Vendor return - Debit nore

Hi Experts
Material is rejected and we dont have to send it back to the supplier. We decide to scrap it.Wecan scrap the quantity using movement type 555 in MIGO.
Can you advise how the debit note will be raised as we are not creating a return po in this case? Or what is required so that a debit note can be raised?
Thanks
Tanvi Sunil

Hi,
FI can raise debit note thru FB60 to your Vendor and put your scrap material document as reference
Regards,
Vikas

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.

  • Quantity Issue while Reversing a Paid Credit Memo of Vendor Return PO?

    Has anyone encountered the following problem when posting & reversing GRIR transactions against a Vendor Return PO'?
    We have a Vendor Return PO with a single line item - the return indicator is checked. The PO is issued and released. The GR is entered (mvmt type 161) and then the IR (credit memo) is entered. The user then entered another GR to reverse the transaction (mvmt type 162) and then attempted to reverse the Credit memo by posting an Invoice against it. The way they did it, the invoice added another quantity credit of 100 but posted the $ value (debit) correctly - as this is an invoice and not a credit memo, the quantity that posted should have also been a debit of 100, not a credit.
    Has anyone experience this issue? Could the problem be the order in which the document reversals were entered? Instead of entering them in the order that they were originally entered, maybe they needed to reverse the credit memo 1st and then the GR (mvmt type 162)? Could the fact that the transaction occurred last year and we are attempting to correct it this year, make a difference?
    Also, we have no idea how to get the quantity to correct.....any help would be appreciated.
    Thank you.

    Anyone to help on this please, thanks in advance.

  • Excise duty reverse entry effect in case of vendor return

    All SAP gurus,
    At the time of vendor return of excisable material (with movement type 122).
    When reversing is done Excise duty shows reverse in Part2 but also shows in J2IUN Report of Monthly excies duty Debit.
    It require to debit be excise duty only one time (RG22-PART 2 OR J2IUN).
    Is it possible?
    Please guide regarding standard procedure / entry in utilization in case of vendor return.
    Regards,

    Please help me

  • Vendor Return process in case of Import Goods (Excisable)

    Can anyone provide me the complete process details with configuration in case of Return of Import Goods to Vendor?
    The scenario is we have received the goods from an overseas Vendor by availing the benefit of CVD and we have made payment to the Vendor. Now the goods need to be returned back to the Vendor overseas.
    Thanks in advance

    Import Vendor return is like re export from business point of view.
    You can follow export sales process in sap.
    What i suggest is for example if it is raw material you can create a bom with parent material as X-01,child material as Y what
    you are returning to vendor.
    Note: Create parent material as HALB with sales view & accounting view with valuation of raw material.
    Do production goods receipt,it willl bring stock to parent material.
    Create customer for vendor.
    Adopt export sales process,create a sales order,delivery,billing,invoice,excise invoice,ARE1.
    Note : Discuss with FI consultant/core team take care of accounting effects in billing.
    Clear balances for customer or vendor using F-53 or F-58.
    Note : You need to tell excise/submit documents telling it is not actual export.
    or
    If you opt for purchasing route,then there is lot of customs formalities to be completed & also need to pay duties taken credit,depends on value of goods if it is high, you can opt for import vendor returns or ask vendor for debit memo which will be adjusted with future purchases against same vendor
    I also asked same question in forum, refer link for solution [ Import material - Vendor returned(Indian scenario)  |Import material - Vendor returned(Indian scenario);

  • Vendor return excise invoice cancellation

    Dear all,
    How to cancel vendor return excise invoice, which has been created using J1IS/J1IV T-code.
    When I try to cancel the excise invoice for vedor return in t- code J1IH, system is giving the below error
    Excise modvat accounts not defined for CEIV transaction and excise group
    Message no. 8I402
    Note: When we try to cancel customer excise invoice system is not throwing the above error.
    from configuration point of view, i have done the all the possible config. but still system is throwing the following above error.
    1.Config. for CIEV:(ETT-Excise grp--CC)
    CEIV ::::::::::::::: CR Credit :::::MSUSP CENVAT suspense account
    CEIV ::::::::::::::: DR Debit :::::PLAAED PLA AED account
    CEIV ::::::::::::::: DR Debit :::::PLAAT1 PLA AT1 Account
    CEIV ::::::::::::::: DR Debit :::::PLABED PLA BED account
    CEIV ::::::::::::::: DR Debit :::::PLASED PLA SED account
    CEIV ::::::::::::::: DR Debit :::::RG23AED RG 23 AED account
    CEIV ::::::::::::::: DR Debit :::::RG23AT1 RG 23 AT1 Account
    CEIV ::::::::::::::: DR Debit :::::RG23BED RG 23 BED account
    CEIV ::::::::::::::: DR Debit :::::RG23ECS RG 23 ECS Account
    CEIV ::::::::::::::: DR Debit :::::RG23SED RG 23 SED account
    2. G/L Account determination configuration for the same has been done.
    Please guide me, how to resolve this error.
    note: I tried to cancel the vendor return excise invoice using J1IS--> Cancel excise invoice but system is not able to generate any document.
    please help me.
    manoj singh

