Vendor Account - Payments made less Tax

Hi
Is there a report which shows the payments made to a Vendor less Tax amounts included?
Thanks

Your question is not clear.
Do you want a report, where you can see the amount paid to vendor ?
Or
Do you want a report, where you can see the amount paid less TDS?
Regards
Sonica

Similar Messages

  • Vendor down payment with input tax

    Dear Expert
    My client receieves down payment with input tax, to meet their legal requirement for VAT filing, they have to book entries as below;
    When receieving down payment with input tax:
    Dr. Down payment
          Input tax
      Cr. Bank
    When receiveing vendor invoice for remaining AP amount:
    Dr. Expense
          Input tax
      Cr. AP (remaining amount)
    Then clear down payment by expense
    Dr. Expense
      Cr. Down payment
    They do in this way, because input tax in down payment and input tax in remaining AP invoice should be listed as two items in their VAT report. And intput tax in down payment document is with reference field which is different from reference field in remaining AP invoice, and reference field is also one mandatory field in VAT report.
    In this case, I can not use SAP standard T-code F-54 to clear down payment. But when I tried to create a manual JV to post entry with Dr. Expense and Cr. Down payment, it's OK, but then when I used F-44 to manully clear down payment doc by manual JV, I got problem because the amount in down payment is down payment amount + input tax amount, but the amount in manual JV is only down payment.
    Does someone have a solution?
    Thanks,
    Nicole

    Nicole,
    Which country is this requirement for?  As far as I know, there is no tax incidence on downpayment.  Input tax arises only when you receive the invoice, right?  Not when you receive a downpayment.

  • F-29 Customer down payment, error, system ask for vendor account

    Hello,
    When I enter customer down payment through F-29 I receive message F5243 'Account type K is not defined for document type DZ'.
    If I use other document type, I receive the same message. I DO NOT NEED ACCOUNT TYPE 'VENDOR' HERE. (When I choose with F4 I receive search for CUSTOMER, and special GL also for CUSTOMER.)
    If I change that (and allow acct type 'K'), system issue message F5104 'Vendor not created in CoCode'.
    If, for example I have the same number for vendor and customer (SAME NUMBER, NOT THE SAME COMPANY), system allows me to go further, but takes information for 'Vendor down payment' (made in Customizing).
    I would like to point that there is no link in master date between customer and vendor account.
    My only clue is that something is wrong with this transaction (there is no SAP note for this exact problem, and all other posts on the same subject here on SDN are not resolved)
    Maybe someone has idea about connection of this tcode with logistic...
    PLEASE HELP

    Hi Amina,
    For that u check weather u assign vendor special gl account to customer reconcile account in OBXR.
    Select special gl type  D in OBXR and give the reconcilation account of customer and special gl account
    Regards
    Surya

  • Vendor Down Payment in Cash through F-02

    Hi All,
    When I am entering Vendor Down Payment made in Cash through F-02, it is not passing entry for WHT(TDS). It gives following error "Withholding tax amount exceeds total bank line item amounts"
    Pls suggest if there is other alternative wherein I can enter the vendor down payment made in cash with WHT (TDS) entries.

    Activated the option of "Cash Flow" in Bank Account Master ( T.Code FSS0).
    It worked.

  • BP - Vendor account balance to include down payment made

    Since advance payments to suppliers are posted through AP Down payment module the vendor account gets squared off and does not reflect any debit balance.  So arrive the correct balance in the vendor account one should check two accounts i.e. the AP down payment account and also the vendor account. 
    Is there a way take a report which reflects the advance paid as debit bal to his account (by ignoring the AP down payment invoice booking but instead retaining the advance paid against the AP Down payment invoice).
    Rgds
    Srividya

    Hi,
    To show the debit balance paid in the vendor account make the advance payment entry from the outgoing payment form by using payment on account option. also you can link this payment once you receive the A/P invoice.
    Regards
    Datta Kharat

