Vendors with 1099's

Hi Forum,
I am printing 1099's and i have found vendors that i am not supposed to print 1099's for.
What can i do to stop those vendors from printing???
Regards,
Manuel Roman

Hi Manuel Roman,
You may run query to check:
Need for SQL to fetch the details of Business Partner table (OCRD)
Thanks,
Gordon

Similar Messages

  • With holding tax base amount for 1099 vendors with discounted payment term

    Hi Friends,
    We have a below situation for 1099 vendors,
    Some of the 1099 vendors are set-up in the system with payment term with discounts i.e. 2% if paid within 10 days
    As per config, system posts with holding tax base amount at the time of posting payment.
    With holding tax rate is 0%,
    Based on modified net amount calculation
    and
    Cash discount calculation before w/tax calculation
    When we have vendor with input tax, system excludes tax amount at the time of payment but for the with holding tax base calculation amount system does not exclude input tax type.
    Which causes difference in 1099 – misc vendors
    Below is the example of how system calculates the amount.
    Invoice $ 1000, payment term 2% if paid within 10 days. Input tax 7.25%
    Payment going out=
    $1000- $ 72.5(tax 7.25%) = $ 927.5 – 18.55 [2% discount] = $ 908.95 (payment amount)
    With holding base calculation =
    $ 1000 – 100 (2% discount) = $ 900
    Difference between payment going out and with holding tax base = 908.98 – 900 = 8.98
    Can some one please tell me how to get rid off this difference?
    Moreover, please tell me if it’s normal to have 1099 vendors with discounted payment term.
    Any thoughts on above situation will be helpful
    Edited by: Shefford William on Jan 28, 2008 11:36 PM

    Dear All
    i am also having the same problem. The example is
    Net invoice Value   = $ 100,000
    Input Tax @ 15%   = $  15,000
    Total Invoice Value = $ 115,000
    Cash Discount = 20% with in 20 days
    On payment the system behavior should be
    Debit  Vendor invoice Value   = $ 115,000
    Debit  Cash Discount @ 20%    = $   20,000   ( 20% of the Net Invoice Value that is 20% of $ 100,000)
    Credit  W/H Tax deduction @ 3.5% = $ 3,325  ( 3.5% of 95,000 the Inv Value - Cash Discount that is $ 115,000 - $20,000)
    Credit Bank Account  = $ 91,675 ( Inv value - Cash Dic - W/H tax that is $ 115,000 - 20,000 - 3325 = 91,675)
    However at the time of payment system is calculating tax as follows
    Debit  Vendor invoice Value   = $ 115,000
    Debit  Cash Discount @ 20%    = $   20,000   ( 20% of the Net Invoice Value that is 20% of $ 100,000)
    Credit  W/H Tax deduction @ 3.5% = $ 3,220  ( 3.5% of 92,000 the Inv Value - Cash Discount that is $ 115,000 - $23,000. This $ 23,000 is only calculated for W/H tax calculation that is 20% of $ 115,000 )
    Credit Bank Account  = $ 91,780 ( Inv value - Cash Dis - W/H tax that is $ 115,000 - 20,000 - 3220 = 91,780)
    this is not the common practice when using the net base value in the system.
    Can any one help me in this regard. I really have been stucked in this problem for many days
    Regards
    Bilal Athar

  • How to exempt vendor from 1099 reporting

    Hi All,
    On the vendor master, Accounting information tab, we have fields "Exemption number,Valid until and exemption authority" with respect to withholding tax. As per my understanding if we enter these fields, then that particular vendor should not be considered for 1099. However these fields are not having any impact on my 1099 reports. I am running standard report S_ALR_87012143 for validation. Can anyone guide me the relevance of these fields and how to use them correctly in business scenario? Also let me know how to exempt a vendor from 1099 reporting.

    Hi - The exemtion number is entered so that the system does not withhold tax amount (eg: 30% or so) when the payment is made. I think the vendor will still appear on the 1099 report. You can use a different Withholding Tax type for these vendors and exclude the WT type when you run the 1099s.