    If the system is throwing the error as i menstioned, follow the procedure to resolve the issue.
    1. Check the Excise account determination is configured properly.
    2. insure the Vendor return Excise doc. to be cancel.
    3. Use the J1IH wrt to Official Excise Document Number instead of internal doc. no. to cancel the J1IS/J1IV transaction.
    hope it helps.
    manoj singh

  • Vendor returns print out

    Hi All,
    In case of vendor returns, what is the document that is usually handed over to the supplier?
    Under 2 scenarios:
    1. We create a return PO , do GR with 161 movement type and post credit memo-- What document is generally handed over to the supplier?
    2. Do GR with movement type 122. Post credit memo.- What is the document handed over to supplier?
    Regards,
    SS

    Dear Shilpa,
    This question needs to be answered by your client. Its purely or legal requirement that which documents needs to be handed over.
    Generally, a vendor return delivery challan is issued along with the material (generally taken through MB90, customized smartform as per client requirement) and a debit note. If the material is excisable (in India) and vendor is registered, we'll issue an excise invoice for vendor return ( taken from J1IP).
    Regards,
    Sudeep.

  • Vendor Return Excise entry

    Hi All,
    Can any body let me know the Excise accounting Entry of Vendor Return (Movt. 122/161)?
    In my case it is displaying;
    Credit ---> BED, ECS & HEC
    Debit  ---> PLA on hold
    and Which ETT system will use?
    With Reagrds
    Manoj Singh

    Hi,
    Check in SPRO > Logistics - General > Tax on Goods Movements > India > Account Determination > Specify Excise Accounts per Excise Transaction > Here check following is maintained;
    ETT  Subtrn Typ DC ind Acct name
    OTHR            CR     RG23AED
    OTHR            CR     RG23AT1
    OTHR            CR     RG23BED
    OTHR            CR     RG23ECS
    OTHR            DR     MSUSP
    And then do Account Determination for Excise Group and ETT OTHR in SPRO > Logistics - General > Tax on Goods Movements > India > Account Determination > Specify G/L Accounts per Excise Transaction
    Here assign GL A/c CENVAT Input BED under column RG23BED, CENVAT Input ECS under column RG23ECS, CENVAT Input SECess under column RG23AT1 and CENVAT Clearing under column CENVAT Suspense.

  • Account posting for vendor return mvmt type 161 is not correct. how to fix?

    Dear all,
    I have a question with regards to the account entry posting on process about vendor return using movement type 161.
    Presently when we tested the system for this transaction, the account entry posting is:
    Cr. Stock
    Dr.     GR/IR
    However, I don't think this is correct, as it is a vendor return in which vendor should be the debit object, not the GR/IR clearing account. In another word, it should be:
    Cr. Stock
    Dr.    Vendor
    If my opinion is correct, how do we fix this error posting in the system. I know it is OBYC but what transaction key, or what account modification in GBB?
    Please advise and help.
    Thanks.

    Dear Polly,
    thanks for your feedback, but from an accounting perspective, it might not be accurate.
    For example,
    GR of Stock A:
    Dr. Stock A
       Cr. GR/IR
    Invoice of the stock A:
    Dr. GR/IR
       Cr. Vendor
    Next, stock A is spoiled and return back to vendor with 161
    Dr. Stock
       Dr. GR/IR
    In this case, the GR/IR is hanged in the middle? how to solve it? I have tested in SAP, and it is using WRX in this 161 movement, which I find the logic is not accurate from business sense.
    Please advise. Thanks.

  • Vendor return material (urgent)

    Pls guide me Vendor return Business Process.
    What I know:- eg I do the GR for 10 Nos. of any material, Then IV will be done. But some reason Management is decide that 5 Nos. of material has been return to vendor. then I made a PO for Vendor Return. then Done GR to Movement Type 161. Material is exciseable. On the time of GR Part 1 is posted & before IV Prat II also posted. then how cancel these documet. I use J1IEX What doc. no. we Put there PO for return vendor or GR no when posted for return.
    Pls guide me

    Following is the correct process
    Return PO, Tick return material option
    MIGO with Mvt type 161
    Then Go to J1IS transaction and put this material document number. against trans MATD.No need to do j1iex
    follow thios process.
    Regards
    Kedar Kulkarni

  • Vendor return in for imports

    All SAP Gurus,
    We have created the import's PO.
    In the PO we have given Basic price, Customs duty and CVD values correctly, but forget to enter freight cost.
    GR has been made (excise invoice captured), material also cleared from Quality (UD is done).
    Now, we want to add freight cost:
    1. so that the freight cost will be inventorised
    2. Payment can be made to vendor
    How this can be done now?
    (All options including cancellation/reverse of material document, vendor  return are open for us.)
    Regards,

    Hi Rajan,
    In MIRO  we can enter frieght cost in unplanned delivery cost then
    It will hit consumption account.
    Hope this will solve ur problem
    Thansk and regards
    Gitesh
    Edited by: gitesh mahamuni on Aug 31, 2009 9:35 AM