  • Loans: Introduce vendor account during loan payments

    Hello folks,
    I have Loans managment module working fine for a bunch of flows.  I would like to substitute a g/l account that we use during payment with a vendor account.  Wondering if I could get some inputs on this.
    We have receivable loans, not giving.
    In the Accout Determination, I've configured a flow Z120 with Payment transaction 1 and a posting key 40 to the balance sheet account(276510) and 50 to a bridge account(275325).  When this flow is posted, a payment request is created between the bridge account and the house bank's payment sub-account(175562).  That would be a debit on bridge account(275325) and a credit on bank's payment sub-account(175562).  So I run F111 and execute the payment.  And then when the back statement comes in, an entry between 175562 and 175560 is made.
    Now, I would like to replace this bridge account with a vendor.  The primary reason is, the client wants to calculate withholding tax on every payment, interest and capital.  Wondering what my options are?
    In Account Determination, in the accounts section, in the g/l acct field, I don't know how to specify a vendor account against a acct symbol for the account determination to happen.  There is only option for g/l account or +++++ for bank g/l accounts.
    Should this be configured some place else.  Not sure where I'm missing the part where I could use a vendor instead of using a g/l account as a bridge.
    Also in SPRO, in the "Company code settings for product types", the FI posting field for my product is of type 4, which is "Actual records in subledger, posting in FI without customer".  Should this be changed to 3, which is "Actual records in subledger, FI posting with customer" - wondering if this would open up a relation with a customer/vendor.
    Any help greatly appreciated.
    Thanks.

    Thanks Kumar.  Most of the steps got executed successfully.
    Step 1:The moment I changed the FI posting from 4 to 3, I received an error in disbursement saying couldn't determine customer.  I did not have a customer role in my BP.  I set that with recon account and was able to do disbursement.  The disbursement screen looks different too, with an added customer field populated and read-only.  I think we are good there.
    Step 2: I've ignored third party payment, I did revert it to uncheck the way it was.
    Step 3: In Account determination, I configured one more posting specification for my Flowtype(Transaction type), payment transaction 'X', posting category 42. posting key 40(debit) for my interest account and 14(credit) for the new 2.4.4 symbol.  I gave the BP/client's recon account g/l account against this new account symbol 2.4.4.
    Now when I tried to do a post planned record, it wouldn't pick the newly created posting specification X.  It still picks the one with payment transaction 1.
    The documentation says, X would be picked if (a) posting for product type made via customer account and (b) payment transaction indicator set for the flow/condtion.
    Here bullet (a) is true, because I could see the customer number when I do the disbursement.  Now with regards to bullet (b), I've set done the following:-
    -In flow type, I have the field "Payment request" checked.
    -In condition type, I have the field Payt(Payment transaction) checked for my all my conditions.
    -In the "Company code dependent settings for product type", I've checked the "Payment details" field.
    -In the Main Loan Partner role for the BP, in the company code data, in the payment details tab, I've checked the Payment transaction and payment request fields, and entered information for payment method, housebank payer/ee etc.
    Since the posting specification with payment transaction 'X' is not picked, I think something is missing on the payment transaction part.
    One other interesting observation is, the moment I changed the FI posting from 4 to 3, the button "payment details" on the top of the screen has disappeared.  Previously I used to specify payment details for each flow using the screen that comes off that button.  So I assume now the payment details need to be taken care of in the BP/client level or flows level.
    I'm not sure where I'm missing one fine detail.
    Thanks a lot for your help in advance.  I really appreciate it.

  • Calculate tax in Vendor Down Payment

    Hi,
    While posting down payment to my service vendor including service tax amount in F-48 after tick the calculate tax also, it is not asking for tax code and it is not showing service tax seperately. Only vendor a/c and bank a/c's are simulating. Please tell me how to calculate tax while doing vendor down payment.
    Regards,
    Prasad

    > Hi,
    >
    > Thanx for ur reply, every month we are paying through
    > advance payment for internet connection including
    > service tax and this is fixed amount.
    1. Enter vendor down payment - gross amount (do not calculate tax)
    2. Post a recurring document to your vendor account which will include the lines:
    C Vendor
    D Internet charge expense account
    D tax
    3. Allocate invoice with down payment

