TOA01 Entries -  Invoice Receipt vs. Goods Receipt

Using transaction MIR4 - I bring up an invoice receipt. I go to GOS and create an store business document attachment.  Based on our config, SAP creates an entry into table TOA01 for BUS2081. For the follow-on accounting document SAP automatically creates the same attachment, but does not create an entry in TOA01 for BKPF.
For Goods receipt - I go to MB03 and create the same business document attachment using GOS. Entry for BUS2017 (based on config) is created in TOA01, but the attachment is not automatically created for the accounting document.  I create this manually and entry is made in TOA01 for BKPF. 
What is the invoice procedure doing that the goods receipt procedure is not doing?  Is the accounting document for the invoice receipt linked somewhere else besides TOA01 or does it somehow know to look at the BUS2081 entry in TOA01?  Can goods receipt also behave the same way - that is not create another entry in TOA01 (the BKPF entry), but look at the BUS2017 entry?

Just to follow up on the question :  Can anyone tell me if the reason MIR4 stored business document also shows on the follow-on FB03 document is because it is related to some kind of config or GOS just knows that the documents are related by looking at the AWKEY etc...
I'm trying to mirror MB03 and FB03 the same way.  Want to create a stored business document on MB03 and have FB03 contain the same business document attachment, without creating a BKPF entry into table TOA01.
Justing trying to fiure out if something is missing in config or if we will have to change SAP code, etc..
Thanks for anything you might can offer.

Similar Messages

  • Quantity invoiced greater than goods receipt quantity

    Hi guru's
                   I am getting an error " Quantity invoiced greater than goods receipt quantity" while posting invoice in MIRO for excise duty clearing for Import PO.
    Actually Total Quantity is 9900 kg. Out of which for 3300 kg, Excise duty is cleared, GRN done, Invoice posted.
    But when i try to post Excise duty for the next 3300 kg's, this error is coming for line items 3 & 6.
    please help me.

    Hi , thanks for u reply.
    GR based invoice verification is not checked for the PO
    Yes this a import PO of india involving excise and we are you posting the excise as delivery costs.
    First we posted the customs duty invoice (MIRO) for 3300 qty and posted the GRN (MIGO) and also the Vendor invoice for the 3300 qty (MIRO)
    Now we are trying to post the customs duty for the second lot of 3300 qty in MIRO. The entry is a below.
            Amount          quantity                                Condition type          
    1     1,949.00  -     3,300       KG  -        Sec ECESS on CVD        (J1CV)      
    2     86,400.00  -     3,300     KG  -     Add. Customs duty      ( JADC)
    3     135,986.00  -     3,300     KG  -     IN Basic customs       ( JCDB)
    4     194,913.00  -     3,300     KG  -     IN CVD                  (JCV1)
    5     3,898.00   -     3,300     KG  -     Educational Cess On     (JEDB)
    6     3,367.00      -     3,300     KG  -     Customs Edu. Cess       (JECV)
    7     6,734.00  -     3,300     KG  -     SECess Customs Duty     (JSDB)
    Now i am getting the error for Line items 3, 6 & 7.
    regards
    satish

  • Postings for Invoice Reversal Without Goods Receipt

    Dear all,
    I have 2 invoices ( material with moving price) without goods receipt.
    Invoice 1
    The invoice is posted before the goods receipt, therefore the posting to the GR/IR clearing account is based on the invoice price.
    Invoice quantity * invoice price = 10 pieces * $10/pc = $100
    The offsetting entry is posted to the vendor account.
    Accounting document is below:
    Credit vendor account: 100
    Debit GRIR          : 100
    Invoice 2
    The GR/IR clearing account is cleared on the basis of the invoice price.
    Invoice quantity * invoice price = 10 pieces * $20/pc = $200
    The offsetting entry is posted to the vendor account.
    Accounting document is below:
    Credit vendor account: 200
    Debit GRIR          : 200
    Reversal of Invoice 2
    The invoice quantity is greater than the goods receipt quantity. The credit memo quantity is covered by the quantity of the invoice surplus. The GR/IR clearing account is posted as follows:
    GRIR= quantity of invoice 2  * [((Clearing value u2013 goods receipt value) : (invoice quantity of invoice 2 u2013 goods receipt quantity))] = 10 * [( (300-0) : (20-0))] = 150
    The credit memo amount is posted to the vendor account. The credit memo amount is different to the posting on the GR/IR clearing account, so the difference is posted to the price difference account.
    Accounting document is below:
    Debit vendor account: 200
    Credit GRIR          : 150
    Credit price difference: 50
    Those are sap standard BUT my customer want that when I revert the invoice 2 the GR/IR clearing account will not be recalculated. So accounting document should be below:
    Debit vendor account: 200
    Credit GRIR          : 200
    How Can I do that?????? Please help me, thanks!!!!!!!!!!!!!!!!!!!!!!
    Edited by: Kieu Thi Luong on Jul 19, 2011 12:45 PM
    Edited by: Kieu Thi Luong on Jul 19, 2011 12:46 PM
    Edited by: Kieu Thi Luong on Jul 19, 2011 12:47 PM

