytem taking tax rate =24% instead of 22%.Because outbound delivery is happened in June.
    Please let me know that,
    1)how system picking tax rate on base like billing date or service render date or ...?
    2)how to take tax rate (june)=22% in July posting.
    regards
    sachin

    Tax Rate is picked based on the pricing date.
    You need to check with your SD collegue to configure the pricing date to be equal to outbound delivery date to pick the outbound delivery date based tax rates.
    Regards,
    Gaurav

  • Reversing A/P Invoice posted with wrong date and inventory cost adjustment

    Here's the situation:
    We had a PO dated 9/1/09 for items with a cost of $14.50, a Goods Receipt was entered 9/15/09 for the items with the same cost on the PO of $14.50.  Somehow the order got lost in the mix and the AP invoice wasn't entered until today, with a posting date of 1/21/10 and the cost was corrected per the original vendor invoice to the right amount of $19.33.  The invoice was actually dated 9/15/09.  This resulted in hitting the vendor, purchases clearing and the inventory account (for the cost adjustment) in January 2010 when it should have occurred in September 2009.
    The inventory itself has come and gone in the time between the GR and when the invoice was done with the incorrect date.  Normally I would try to reverse the transaction with a Credit Memo and start over, however since the inventory side happened so long ago, I don't see any way of easily going backwards.  I thought about doing service CM/invoice but what I am most concerned about is having the inventory valuation occur properly at the correct time.  I'm not sure how to go about this.
    Using SAP B1 2007A PL42 with moving average inventory.
    Any thoughts would be appreciated.

    Nicole,
    I am afraid you may not have ability to do the adjustment based on historical date that long times ago.  You know, the moving average has limited calculation based on current quantity and cost.  There are no options to go backward especially new year is coming.
    Thanks,
    Gordon

  • How posting key is taken up when we generate accounting document

    hi ,
    i am trying to bill a customer using billing type RE which is credit for returns. but when i generate posting document instead of crediting the customer account its getting debited  ie) it is taking up the posting key 01 instead of 11 .
    how this posting key is determined when we generate accounting documnet .
    if u have any questiin or clarification kindly ask me.
    thanks

    hi,
    start with checking OBXW, here you check the customer item outgoing invoice, where you will find posting keys assigned for debit and credit. Might be its configured wrongly here.
    Second, Check T.code OB40 this is where we tell what type of accounts are affected with this posing key and is the effect a debit or credit. You have radio buttons for it.
    But remember these are all standard SAP config settings and i guess there would really be a need to change them here if not while practising.... Make the settings as required and do consult an FI guy on this.
    regards
    sadhu kishore

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