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USER MANUAL
MATERIAL MANAGEMENT
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1.2 1.3 2 2.1 2.2 2.3 2.4 2.5 3 3.1 3.2 3.3 3.4 3.5 3.6 3.7 3.8 3.9 4 4.1 4.2 4.2.1 4.2.2 4.3 4.4 5 6 7 8 9 10 10.1 10.2 10.3 10.4 10.4.1 10.4.2 10.4.3 10.4.4 10.4.5 10.4.6 11 11.1 11.2 11.3 11.4 11.5 11.6 12
EXCISE GROUP.................................................................................................................................................................... 3 SERIES GROUP..................................................................................................................................................................... 3 ESSENTIAL MASTER DATA FOR EXCISE.................................................................................................................................... 3 Chapter Id......................................................................................................................................................................... 3 Material Chapter ID combination.................................................................................................................................... 3 Material Assessable value................................................................................................................................................. 3 CENVAT Determination...................................................................................................................................................... 3 Vendor Excise details......................................................................................................................................................... 3 TAX CONDITION RECORDS........................................................................................................................................................ 3 Cenvatable Excise Duties Conditions (%ge)...................................................................................................................... 3 Cenvatable Excise Duties Conditions (Qty)...................................................................................................................... 3 Non- Cenvatable Excise Duties Conditions(%ge)............................................................................................................. 3 Non- Cenvatable Excise Duties Conditions(Qty).............................................................................................................. 3 VAT Conditions................................................................................................................................................................... 3 CST Conditions................................................................................................................................................................... 3 Service Tax Conditions: Non-Inventoried........................................................................................................................ 3 Service Tax Conditions: Inventoried................................................................................................................................. 3 Tax Conditions to be Maintained...................................................................................................................................... 3 Procedure for Claiming CENVAT for Raw Materials.............................................................................................. 3 Create the Purchase Order................................................................................................................................................ 3 Goods Receipt...................................................................................................................................................................... 3 Option I: Capture Excise Invoice @ Goods Receipt............................................................................................... 3 Option II: Capture Excise Invoice seperately.......................................................................................................... 3 To check the status of all the excise invoices captured.................................................................................................. 3 Post Excise Invoice.............................................................................................................................................................. 3 Procedure for Claiming CENVAT for Capital Goods............................................................................................... 3 Procedure for Claiming Duties for Imported Goods............................................................................................. 3 Procedure for Claiming CENVAT for Raw Materials w ithout Material ID.................................................... 3 Claiming Custom Duties Purchased from Dealer (w ho has imported the Matrl)...................................... 3 Procedure for Inventorizing Custom Duties Purchased for a Depot............................................................. 3 Procedure for CENVAT Reversals................................................................................................................................ 3 Return Delivery (MvT : 122).............................................................................................................................................. 3 Cancellation of Material Documents.............................................................................................................................. 3 Purchase Order Returns................................................................................................................................................... 3 CENVAT Adjustment Postings (J1IH Excise JV).............................................................................................................. 3 Making Adjustment Postings for Scrap................................................................................................................. 3 Making Adjustment Postings for Materials Not Used in Production................................................................. 3 Making Adjustment Postings for Additional Excise Paid to Vendors................................................................ 3 Making Adjustment Postings for Money Transferred to PLA............................................................................. 3 Canceling Excise Invoices......................................................................................................................................... 3 Making Adjustment Postings for Other Transactions.......................................................................................... 3 Subcontract Challan..................................................................................................................................................... 3 Normal Subcontract Process........................................................................................................................................... 3 Subcontract Process w here Scrap is received from Vendor......................................................................................... 3 Subcontract Process: Return Delivery To Vendor.......................................................................................................... 3 Subcontract Process: Cancellation of Goods Receipt................................................................................................... 3 Subcontracting over consumption or under consumption.......................................................................................... 3 Challan completed 180 days reverse and recredit the challan.................................................................................... 3 Frequently Asked Question........................................................................................................................................... 3
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CIN facilitates handling of tax implications during the Purchase and Sales cycles. This country version is designed for use by businesses w ith operations in India as w ell as the generic SAP System functions. It comprises functions designed for law s and business practices particular to India, and a country template to help you customize the system according to local requirements. Most of the countryspecific functions for India relate to Financials and Logistics. The main areas are as follow s: Excise duty and the central value-added tax system (CENVAT) Withholding tax (also know n as tax deducted at source) Sales tax Maintenance and printing of statutory excise registers
1.1
EXCISE REGISTRATION
Each entity is assigned its ow n excise registration number. Every factory that manufactures excisable goods is required to register separately.