  • Tax code mandatory in vendor down payments

    Hello,
    I am posting a vendor down payment with a bank account not relevant for taxes, but when I enter the amount of the down payment in item 2, posting key 29A, the tax code is mandatory
    How could I change it?
    Thanks a lot

    Check two options
    1. Goto to FBKP-> Special GL -> Clear the tax column in the special GL for downpayment screen.
    2. Check out the field status group of the reconcilation account. FS00-> 3 rd tab -> Double click on the FSG and check if the tax items.
    3. Check out the Field status Group of the Account group in which the vendor is assigned.

  • Service tax calculation for payments made and posting as noted items in FI

    Hi all,
    I have requirement to calculate service tax on customer payments made in construction company while booking a flat in building.
    here we need to calculate service tax on noted items in FICO.depending on work completed and amount received we have to calculate service tax applicable for those payment made.as,I am new in this construction sector having confusion in calculation of amount.can anyone guide me through this.
    Thanks in advance.
    Harshada
    Edited by: Harshada.up on Dec 9, 2010 6:35 AM
    Moderator message: "spec dumping", please work yourself first on your requirement, obtain local help if necessary, e.g. get back to the author of your requirement.
    Edited by: Thomas Zloch on Dec 9, 2010 10:53 AM

    Hi Srinivas,
    Can you please tell me how the service tax will get calculated in rental conditions?
    I've made the following configuration settings:
    Step1: RE-Fx>> Accounting>> Automatically Generated Accounting Documents>> Summarize Documents:
    Under this node>> Set Item Summarization "Active" for the particular co. code.
    Step 2: Defined service tax under "Tax Type" for country INDIA
    Step3: Under the IMG node:
    RE-Fx>> Accounting>> Integration FI-GL, FI-AR, FI-AP>> Assign Tax Code:
    I've maintained Service Tax (tax type) to the country IN.
    Also in the contract under posting parameters tab; i've maintained the Tax Type as Service Tax.
    In conditions tab also, when I'm simulating the condition, I'm getting the correct entries, (as shown in the screen shot):
    Condition Amount: 20,0000 INR
    Net Cnd Crrncy: 20,000 INR (for the month of July)
    Tax Cnd Crrncy: 2472 INR.
    However, when I'm doing RERAPP; i'm unable to post the condition. Getting the 2 errors (screen shot attached):
    1) Tax code S2 does not exist in company code E500
    2) Taxes by item is activated; consequently, transfer by item is mandatory
    Kindly pl. assist where I'm going worng or any configuration missing due to which I'm unable to execute RERAPP for a condition (with service tax calcultaion) for a commercial lease in contract.
    Thanks
    Shantanu Kar

  • Report which has to provide me the total payments made to Vendors.

    Hello All,
    I am looking for a report which has to provide me the total payments made to the vendors for a specified period.
    Some one please help.I have tried with FBL1N but of no use.
    Thanks,
    Bala

    HI
    B K
    You can directly go to
    -Easy access screen
    -Accounting
    -Financial accounting
    -Account payable
    -Information system
    -Reports for Accounts Payable Accounting
    -Vendor Balances
    -Transaction Figures: Account Balance (S_ALR_87012079)
    enter collowing  fields
    Vendor acc ---
    company code--
    fiscal year  -
    select execute button
    triadhnaidu .a
    Edited by: trinadhrao althi on Oct 7, 2008 11:38 AM

  • Vendor account with two bank accounts -payment

    Hi
    For the vendor account we have two bank accounts .When a invoice is raised through MIRO ,we want the 50% payment to be made through First bank account and the rest payment to the Second bank account.The vendor has two bank accounts and wants 50-50% payment on a single invoice to be paid to two different bak accounts.
    How can this be configured and at the payment time in APP how will the system pay to two different bank accounts.
    Please advice.Please let me know if i need to provide any further details.