  • 1099 vendors, S_PL0_09000314 - 1099-Misc

    Hi,
    I have an issue while running the S_PL0_09000314 - 1099-Misc report. I created a test 1099 vendor, by maintaining (1) tax number under tax information and (2) Witholding tax code 07 for the vendor. With these settings, I posted an invoice and paid the vendor.
    The issue is while running the report S_PL0_09000314 - 1099-Misc, it says "list contains no data" (under vendors with correct TIN). However, in the same report, I was able to see the vendor listed under Wrong TIN:Vendors.
    Also, when I ran the 1099 listings (S_ALR_87012143 - 1099 Listings), it showed the vendor with the list of documents posted/cleared.
    What could be the problem that S_PL0_09000314 - 1099-Misc is not showing the vendor under under vendors with correct TIN. Am I missing something here?
    Any help is hightly appreciated.
    Thanks,
    Ram

    Hi Dominic,
    I would appreciate if you could help me on the following
    When I run S_P00_07000134 - Generic Withholding Tax Reporting to generate the 1099 output I get the following errors
    1. Company code 3000's witholding tax reference number is missing
    2. Unable to print form IDWTCERT_US_1099MISC
    I chose the following in the program
    Process group: US_1099
    Output group: US1
    Am I missing any configuration or something else here?
    Would appreciate any kind of help.
    Thanks

  • Vendor with multiple bank details....paid to the 1st bank account while inv

    Hello Experts,
    We have a vendor with two bank accounts in the vendor master. Now while making the payment, I mean, which account will the money goes? at the time of F110 , we paid to the 1st bank account in the vendor master..
    Settings in vendor master:
    I 'name' the bank accounts in the vendor master, in the field Bank Type. While posting through MIRO, insert this code into the line item 'Patner bank' and the payment program will pick up the bank account accordingly BUT If I don't add this information to the Patner bank account, than always the first bank account will be picked up..
    I want that even if don't add any info in partner bank in the line item,  at the time of F110 , it should paiy to the 2nd bank account in the vendor master..
    This is a very stupid requiremnt but our users wants like this only.
    Kindly show me some light in this dark tunnel...please.
    regards,
    nupur

    Hi Nupur,
    In vendor master data under 3rd tab where we record all bank details of the vendor left hand side you will find one column 'C' .i.e., Collection authorisation......kindly check this option for your second bank to which you want to make the payment.
    Hope this helps you.
    Regards,

  • HOW TO DISPLAY VENDOR WITH NO OPEN CLEARED ITEMS

    Hi All,
             We want to delete some of the vendors which do not have any open or cleared items. Can anyone tell me the report ,T Code or ant table which we can run to display the vendors with no open ,clear items.

    you will have to first block the vendor for the posting in co.codes using FK05 and then assign that vendor for deletion flag using FK06 , in the next archive run it will be deleted automatically.
    You cant just delete the vendor from the system
    Assign points if helpful.
    Shefford

  • How to reconcile A/P invoices on vendor with positive balance (they own us

    Hi there,
    I have two questions on B1.
    I posted an A/P invoice to a vendor with positive balance (they own us money). How do I close this A/P invoice without outgoing payment? I don't want to pay them because they own us money on A/P G/L account.
    There is another situation, I posted an A/P credit memo with large amount ($1000) and an A/P invoice with small amount ($200) on same vendor. How do I close the A/P invoice to that A/P credit memo with offset amount?
    Thanks for help!
    David

    Hi there,
    We are using B1 2005A SP1. I create an A/P invoice from a vendor which owns us money. So I don't want to pay this invoice. How do I close this invoice?
    The other question is, how to I offset an open A/P invoice with small amount to an A/P credit memo created before (not linked to any other A/P invoice) with large amount and close the A/P invoice?
    I am sure about the accounting rules on this issue. We are a Canadian company.
    Thanks a lot
    David

  • Third-party not defined in the case of vendor with plant assignment ?

    We use a Third-Party Vendor to direct-ship some products directly to our Customers.
    When transfers third party order form's PR STO PO, prompts the following information
    Third-party not defined in the case of vendor with plant assignment
    Message no. 06769
    Diagnosis
    You are entering a purchase transaction involving a vendor to whom a plant has been assigned. Normally, this will involve the transfer of materials from one plant to another.
    This process necessitates a delivery and a billing document in the SD system. The PO appears directly in the delivery due list of the issuing plant (vendor) and therefore does not need to be transmitted.
    However, an item with the procurement form "third-party" (triangular business deal) cannot appear in the delivery due list.
    Procedure
    An item with the procurement form "third-party" can only be ordered from vendors without a plant assignment.
    how should solve?
    Many thanks,  Adny.
    Edited by: Andy Yao on Feb 8, 2010 3:58 AM

    Hi Andy
    Why u doing stock transfer order,in third party sales there is no stock transfer
    Follow below procees for third party sales( Vendor ship materials directly to customer)
    Create Sales order(Use item category TAS) >>> Purachase requisition(Automatically from order) >>> Purchase order >>> Vendor Invoice Verification >>> Invoice to customer
    Kapil

  • F110 Payment to vendor with several bank accounts

    Hi to all,
    I have a vendor with 2 bank accounts, each one for its subisidiaries .
    We pay this vendor's head office via transfer and to do so, use transaction F110. Depending on the subsidiary, our vendor wants us to use one account or the other.
    All open items go under the head office number, my question is: how do I assign the right bank account to the open items?
    I tried with the alternative payer funcionality but did not work.
    Can you please help?
    Cheers

