Vendor debit note

Hi Folks,
Could any one help me to know the process to get the form output(script or smartform) of vendor debit note through FB60 or MIRO tansaction codes.
Regards,
Ramineni

Hi Ramineni
In T-code MIRO you can find Output (Script or Smartform )
by the path  Goto->Messages->Header....
Hope this helps you.
Please reward if useful.
Thanks,
Daya

Similar Messages

  • Vendor Return -  Debit Note

    Hi all,
    Need help from you all.
    Currently, business will create return PO and goods will then physically return to vendor and post goods return by warehouse people. Subsequent Credit memo received from Vendor will post to invoice verification to set off AP value. However, there is also scenario that vendor didnu2019t send in credit memo, and business is required to issue the debit note to vendor.
    Can LIV cater Debit Note? Or Debit note only can be handled in AP only?
    If no, May I know how can the return PO be closed since LIV is not complete yet? Appreciate feedback! Thanks!
    Regards,
    Michelle Low

    Hi,
    Return process
    Create Return PO and selct Return in the item overview of respective line item > GR here system automatically picks up 161 movt type and Qty reduces>MIRO credit MEMO to reverse the amount equal to MIRO docuemnt posted without receipt of vendor debit note.Hope this helps you.

  • Automatic debit note for vendor

    Dear All:
                 We often face the case of excess invoicing from vendor for materials supplied. Material supplied is often in GAS cylinders which are send to supplier for refilling again and again. Every time cylinders are send they contain some amount of gas in them before getting refiled. I can elaborate the case as
    Cylinder Capacity: 10 Kg
    1st time filled by vendor : 10 kg @ 200 Rs per kg (correctly invoiced)
    Cyilnder gas consumed in process and send for refill ( at that time there was 1 kg gas left in it )
    2nd time refill: 10 kg (here dispute arises vendor claims money for 10 kg refilled but infact 9 kg was filled)
    So we want to give vendor debit note automatically against materials. Please guide how to proceed to do the configure it. Note FB65 id of no use to us.
    Regards
    Atif

    Hi ,
    In case if you are not comfortable with invoice reduction then you will have to go for a development .
    Please try the BADi INVOICE_UPDATE , in this you have the methods at SAVE and at UPDATE .
    Check the feasibilty with your abaper as to how you can use the same .
    Regards ,
    Dewang T

  • What is posting key for debit note and credit note?

    Hi Gurus,
    May I know what is posting key for debit and credit note?
    My current sales debit and credit note having same posting key.  Where can I set this posting key?
    Sales debit note                dt      cr
    Sales credit note               dt      cr
    Customer debit note          dt      cr
    Customer credit note         dt      cr
    Vendor debit note             dt      cr
    Vendor credit note            dt      cr
    Thanks
    Moderator: Please, avoid asking basic questions. Try to search available SAP material first

    This depends on requirement.
    Generally, SAP std are followed and ought to be followed, as Std config are based on best practices world over.
    Still, if you business process requires then take an example,
    - use TCode OBYC,
    - double click on transaction BSD - Inventory posting
    - provide chart of account, if asked.
    - check the posting keys for transaction by clicking Posting Key button on the Maintain FI Configuration: Automatic Posting - Accounts screen.
    In Debit
    89 - Stock inwrd movement
    In Credit
    99 - Stock outwd movement
    Thanks & Regards
    JP

  • MM through Debit Note to Vendor with article

    HI
       My scenario is purchase of goods amount Rs.1000/ qty .  I received off invoce credit note Rs.150 / qty . After get Credit Note My MAP Value is Rs. 850/- qty .
    But how to map article wise without quantity vendor debite note . Or give me advice for vendor article wise debite note through MM
    Regards
    Purushottam

    Hi Piyush,
    1.Created the PO say for 10 qty.
    2.Done  the GR  say for 5 qty.
    3.Do the Invoice for 10 qty.
    4.Now qualityDept has rejected 5 qty & want  to send to the respective vendor.
    5.Now you can create the Credit Memo for  5 qty and send to the vendor.(not Debit Memo).
    Further you can refer
    http://help.sap.com/saphelp_46c/helpdata/en/a8/b99f58452b11d189430000e829fbbd/frameset.htm
    I hope u understand the process..!
    Rahim