    Since the material is valuated at moving average price, the invoice reversal will happen at the moving average price only which $15/pc in your case. Inform your customer his/her requirement can be achieved only if we move to material valuation at Standard price and that too if the invoice posting & reversal happen when the standard price of the material remains same.

  • Intercompany Invoice Based on Goods Receipt

    Hello,
    I am running the following intercompany scenario : Purchase order - replenishment delivery - internal billing document.
    - Ordering organization : Cpy A / Sales org A / Plant A
    - Supplying organization : Cpy B / Sales org B / Plant B
    Standard SAP issues an invoice based on the goods issue, which makes perfect sense.  My client's requirement is to trigger the intercompany invoice from the goods receipt at Plant A.

    Hi
    Please check the VTFL Copy control settings.In VTFL check  Data VBRK/VBRP routine feild.For your requirement you may have to change the subroutine
    If standard subroutines are not meeting your requirement,you may have to add new logic to the subroutine with the help of your ABAP team.
    Regards
    Srinath

  • Configuration change from MM invoice receipt to MM goods receipt

    Dear sapient
    At present i have configured
    Spro-
    Public Sector Management-Funds Management Government-Actual and Commitment Update/Integration-General Settings-Make Other Settings
    MM invoice receipt
    Now as per our client requirement i have to change the configuration from MM invoice receipt to MM goods receipt.
    will it create any problem if i will configure  and move it to production client.
    Presently budget control available during the time of PR,PO & MIRO now as per client budget control should be on PR,PO & MIGO not in MIRO.
    ECC EHP6 version
    Using BCS & Payment budget.
    Thanks & regards
    Soraj

    Hi,
    My question was whether you follow your budget up to payment itself, i.e. is it important for you to know budgetary-wise if the invoice was paid. In FM these values will be registered with '57' value type. If the answer is positive, then you cannot base your FM update only on GR: it has to be IR or IR/GR. Otherwise, you can base your FM update on GR.
    Your second point is not clear: what do you mean by making 'payment to commitment budget'?
    Regards,
    Eli

  • 2LIS_02_SCL / Getting both Posting dates of goods receipt & invoice receipt at the same time

    Hi,
    I have created a DSO based on the schedule lines standard extractor 2LIS_02_SCL.
    The keys of this DSO are PO Number, PO Item and Schedule Line number.
    I have succeed to get some key figures like PO Quantity, GR Quantity and Invoice Receipt Quantity according to the Process Key value.
    Furthermore, I'd like to get too the goods receipt date (Process Key = 02,12,22).
    In order to do that I wrote a small routine in the transformation rule for my target field which fill it only if the process key is 02, 12 or 22.
    The problem is that it doesn't work well because of the invoice records in my source package...
    Indeed when there is an invoice in my PSA for a schedule line, my target field (GR date char) is empty (for these schedule lines, last record is Invoice Receipt type). So it means my transformation rule works but is overwritten by an blank value when there is a process key 03,13 or 23 (invoice Receipt type).
    Do you have a idea to solve my issue ?
    Thank you very much

    Hi.
    You have to write start or end routines for this scenario, not the field level routine since it gets overwrite with last record values....
    overall logic is:
    Collect GR date per PO Num, PO Item and PO SCH. Lin num..like you have internal table with PO number, PO Item and PO Sch line number and GR date. First you have to go through source_package or result_package and fill up that temporary internal table
    And than again go through source_package or result_package and READ that temporary table and fill GR date for all records of same PO sch. lines ..hope this resolves the issue.
    I would prefer end routine if you have posting date in DSO or target structure
    this is little bit complex, so you need ABAP skills....

  • System is allowing to do invoice verification before goods receipt.