    The BVTYP is free. If a bank account accepts only one currency, the easiest is to take this currency as BVTYP in LFBK. You should have your own rules for the others cases: for example BVTYP 'EUR' for euro and 'OTHE' for all others currencies. You should use substitution with user exit. If you don't know the technique, please search in forums with keyword 'RGGBS000'.
    The user exit should do the following (for example):
    1) search in LFBK one row with LIFNR = BSEG-LIFNR and BVTYP = BKPF-WAERS.
       if found then BSEG-BVTYP = BKPF-WAERS
    2) if not found, search in LFBK one row with LIFNR = BSEG-LIFNR and BVTYP = 'OTHE'.
       if found then BSEG-BVTYP = 'OTHE'.
    3) if not found, do nothing; BSEG-BVTYP remains empty.
    - With such an exit, you have to fill BVTYP in LFBK only when the suppllier has more than 1 bank account.
    - You should also decide whether BVTYP should be ready for input or not; if yes you should decide what has priority: user's input or substitution (but I think that leaving the field ready for input and overwrite it in substitution has no sense and is dangerous, so in this case the substitution should do nothing for non empty BSEG-BVTYP).

  • Function or bapi returning customers or vendors with open items

    Dear experts.
    may you please tell me which function or bapi can i use that will return all customers or vendors with open items per given plant. i have tried to use BAPI_AR_ACC_GETOPENITEMS and BAPI_AP_ACC_GETOPENITEMS but they return open items for a given customer and vendor respectively per given company code.

    willard,
    the term "open items per given plant" is not defined exactly. VENDORS and CUSTOMERS are not linked to  specific plant. GOODS are produced and stotred in one or more plants. They may be sold  by a sales organization linked to a company code. Copany may have seral plants.
    That may be one reason for SAP not to provide the function you are looking for.
    Please give more information about company structure and sales and purchase process.
    Regards,
    Clemens

  • Function or bapi returning customers or vendors with open items  per plant

    Dear experts.
    may you please tell me which function or bapi can i use that will return all customers or vendors with open items per given plant. i have tried to use BAPI_AR_ACC_GETOPENITEMS and BAPI_AP_ACC_GETOPENITEMS but they return open items for a given customer and vendor respectively per given company code.

    ok but those 2 BAPIs return open items after providing the customer or vendor. what i need is a BAPI which returns a list of customers or vendors with open items

  • Material return to vendor with Nota fiscal

    Hi,
    Could any one suggest me the process of return materials to vendor with nota fiscal document.
    Thanks,

    pls reply

  • Clearing vendor with customer

    HI gurus,
         we have vendor as customer. I have created vendor master and customer master, and I defined the customer number in vendor master. but I didn't find fine "CLEARING VENDOR WITH CUSTOMER" indicator in Vendor master screen. I'm using ECC6 version.
    How can I clear customer open items with vendor open items...
    Kindly suggest me, I'm very great full to you
    regards
    msr

    Dear MSR,
    In this scenario you can do the clearing with F-32.
    1) Enter the customer number
    2) Select OTHERS in additional selection
    3)Then click the process open items and select the relevent filed
    4) select the other account tab
    Again click the other accoutns check box and click enter here you have to select the account type K
    I hope this will help you for resolving your problem.
    Raj

  • How can I restrict a vendor with certain value limit?

    Hi Gururs,
    How can I restrict a vendor with certain value limit?.
    Scenario is like this
    If my company was decided to purchase goods from a particular vendor upto Rs.1000, if cross the rs.1000 limit don't allow the Posting the PO and get the Message as warning/error.
    Give the configuration setting's and T.codes
    Thanks and regards
    G.N.Rao

    Hi
    Go to T.Code oms4 and then select the material status BP (Blocked for purchasing)
    Click on Details
    In that under Purchasing select the option A= Warning or B=Error
    Click on Save
    Thus by doing this no further purchasing function for that material can be done. So the PO can not be issued
    So as and when the value limit reaches see that purchasing option is blocked
    So no further PO are generated in the future
    I hope this helps you out
    If found useful reward accordingly
    Thanks
    pavan

  • Domestic vendor with Import pricing procedure

    Hi Sir,
    I want domestic vendor with import pricing procedure.ie.CVD,in basic customs ECE,SHEs,Please guide me how to do .
    Thanks
    kirti

    HI,
    Input the schema created for import Pricing Procedure in the purchasing view for the vendor and then this vendor will act as a import vendor.
    Thanks & Regards,
    Kiran

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