  • Debit note on vendor

    I want to raise debit note to vedor. The bellow accounting should happe .
    Vendor Dr
    Material G/L Cr
    How can i do the same.
    here the material G/L is the G/L which gets debited at the time of GRN.
    Thanks,
    Vikas

    Hi,
    In Miro please click on material tab and and specify the material code and value then simulate and check.
    Thanks and Regards
    Binoj M D

  • Output for Vendor Credit Note / Debit Note / Invoice

    Dear Experts ,
    Is there a std o/p available for a vendor credit note / debit note & invoice posted through t code MIRO ?
    Regards ,
    Lakeer Bhatt

    yes there is standard output..
      go to spro > MM > logistic invoice verification >message dete > maintain message schema
         select mr0002 and double click on control data..
        here add condition type INS and save.
    while raising debit note/credit note, before saving click on goto > messages > item
    here enter condition type INS and save..
    then take print or view print preview in MR90

  • Mm: debit note , send to vendor for compensation of money

    dear mm-gurus,
    i m facing a problem.
    i m not aware about the process of debit note that is sent to vendor for compensation of money
    for the quantity of rejected material on quality basis and line rejection basis.
    please help me out,
    useful reply will be awarded..
    please give me the detailed procedure for this.
    thanks:
    piyush singh

    Hi Piyush,
    1.Created the PO say for 10 qty.
    2.Done  the GR  say for 5 qty.
    3.Do the Invoice for 10 qty.
    4.Now qualityDept has rejected 5 qty & want  to send to the respective vendor.
    5.Now you can create the Credit Memo for  5 qty and send to the vendor.(not Debit Memo).
    Further you can refer
    http://help.sap.com/saphelp_46c/helpdata/en/a8/b99f58452b11d189430000e829fbbd/frameset.htm
    I hope u understand the process..!
    Rahim

  • DEBIT NOTE TO VENDOR.

    Dear All ,
                                  Kindly help for an issue that user in stores had first rcvd 66 coils , after that he had rejected 3 coils under return delivery in MIGO , & then invoice payment done for these 63 coils , now user requirement is to give a DEBIT NOTE to vendor as a proof that we had rejected 3 coils , & now we are doing payment for 63 coils only , i want to ask from all Guru's that is there any system in SAP so that a  DEBIT NOTE can be issued to vendor.
    Thanks in Adv.
    SAP11

    dear ,
    debit note(credit memo) can be raise against vendor in transaction MIRO.
    provided u have allready paid the total amount to vendor .
    in ur case u havent paid the total amount to vendor then how can u raise the debit note.
    probably u can give the print out of returns delivery(movt tpe 122)
    for proof to ur vendor regarding rejection
    regards,
    snb

  • BAPI to park Debit Note (Vendor credit memo) Doc Type: 'KG'

    Hi All,
    A friend of mine desperately needs to know any BAPI for parking Debit Note (Doc.type : KG Vendor credit memo)... Please let me know if you know about any BAPI / Funcation module to do it and a little chunk of sample code will surely help me a lot....
    Thanks in Advance,
    Regards,

    Hi Savitha,
    Well, we have experiemented with this BAPI "BAPI_INCOMINGINVOICE_PARK" earlier, but we found out that it dose not work properly for Service Orders; also it dose not seem to post proper debit note. Anyways, we have used another BAPI "BAPI_ACC_GL_POSTING_POST", it worked but it posts the debit note (Vendor Credit Memo) but we only want to park the debit note and let the user review it and then the user can post it manually or so afterwards...
    Regards,
    Athar

  • Can we create Debit note for Vendors in SAP system?

    Hi,
    Can we create Debit note for Vendors in SAP system?
    If yes, then how do we go about the whole thing , can someone please explain?
    Thanks,
    Chintan.

