2015 Sep 07 10:42 AM
Hello Experts,
Our client done billing for Quantity 10 and posted the accounting document then excise also captured like below Illustration.
Illustration 1: Excise duty payable A/c CR 100
Excise Duty paid A/c DR 100 (it is correct)
Then customer returned goods for 2 Quantity for that return delivery done and accounting documents posted. But excise is not reversed.
for that when we use the J1IH transaction the excise accounting entries going wrong.
Actual reverse entry should be Excise duty payable A/c DR 20
Excise Duty paid A/c CR 20
But when we try to post the document it is taking wrong way : Excise duty payable A/c CR 20
Excise Duty paid A/c DR 20
Not stopping there, when we proceed further, it is picking other GLs like below.
PLA BED CR 20
Excise duty paid DR 20 though we try to post the docuement the following error triggering.
Message no. KM075
You have not maintained control parameters for controlling area 1500 in year 2015.
Maintain the necessary parameters in Customizing under Actual postings -> Control parameters.when we click on the same it's taking to menu path as below.
SPRO--> Profit Center Accounting--> Basic Settings--> Controlling Area Settings--> Activate Direct Postings--> Set Control Parameters for Actual Data.
Please let me know what is the exact reason for the above error.
2015 Sep 07 11:42 AM
2015 Sep 07 11:53 AM
2015 Sep 07 12:07 PM
Hi, I have to reverse the excise which is captured excess earlier. so i have used J1IH, other adjustment option
2015 Sep 07 12:42 PM
2015 Sep 07 12:48 PM
Alternately You can use J1IS for this purpose. This will solve your issue. If else please let us know.
Regards
Binoy
2015 Sep 08 9:48 AM
Hi I'm not able to post thru J1IS.
Did you understand my requirement?? I have to reverse the excise duty for Rs. 6125 which is earlier captured now the goods returned hence i have reverse the same. It is sales transaction. please let me know.
2015 Sep 08 10:16 AM
You must use J1IH only. Regarding Error Message KM075, you can check it with your FI team and they will be able to explain you why the Error is appearing and how it can be fixed.
2015 Sep 08 10:52 AM
Hi Ashok, J1IH Addtl. excise or Other Adj.????
2015 Sep 08 11:16 AM
2015 Sep 08 12:35 PM
Hello Lakshmipathi,
I'm finally proposing following procedure to my client.
Step-1: Actual entry at the time of billing:
Excise Duty Paid A/c DR 100
Excise Duty paid A/c CR 100
Step-2: Reverse thru J1IH (Additional Excise option)
BED Inputs A/c DR 20
Cenvat Clearing A/c CR 20
Step-3: Adjustment entry thru FI:
Cenvat Clearing A/c DR 20
Excise Duty Paid A/c CR 20
J2IUN: Step 1 will be shown in liability, Step 2 will be shown in utilization hence the excess duty is nullified.
Step3 is to nullify the Clearing a/c & reduce the balance in expense a/c .
You may give any inputs may or let me know your views.
Regards
Avinash
2015 Sep 08 11:43 AM
Normally Both sales & return orders happening in same sales area-System has to stop where the original invoice stopped--what was the actual sales area vs returns order??
If sales area differs-then what was the default excise group & series group assigned(IMG>>Logistics General>>Tax on Goods movement>>India>>business transactions>>Outgoing excise invoices>>maintain default excise groups & series groups)
Later for this series group have you maintained any Utilizations active??(IMG>>Log:General>>Tax on Goods Movement>>India>>Basis settings>>maintain series groups)
Also Both the excise invoices are having same Excise transaction type?? if not what was the Cr/Dr indicator says for this ETT in Table J_1ITRNACC?
As discussed--Why still you haven't tried J1IH with additional excise option by Mr Lakshmipathi..
Phanikumar
2015 Sep 08 12:37 PM
I'm finally proposing following procedure to my client.
Step-1: Actual entry at the time of billing:
Excise Duty Paid A/c DR 100
Excise Duty paid A/c CR 100
Step-2: Reverse thru J1IH (Additional Excise option)
BED Inputs A/c DR 20
Cenvat Clearing A/c CR 20
Step-3: Adjustment entry thru FI:
Cenvat Clearing A/c DR 20
Excise Duty Paid A/c CR 20
J2IUN: Step 1 will be shown in liability, Step 2 will be shown in utilization hence the excess duty is nullified.
Step3 is to nullify the Clearing a/c & reduce the balance in expense a/c .
You may give any inputs may or let me know your views.
Regards
Avinash
2015 Sep 08 3:56 PM
Please check your step-1 entry--Is it right???
have you checked the my earlier suggestion here--if so what has been identified here??
Phanikumar