  • Opening balance for vendor in debit

    Hi
                                  When I post the opening balances for vendors it is showing the vendor balance as debit.(+) Is this correct or it should show vendor balance in credit and customer balance as debit ?
    Regards
    Sekar

    Hi,
                              This was the JE:
                                                                                    VENDOR                         1000 (Debit)
                                                              OP BAL(Asset)               1000(Credit)
    Remarks: BPartners  Opening Balance       
    Thanks and Regards,
    Sekar
    Edited by: S. Gamaliel Sekar on May 17, 2011 11:38 AM
    Edited by: S. Gamaliel Sekar on May 17, 2011 11:39 AM

  • Vendor return process for consignment stock not yet own by you

    Hello guru,
    I need some help from you on the following type of vendor return.
    We receive vendor consignment goods into our warehouse and we notice we would like to return back to the vendor after several defects
    defect were spotted few month later, how to execute vendor return like this given that the stock still own by the vendor
    in accounting perspective?
    Should I just create another PO and flag the return indicator and perform a movement 161 in MIGO? Is this method workable way
    of doing this?
    What if we need a delivery document to be generated after 161 movements is posted in MIGO?
    Appreciate it.
    Tuff

    Hi,
       The vendor consignment stock has no accounting impact till the stock is issued to own stock or consumed (411K or 201K movement).
       Standard SAP recommends to use direct return delivery using 122 movement in MIGO to return the consignment stock material back to vendor.
       If you still wanted to proceed with return PO, then maintain the message ME640 as warning message (W) in the path: OLME - Environment Data - Define Attributes of System Messages - System messages. Now, create a return PO and create GR against the return PO.
       If you want proceed with SD route for returning to vendor, refer the thread: Return PO with Text material shipping tab
    Regards,
    AKPT

  • Vendor return delivery form Quality Management on inspection type 08

    Dear all.
    I have a query regarding vendor return delivery. The issue is on a transection when one of our user has wrongly post the material to restricted stock after rejecting it on an inspection lot (Orign 01), that actually has to return to vendor and lot is the second return delivery to vendor on the same P.O. and line no.
    To correct this i have done a transfer posting and transfer the material back to quality inspection by using movement type 322. Now i have an inspection lot with 08 orign but this time the system is not allowing me to post a return delivery and showing "PU Qty deficit" error.
    Any one has any idea! please advice.
    I am very thankful for your help.

    Dear Tahir,
    Have checked the scenario and is working fine, I think  there is some i found in  your  3rd communication in this thread. Gajesh has given you right path, you are trying it differently  so there is a error. Just do following and revert back:
    You have applied 08 insp type  and lot i generated again and you have posted it to block stock correct no???  and you have already removed 08 type now fine.
    Now go to migo >> *select return delivery  against  original material document, put reason for movement  and select stock type as block stock *  and post the document.
    You were trying to do reverse GR instead of return delivery hence system was not allowing, pl check and revert it works 100%.
    Shekhar

  • Can not "post goods issue" against Vendor Return PO.

    Hello Friends,
    **I have a problem During the "Vendor Return Through Purchase Order" Process.I crated a PO with return flag set.**
    **Then  1) Created a outbound delivery against purchase order (VL10B)**
              2) Created a Billing (VF01)**
              3) Next is VL02N - While doing the "post goods issue" where i got following error  message "Update control of movement type is incorrect (entry 161 X X _ L)"**
    Its shows setting related to Mvt 161 to update .I check allowed transaction with respect to 161....VL02N is there .....But don't understand what change needed in "Update control /WM movement type is needed.....Pls suggest any solution........Thanx**
    Regards
    Sachin
    *Error Messafe -
    Update control of movement type is incorrect (entry 161 X X _ L)
    Message no. M7226
    Diagnosis
    The system could not find entry 161 X X _ L in any of the movement type control tables.
    Procedure
    Cancel current processing.
    Contact your system administrator.
    Action to be taken by the system administrator
    Check in Customizing for Inventory Management under Copy, Change Movement Types whether the entry is contained in the Update control view for the movement type.
    If the entry is missing, proceed as follows:
    For standard movement types, this means that the given process is not supported using the present data combination. Do not create any entries without prior arrangement with your SAP consultant. Otherwise, incorrect postings may result.
    For customer-defined movement types (beginning with 9, X, Y, or Z), this may mean that they have not been fully defined. Delete the movement type and re-create it by copying a standard movement type.

    Hi Antony,
    Thanx for reply.
    1) I had assign  delivery Type (RL -Returns Purchase order) to my document type. Assingnment of delivery type thru
    spro>MM->purchasing>purchase order->set up stock transport order--->assign delivery type and checking rule....
    2) MvT - 161----If i modify 161 wrt to  GR Returns what modification is needed ? ......
    3) VOV6 - I had checked it ,maintain it, but that is not relavant in my case....
    4) During PGI system pick 161 as defalult MvT.....can we change it t0 122 ? but how...??
    still the problem is there......
    Sachin

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