Tolerance keys & Message No. configuration for invoice verification

Hi Consultants,
I need to configure the tolerance limits for scheduling agreements Which should prevent :
accounts payable from posting invoices beyond a scheduling agreements validity end date.
Accounts payable from posting invoices when the quantity invoiced is above the quantity ordered on the scheduling agreement.
for this cofiguration can some body help me what are all the tolerance keys should be maintained and what are all the message No. should be configured in warning for invoice verification.
with regards
GNK

Hi,
Go to OMR6 for the company code set the tolerance limit for the tolerance key
DQ -Quantity Variance
PP --Price Variance
ST- Date
G.Ganesh Kumar

Similar Messages

  • For invoice verification transicion key

    as for gr bsx key is related, so for invoice verification which key is related?

    Hi,
    In spro goto>Materials Mgmt>valuation and a/c assgnment>a/c determination>a/c det.without wizard>beside configure automatic posting click on the documetation
    you will find all the detail description of these keys
    BR
    Diwakar

  • What are the imp. settings to configure in invoice verification in SPRO

    dear all gurus,
    i want to know the what are the important setting must be configure in the invoice verification setting in SPRO customization.
    pls. send the detailed steps, if the screen shots available it would be highly appreciated.
    i need the urgent help on that.
    thnx in advnce to all.
    rgrds,
    rajesh

    Hi,
    The details Conf. for Invoice Verification are following:
    1. Define Document Type for Invoice
    SPRO-> Financial Accounting (New) -> Account Receivable and account Payable -> Business Transactions-> Incoming Invoices and Credit Memos-> Make and Check Document Settings
    -> Define Document Types
    or
    T.Code:OBA7
    2. Define Number Ranges for Invoice
    SPRO-> Material Management -> Logistic Invoice Verification -> Invoice Verification-> Number Assignment for Accounting Documents-> Number Range for Document Type in FI
    or
    T. Code: OMR4
    3. Set Check for Duplicate Invoice
    Navigation Path: IMG-> Real Estate -> Tools -> Change Message Control
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    T. Code: OBA5
    4. Set Tolerance Limit for Invoice
    SPRO -> Material Management -> Logistic Invoice Verification -> Invoice Verification-> Invoice Block-> Set Tolerance Limit
    5. Activate Direct Posting to G/L Account and Material Account
    SPRO -> Material Management-> Logistic Invoice Verification ->  Incoming Invoice ->  Activate Direct Posting to G/L Account and Material Account
    6.Activate Company Code for Materials Management
    SPRO -> Logistic General ->Material Master-> Basic Setting ->  Maintain Company Code for Materials Management
    7.Default Value of Invoice Verification
    T. Code: SM30
    8.Assign tax Code for Non Taxable Transaction
    SPRO -> Financial Accounting (new) -> Financial Accounting Global Setting (New) -> Tax on Sales and Purchase ->  Posting-> Assign Tax Code for Non Taxable Transaction
    or
    T. Code:  OBCL
    Regards,
    Biju K

  • Auto a/c det for Invoice verification

    Hi
    What is the procedure for Automatic account determination for invoice verification? not for inventory managment
    What are the value strings for invoice verification
    Thanks
    Raju

    Hi,
    Account Determination: -
    Use: - When you post an invoice, the system updates various accounts in Financial Accounting. It determines automatically which amounts have to be posted to which accounts.
    Account assignment is based partly on your entries when you enter an invoice, partly on information stored in the system and partly on the system settings.
    Prerequisites: - The system administration must define and configure the accounts in the chart of accounts when implementing the ERP system in your company.
    Features: -
    ·        Your entries provide the following information:
    ¡        Which vendor account must be posted to?
    ¡        Which amounts must be posted?
    ·        The material master record provides the following information:
    ¡        Which valuation class does the material belong to?
    ¡        Which type of price control is required for the material?
    ¡        Which account must be posted to for the material?
    ¡        Is the stock available smaller than the quantity invoiced?
    ·        Posted documents provide the following information:
    ¡        What is the purchase order price?
    ¡        Has a goods receipt been posted for the purchase order?
    ·        The system settings provide the following information:
    ¡        Is the invoice posted as a net or a gross amount?
    ¡        Which G/L accounts must be posted to?
    Important Accounts for Invoice Verification: -
    The following accounts are particularly important for Invoice Verification:
    Vendor Account: - There is a separate account in the sub-ledger for each vendor that all amounts concerning this vendor are posted to. Making a posting to the vendor account is not the same as making a payment; payment is only made when the Financial Accounting department posts the vendor's payment to a bank account.
    Stock Account: - In the ERP system, there is no separate account for each material. Instead, different materials with similar features are grouped together in a common account (for example, raw materials: acids). The account relevant for a material is defined in the material master record when a material is created.
    The system only posts to the stock account when a price difference occurs for an invoice.
    GR/IR Clearing Accounts: - The GR/IR clearing account is an u201Cintermediateu201D account between the stock account and the vendor account. At goods receipt, the net invoice amount expected is posted to the stock account. The offsetting entry is posted to the GR/IR clearing account. This posting is then cleared by an offsetting entry on the vendor account at invoice receipt.
    Tax Accounts: - The system makes postings to special tax accounts when invoices include tax.
    Price Differences Accounts: - Price differences have to be posted to a price differences account if price differences have occurred in an invoice and when invoices are posted net and no posting can be made to the stock account.
    Cash Discount Clearing Account: - When you post an invoice net, the cash discount amount is taken into account in the invoice, it reduces the value of the items; the offsetting posting is made to the cash discount clearing account, which is then cleared when payment is made.
    Freight Clearing Account: - The stock account is debited with the planned delivery costs at goods receipt and the system makes the offsetting posting to a freight clearing account. This posting is then cleared by an offsetting entry to the vendor account at invoice receipt.
    Also refer link;
    Account Determination for LIV