    Dear Friends,
                         I need your help in following scenario, as my system is allowing to do invoice verification before goods receipt.
    To test these scenario.I have created one PO.  For this PO I done goods receipt. I done invoice verification by putting invoice date as past date, posting date system date means current date. I want to stop this as system is allowing invoicing verification to be done before goods receipt.
    Also, I tried after un-ticking GR based IV.
    Please suggest me the solution how to stop this. Please help this is urgent.
    With Best Regards,
    Rajesh

    Hi Rajesh,
    A)
    In goods-receipt-based (GR-based) invoice verification, the invoice relates not to the purchase order, but to individual deliveries. That is to say, the reference document for the invoice is not the PO but the delivery note or the goods receipt document.
    Whether you use this approach depends on your billing arrangement with the vendor. This method can be advantageous, for example, when you know the order will be fulfilled by means of many partial deliveries.
    Prerequisites
    Before you can use GR-based invoice verification, the following prerequisites must be satisfied:
    The indicator for GR-based invoice verification (GR-based IV) must be selected for the relevant item in the purchase order (item detail screen).
    <b>
    A goods receipt must occur before the invoice is entered in the system.</b>
    B) If you are carrying out invoice verification with reference to PO, system will not check for the GR. The entire PO amount can be posted.
    Hope this clarifies.
    Thanks,
    Viswanath

  • Problem with the Posting Date of Goods Receipt or Invoice Receipt for PO

    Hi All,
    I am working on 2LIS_02_SCL - Purchasing Data (Schedule Line Level),
    For our report, we should get the scheduled PO quantity,actual PO qty, Scheduled date and actual date in the report.
    we are getting all these fields from the above extractor...
    For a PO which is opened (Delivery Completion indicator not set) - we where getting all field as in ECC(ME23N)
    But for a PO which is finished(Delivery completion indicator is set) - we where are getting actual GR qty,planned qty,planned or scheduled date at schedule line level.But we are not getting the Posting Date of Goods Receipt or Invoice Receipt for PO from history EKBE for all the schedule line.
    ex:
    for open PO
    PO num         item num   schedule line    Planned date   actual date  difference  actual qty  planned qty  difference
    450002432   10                        1              01/10/2011    02/10/2011       1 day          100             100             0
                                                     2              02/10/2011    04/10/2011       2 days        200             400            200
                                                     3              03/10/2011    07/10/2011       4 days         300            300              0
    For the same PO when it is Finished or completed(Delivery completion indicator is set)
    PO num         item num   schedule line    Planned date   actual date  difference  actual qty  planned qty  difference
    450002432   10                        1              01/10/2011    07/10/2011       6 day          100             100             0
                                                     2              02/10/2011    07/10/2011       5 days        200             400            200
                                                                    03/10/2011    07/10/2011       4 days         300            300              0
    for all the schedule line its displaying the last posting date(i think its taking from EKKO table)
    Is there any possibility to get that posting date history ....

    You can have multiple receipts against a PO schedule line, but this extractor is not meant to go to that level of granularity.  Please try to use 2lis_02_sgr instead which provides goods receipts per PO schedule line.

  • 2lis_02_scl or 2lis_02_itm - goods receipt/invoice receipt number

    Hi Gurus,
    there is a field:
    BUDAT - Posting date of goods receipt/invoice receipt for purchase order;  Table: EKKO/EKBE
    in 2lis_02_scl and 2lis_02_itm Data Sources.
    As I can see, for every Purchase Order Item I get three records:
    - one record for the last Invoice Receipt (with Posting date of invoice receipt in BUDAT field) 
    - one record for the last Goods Receipt (with Posting date of goods receipt in BUDAT field)
    - one record for something else.
    Do I understand it well? What is the third record?
    I would to get Material Document Number, that is, Invoice Receipt Number for the first record and Goods Receipt number for the second one. How can I make it?
    Regards,
    Dorota

    you should be able to use Movement Type field to differentiate between Invoice or Good Reciept.
    Regards,
    Gaurav

  • When reporting "Spend" do you use PO Value, Invoice Amount or Goods Receipt

    When reporting "Spend" do you use PO Value, Invoice Amount or Goods Receipt? I am trying to standardize reporting and would like feedback on what is the norm. The users cannot agree so I need to know what the standard is.

    PO Value is what is budgeted for ,
    Invoice is what is actually being paid for.
    GR would give you the value of goods received. My take on this is that it should be Invoice value since this is what is reflected in the books and is actually being paid for...