    Hi Chintan
    If i get it right u r asking for <b>DEBIT memo</b>
    There is no concept of debit memo in SAP
    and If u want to debit vendors accounts for Overcharging in PO u can pass credit Memo in MIRO which in turn will debit vendors account by that amount
    Steps to pass credit memo are as follows
    Trnx Code MIRO
    Enter invoice date
    Select Credit memo from Transaction dropdown
    Give PO number in PO reference
    Enter Amount and Qty for credit memo
    Select tax code if required
    Rest same like miro
    Save MIRO
    Vishal..

  • Debit Note Vendor

    Hi, Expert
    I make a po - qty 1500 & GRN 1500 qty & also make the Invoice 1500 qty but after posting the invoice i got information from site that 20 qty was damaged now i want to raise a debit note to vendor so how can i raise the debit note like tcode - miro - subsquent debit or fb65 credit memo or what is the right process of debit note
    regards
    gk

    please inform MM guys to make a rejection by using Movement type 122 with reference to PO.
    Then do the invoice verification for the material document.

  • Debit Note to be raised in A/P Invoice, How?

    Dear Experts,
    My requirement might look strange to you all. I explain my business flow.
    It is connected with Service PO. We issue N kgs of Raw Materials to a Service Provider. He confirms to perform the service to a Rate of Rs. R per Kg. If he returns the whole quantity of Finished Goods i.e N Kgs - Acceptable Process loss and charges a service bill for the confirmed Rs. R or less, I do not have any problem. I could generate A/P invoice without disturbing the flow.
    But there are cases, in which the service provider would return Finished Quantity less than N Kgs-Acceptable Process Loss and/or charges more price higher than the confirmed Rate of Rs. R per kg.
    In such situations, I need to pass the bill, but I must raise a debit note either for Balance Raw Material that he retains or for the Excess amount he charged.
    I need this to happen, when I raise A/P invoice. How to accomplish this?
    Please help.
    Thanks for sparing your time to understand my business flow.
    Thanks in adv.
    Regards
    Anand

    Hi Anand,
    If your are talking about the second flow that is reduce in KGs of finished good in that case you have to make the entry as Goods Issue towards the production loss and print the good issue as the Debit Note for this you have to customize some more information that is the Vendor code ghas to be linked and the P.O number (work order/ Job Work Number has to link here) so that you can print the customer name and other details in the debit note.
    if you talk about the excess amount codeed by the vendor you can incorporate the things in A/p Invoice itself.
    Regards
    Chidambaram

  • Vendor debit balance - S_ALR_87012082 vs. fbl1n

    I'm new to the portal, so first of all would like to say "Hello" to Everybody.
    And, of course, comming here with SAP puzzle to be resolved - I hope you will be able to give me some piece of advise.
    The thing is that while pulling out vendor debit balance in S_ALR_87012082 I receive different result than in fbl1n. When I check in fbl1n some vendor accounts displayed in S_ALR_87012082 the balance is 0.
    This is happening for some company codes - for others, I receive expected result.
    Many thanks in advance for all the suggestions where the problem may  be.
    Regards

    Dear Shell,
    The reason is S_ALR_87012093 is vendor business for a preiod ( invoices and
    Dr. note / Cr. note for a period ) and FBL1N is for vendor balances on a
    specific time.. It may be open item or cleared item.. Both are not same..
    If you want to track back FBL1N with S_ALR_87012093 then Add / less
    accordingly with FBL1N for payments / Dr. and cr. notes.
    S_ALR_87012093 is reconciliation account specific, where as FBL1N is vendor
    specific, take the list from both the reports and compare, they both are not
    the same while selection has to differ if they have to match
    Regards
    Saurabh

  • Vendor is not credited in MIRO

    HI
    M executive MIRO through the reference of MIGO, when i simulate the MIRO the system shows the debit amout with respective gl account but it shows the credit part as Zero value it shows only vedor name.
    Exmp:
    GR/IR Clearing ac DR 100.00
    To Vendor(Name)  0.00
    Thnaks
    Srikant

    Hi possible reason is You have not provided the value in the amount field or the Vendor has not maintained in the particular plant.
    Regards

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