  • Purchase Orders Pending for Invoice Verification

    Good Afternoon,
    I'm looking a report with purchase orders waiting or pending for Invoice Verification.
    Those PO's already has the Goods Receipt, and just pending for Invoice Verification.
    Thanks for the help.
    Hector.

    Use report ME2N with selection parameter as RECHNUNG.
    or else you can create your own seleciton parameter where you can pull the report only for the invoice which has GR done.
    to do that go to SPRO-MM-purchasing-reporting-maintain purchaisng list-selection parameter-define seleciton parameter
    hit new entry or copy RECHNUNG
    create new one with
    IR planned  +
    Delivered  >= 0 ord
    and Invoiced  < ord
    save and use this parameter in ME2N
    you will only get the POs list where GR done but no IR

  • Tables for POs pending for invoice verification

    HI alll
    I want to know tables for POs pending for invoice verification.
    I have refered in ME2L T.cpde. In that selection parameter is there. But where it stored?
    RECHNUNG - for open invoice

    Hi,
    Use table EKBE , RKPF, RSEG...
    REGARDS,
    PARAS

  • Set Up Material Block for Invoice Verification

    Hi,
    Please share your experience for customization setting under General settings for material management "Set Up Material Block for Invoice Verification".
    When should we use " Material is bloked at first read" and "Material is blocked when invoice is posted".
    Does it improve MIRO transaction performance if we chnage the setting from " Material is bloked at first read" to "Material is blocked when invoice is posted"?
    Thanks & Regards,
    AG

    Hi,
    Set Up Material Block for Invoice Verification
    Use: -
       In this step, you specify at what point materials are blocked in Invoice Verification:
       o   During the allocation phase, all materials present in the invoice are blocked.
       o   During simulation or posting, materials whose stocks are to be changed are blocked and are read again.
       o   Materials whose stocks are to be changed, are blocked and are read again when you post.
       When you post directly to a material, the given material is blocked immediately in all settings.
    Standard settings: -
    In the standard system, materials are blocked during the allocation phase.
    It is suggested to block materials during allocation phase itself, so that user has not to enter all the details and then get block error at the time of Simulation or Posting. Also it improves the performance since all these transactions need not to be carried out and system informs initially that materials are blocked.
    Also refer SAPNote 210828 - Material blocks in logistics invoice verification

  • User exit for Invoice verification

    Hi
    We want to findout user exit for invoice verification/MIRO .  Is there any user exits available for MIRO.

    The below are for MIRO
    LMR1M001 User exits in Logistics Invoice Verification
    LMR1M002 Account grouping for GR/IR account maint
    LMR1M003 Number assignment in Logistics Invoice Verification
    LMR1M004 Logistics Invoice Verification: item text for follow-on docs
    LMR1M005 Logistics Inv. Verification: Release Parked Doc. for Posting
    LMR1M006 Logistics Invoice Verification: Process XML Invoice
    MRMH0001 Logistics Invoice Verification: ERS procedure
    MRMH0002 Logistics Invoice Verification: EDI inbound
    MRMH0003 Logistics Invoice Verification: Revaluation/RAP
    regards
    Aravind
    Assign points if useful

  • Field Selection for - Invoice Verification (MIRO)