    Hello dear,
    The only solution in SAP standard for vendor bank account selection during payment program, when you have created partner bank types.
    Then, if you want to post to a different bank account then you need give the partner bank type in the invoice, then, the different bank account will come ( we can make partner bank type field as mandatory in the field status group).
    For choosing the vendor's bank account, you have to use the field 'Partner bank type' (BVTYP). It is present in vendor's master data (LFBK) as the print. screen shows it above, and in the document line items (bseg-bvtyp).
    Remark: We should use a substitution (with user exit) for filling this field automatically according to your own rule.
    Also, to define that it should be 50% to the first bank and 50% to the second bank, than you need an ABAP'er for this
    I hope that could answer your question.
    Thanks.

  • Withholding Tax on "On Account Payments"

    Hi Experts,
    I've an issue in the following scenario;
    In F-58 I select the indicator for "on account payments" and post the payment after entering the other details.  The payment is posted but without Withholding tax deduction.  In vendor master data withholding tax details are present but the tax is not deducted unlike normal payment of invoices.
    I know SAP transfers WHT code from vendor master to invoice and then it is deducted in payments, but the client wants WHT deductions on "On account Payments".
    I would be grateful if someone may tell me any a way to deduct WHT without ABAP modification  in this scenario.
    Regards,

    Many thanks to all you for the replies, and sorry for a little late response.
    Dear Marssel, I've checked all the configuration settings of Extended WHT.  I do have the documentation as well.  All the processes of WHT are working perfectly (WHT deductions on payments, Advance payments, exemptions, reporting, certificates, challans etc.) except for "On Account Payment" in F-58.
    Dear  Jigar,  I've checked the field status of all the relavent GL accounts and these are fine.
    Dear  Sanil, The WHT Type is off course assigned to the Company Code.
    I would appreciate if you guy's could check the following procedure in your system and give me your feed back, if WHT is deducted or not?
    In F-58 switch on the "on account payment indicator" and post the document.
    Thanks for the support.

  • Steps to cancle Purchase order after down payment made to vendor ?

    Dear Group members
    Warm greetings !!!!!!
    One of my user made down payment to vendor on the base of Purchase order issued, now the vendor is not able to supply the goods & finally (Returned) refunded the amount & canceled the PO
    How can i process this in SAP
    As in Purchase order, history for Down payment is reflected. Transaction code ME23n
    Finance  don't want to reveres  the down payment made which is made in the month of Jan & cleared from bank a/c
    Pleas advice some me with some other solution
    Thanks & regards IN advance
    Regards
    Shamul heq

    Hi ,
    Clear the advance payment made with the incoming payment from Vendor. this wil make the down payment at PO level Zero you can close the PO after that..
    try out the same in test system and move to production after that.
    rgds
    Murali

  • Including down payment made to vendor in the internal order

    Hi all
    My requirement is like this.
    We use IM and IO(Capex orders) for procuring and capitalising assets. We are able to assign all the costs of procuring assets (both APC and incidental expenses to the internal order). We use purchase orders and assign the internal order while raising purchase order.
    Sometimes we do make Down payments(advances) without raising purchase orders. My question is how to include this down payment made in the internal order. We cannot assign any internal order while making the down payment. But, can we include this down payment made to vendor in the internal order(commitment) while making down payment or after that.
    FYI:I came to know that there is some functionality in Controlling (Project systems) where we can assign the down payment made to the internal order after making payment.But, i do not know how to do that.
    Pls somebody reply me.
    Thank you very much in advance.
    Regards,
    Vishnu
    VST-IT.
    Pls somebody answer my query.

    The functionality is available in Controlling. I dont know about PS.
    I need to know how to do it.
    Regards
    vishnu
    Pls anybody suggest me on this issue.

  • Table for Year to date payments made to vendors

    Hi friends,
    I am generating one query, in which I have to show year to date payments made to vendors.
    can anyone tell me from which table and from which foield can I get this information.
    Please help.

    hi,
    GO to SE16 and select doc type wise , you will get a solution .
    i hope it helps you.
    regds,
    raman

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