  • MIRO Invoice Receipting Workflow Solution for unreceipted Goods / Services

    Hi
    We wish to improve the flow of Invoice Receipting (MIRO).
    Problem:
    Invoices are receipted centrally at head office
    Goods/Service Receipts are performed on location at site
    Some Invoices are received from the Vendor before site has goods/service receipted the item.
    Current configuration prevents invoice being entered when no goods receipt.
    Ideally, the sites would receipt on time, but as a solution we are considering two options. I would appreciate any thoughts on whether is possible as well as guidance on implementing a solution.
    OPTION A. - With Parking
    1. When Head Office cannot post invoice (due to unreceipted goods/service), user parks the invoice.
    2. This sends a workflow email to the site that invoice has been parked.
    3. Head Office attaches a scanned image of the invoice to the parked document, so the site can review.
    4. Site enters Goods/Service Receipt.
    5. Work flow is triggered back to head office that a goods receipt was performed against a PO that has a parked invoice
    6. Head Office posted parked invoice.
    OPTION B - Without Parking
    1. Configuration is changed so that Invoice Receipt can be performed when no goods/service receipt.
    2. Invoice is posted and blocked for payment.
    3. This sends a workflow email to the site that invoice has been blocked for payment.
    4. Head Office attaches a scanned image of the invoice to the parked document, so the site can review.
    5. Site enters Goods/Service Receipt.
    6. Work flow is triggered back to head office that a goods receipt was performed against a PO that has a blocked invoice.
    7. Head Office unblocks invoice.
    Many thanks
    Adrian

    Hi Adrian,
    Option B is very much feasible by developing the workflow for users.
    OPTION B - Without Parking
    1. Configuration is changed so that Invoice Receipt can be performed when no goods/service receipt.
    2. Invoice is posted and blocked for payment.
    3. This sends a workflow email to the site that invoice has been blocked for payment.
    4. Head Office attaches a scanned image of the invoice to the parked document, so the site can review.
    5. Site enters Goods/Service Receipt.
    6. Work flow is triggered back to head office that a goods receipt was performed against a PO that has a blocked invoice.
    7. Head Office unblocks invoice.
    IF GR based IV is removed, Invoice can be done before GR. Having a GR based IV tick in PO (Mandatory) would ensure IV is raised only after the quantity is delivered.
    I doubt if Scanning of invoice copy is possible in the MM system, but it would be feasible via Document Management in SAP.
    Alternatively, you can have Idoc based creation for Invoice based on GR quantity.

  • Good receipt - invoice receipt

    Hi gurus,
    Do you know if exist a table that contain the link good receipt document - invoice receipt document?
    If not, do you know the way to link this documents?
    Thanks in advance
    Regards

    Hi Raffaele,
    You will need to make an inner join on RSEG and MSEG tables with ref with EKPO to get your link between the GR doc. and the IR doc. with ref. to the PO.
    Regards
    Keshav

  • I want to have only display of Goods receipt and Invoice receipt indicator

    I want to have only display of Goods receipt and Invoice receipt indicator in Purchase Requisition for only category D. Is it possible.? Pls help.

    Hi balaji,
    we cannot change the setting of item category.
    in the customizing we maintain the links between the item category and account assignmnet category.
    these changes has to be done only in the account assignmnet category.
    by following this link
    IMG...>MM...>Purchasing...>Account Assignment...>Maintain Account Assignment Categories
    Hope it wud have answered ur question
    Reward if useful
    Aasif

  • LO DataSource for Goods receipt and Invoice receipt

    Hi all
    In LBWE, under Purchasing there are few DataSources available for Goods receipt and Invoice receipt. Is there any DataSource for both Goods receipt and Invoice receipt. What are the DataSources available for Goods receipt and Invoice receipt. Please clarify the difference.
    Thanks.
    Zak.

    Try to use the PROCESSKEY standard infoobject (BWVORG in R3/ECC) to discriminate the good receipt from the invoice one...
    An other option is create a custom generic data source with a view on EKBE table and use the EKBE-VGABE field to discrimate them.
    Regards.

  • Goods/invoice receipt clearing account

    Hi,
    We have open item of GL account 2010001(goods receipt/invoice receipt clearing) by FBL3N, PO:4700009743 have 0.13 outstanding which unable to be auto clear
    Check our PO history for  PO:4700009743 qty 50pc, under ME2N GR and IR is matching
    Qty in PO
    GR # 124 posting dt 27/4/10 41pc
    GR # 123 posting dt 9/4/10 9pc
    IR-L # 213 posting dt 25/10/11 -2pc
    IR-L # 214 posting dt 25/10/11 2pc
    IR-L # 211 posting dt 21/9/11 -2pc
    IR-L # 212 posting dt 21/9/11 2pc
    IR-L # 210 posting dt 23/12/10 -2pc
    IR-L # 209 posting dt 25/06/10 41pc
    IR-L # 208 posting dt 3/6/10 9pc
    IR-L # 207 posting dt 3/6/10 2pc
    Check at MIRO when we enter PO:4700009743, system showed  2 pc GR outstanding for invoice.
    How to clear the GL account. Pls. advise.
    Thanks in advance.

    Yes, since there is quantity difference, please use MR11 to perform the clearing if there is no expected LIV

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