    Dear Experts,
    Can anybody please explain how make Field selection for INVOICE VERIFICATION (MIRO).
    I want BUSINESS AREA field mandatory in MIRO.
    Thanks in Advance

    Hi,
    Business area is linked to other organizational units (plant, division,
    distribution chanel, cost center). It can be defined using assigments
    (e. cost centers to the business area) or combinations of information
    (like plant and division determination).
    It is usually derived from the account assignments of the cost items
    and inherited from there into the vendor line item.
    For MIRO,to automatically fill the business area it must be able to
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    This means that for multiple materials each one must have the same
    business area for IV to fill the vendor line item.
    This is the way the system is designed.
    The business area can be set as 'optional' field and is not 'mandatory'
    by design.It can be customised according to the individual needs.
    Please check the field status in tr OB41/OB14 and  OB23 for the vendor.
    Best Regards,
    Arminda Jack

  • PO BLOCK FOR INVOICE VERIFICATION

    Hi,
      we have created asset po with A/C assignment category as 'A' and completed GR also.
       we want to block this po for invoice verification. Hence, i went to item detail-->invoice--
    >activated' FINAL INVOICE'.
      still system is accepting for invoice verification.
    plz suggest how to block this po for invoice verification.

    hi
    go to me22n select all items and click on lock button just below it ur items will be locked for further processing
    and when u want to do the miro just unlock them
    regards
    kunal
    award if helpful

  • Restrict for invoice verification up to Quality accept

    Hi,
    My Scenario 
    Po qty is 100   and i am doing Goods Receipt 100 qty  after posting inspection Lot is creating
    But here If i gone to Invoice verification it is accepting without Quality lot clearing
    i want to Restrict for invoice verification up to Quality accept 
    after  accepting quality only it should go for invoice
    it is possible ??????
    Manjunath

    Hi
    yes possible ,check following link
    [MIRO before Quality lot clearance;
    Regards
    kailas Ugale

  • Invoice parking by FB60-, for Invoice verification in same flow  into G/L A

    Hi SAP Experts,
    I have Recieved one hint   to go ahead using T/C  FB60..it has helped me a lot ..
    I am thankful for this ..
    My  request is i want to similar T/C for invoice verification where i could post to G/L Accounts  ..( without spro settings , clients requirement )
    P.O  is Made , GRN is made , Invoice is parked , next how to proceed further..
    Any help shall get fetching points...
    BRegards
    Adarsh

    well if u post directly to G/l account using miro  then u need to activate it in spro or otherwise u need to go for fico tcodes for direct posting

  • Tolerance Key for invoice verification

    Hi Experts,
    I need your help to set up tolerance key. I would like to check only the invoice in reference to a PO.
    Tolerances should be calculated between invoice amount and PO amount at Item level.
    Could you please explain me the relevant steps? Which tolerance key I need to maintain?
    Thanks for your help.

    hi
    GO to IMG , then material management, logistics invoice verification then Tolrence limits for invoice
    Here u can maintain the tolarenc e limita fo invoice verification.
    Thamks
    MM

  • Config of Message M8 039 in Invoice verification does not work

    Hi,
    I have configured the Message "M8 039 Terms of payment in PO & differ from those entered" as error so that when a person creates MIRO transaction, he should not be able to change the payment terms in MIRO. However I am still able to modify the Payment Term without effect of this message in MIRO transaction. When I try to modify Payment Terms in MIRO Transaction, system gives me Message F5 231 "Terms of payment changed; Check" and not the Message from Invoice verification M8 039.
    Any suggestion on this would be appreciate.
    Regards,
    Sanjay

    Hi Ashok,
    Thanks for your reply. However I would prefer not to use validation if the standard error message provided by SAP works. Since SAP has provided this standard message M8 039 for my purpose I would prefer to use this one.
    Regards,
    Sanjay

  • Work flow for invoice verification

    I would like to know how to find out/display the workflow related to MIRO transaction code, miro is invoice verification, how to find the z table created for this workflow.
    given a work flow template number, how to view this template
    thanks

    Hello,
    For MIRO the associated :
    1) BOR : BUS2081
    2) Workflow : WS20001004
    Can you elaborate your requirement on z table?
    If i have correctly understood your requirement :
    To display the workflow template, run Tcode SWDD or
    PFTC, select WS Workflow Template and give the workflow number without the prefix 'WS'
    To make sure the Workflow is triggered, make sure the entry SWETYPV.
    Run SWELS, and switch on Trace.
    Run TCode : MIRO and check in SWEL, to make sure the Workflow has triggered without errors.
    To start with, i hope this helps...
    Cheers,
    Remi

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