1.2
EXCISE GROUP
This is a unit w ithin an excise registration, in India, w hich keeps its ow n set of excise records. Whereas the excise registration reports to the excise authorities, the excise group is a purely internal organizational unit. Each excise group keeps records of all transactions that have to be reported to the excise authorities. When the time comes to present these records to the authorities, the excise registration compiles the information from all of its excise groups. Excise Group determines Excise Register number range All excise Reports (RT-12, PLA, RG23A Part I & II , RG23C Part I & II) w ill be generated based on this Excise Group.
1.3
SERIES GROUP
Series Group determines number range for outgoing excise invoice / challan ( e.g. 57AC5 challan etc.)
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Excise Master. Material Chapter Id Com bination. Material Assessable Value. CENVAT Determ ination Vendor Excise Details.
2.1
Chapter Id
Select Chapter Id
2.2
Select material chapter ID combination box and then press icon. Select Material & Chapter Id Enter material, plant and chapter ID combination in the respective tabs. Go to New Enteries and Enter the details If the material can be sent outside for subcontracting purpose then put a tick in the check box In the material type tab select appropriate material type. If it is a input material then select the tab Raw material If it is capital item then select Assets. If it is a in-house produced material then select RG1. Select GR --X ref to specify w hether credit is allow ed only for single goods receipt or multiple goods receipt w ith single credit or multiple goods receipt w ith multiple credits. In the declared column enter X if the material is declared to excise Also enter the date of declaration.
2.3
In this section w e enter the assessable value of material w hich is used for the purpose to determine how much excise you can credit to CENVAT account w hen creating a subcontracting challan and vendor returns. Enter the combination plant, material number, valid from, currency, Assessable value. Select Material Assessable Value
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2.4
CENVAT Determination
In this section you have to enter the input and output relationship of the material w ith combination of plant, default indicator for modvat. Companies are required to file w ith the Excise authorities, a list containing the excisable finished products manufactured and the excisable input materials required for such production, to avail Modvat. It is possible that an input material may be used in the production of more than one finished product. How ever, if such a material is mainly used for the manufacture of a particular finished product then the input material is identified to be the default material. The default indicator is marked for such material. Select Cenvat Determination
2.5
In this section the vendor excise details are maintained. The vendor number, his excise registration details, ECC no, Excise Range, Excise Division, Excise Commissionerate, CST no, LST no, Permanent account number, Excise ind for vendor, SSI status (if he is a SSI vendor), Type of vendor and CENVAT (This is applicable for SSI vendor only w ho has participated in the CENVAT scheme). Select Vendor Excise Details
Go to New Enteries and Enter the details NOTE : If the Vendor details are not m aintained, then at the tim e of Vendor Excise Invoice Capturing, the system w ill ask for the Vendor Excise Details, w hich needs to be provided in the Miscellaneous Tab of Excis sub Icon.
3.1
3.2
3.3
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JECO JSEO JAIP IN A/P ECes setoff % IN A/P S&H setoff % IN AED inventory % JEX2 JHX2 JAX2
3.4
3.5
VAT Conditions
Description A/P VAT RM Deductibl A/P VAT CG Deductibl Non Deductable Condition Type JVRN JVCN Description A/P VAT RM Non Deduc A/P VAT CG Non Deduc
3.6
CST Conditions
Description A/P CST Non Deductib
3.7
3.8
3.9
Transaction Code: FV11 Specify the Condition Type & select Key Combination
As per the Key combination ( Plant/Vendor / Material), maintain the Values & Save
For E.Duty, the key combination w ill be as show n below . Select one combination and maintain values
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For VAT, the key combination w ill be as show n below . Select one combination and maintain values
For service Tax, the key combination w ill be only tax classification
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4
Step 1 2 3 4 5 6 7 8 9
4.1
maintained.
Purchase Order is created, w ith Tax code @ line item Invoice Tab. By selecting the Tax code, in the Purchase Order, the duty amount is calculated in the Tax Procedure, as per the Tax Conditions
The main inputs to create Purchase Order w ould be Vendor / Material / Quantity / Plant / Requestor / Price / Tax code / Delivery Date.
4.2
4.2.1
Goods Receipt
Option I: Capture Excise Invoice @ Goods Receipt
The transaction code is MIGO for goods receipt. If the item is cenvatable and all the excise master data are already updated, the excise tab w ill come automatically ( after making the item OK).
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Enter the PO Number, Vendors Delivery Challan Number. Press Enter at this point of time system w ill copy all the relevant information from PO. Enter recieved Quantity in the Quantity Tab quantity in Unit of Entry Field. Enter receiving storage location in Where Tab. If some text needs to be added regarding goods receipt for the line item, then enter the text in the Text Field. Once these are entered, Check the line item as Ok, and Enter, and a Excise Invoice tab w ill appear in the Header screen. The follow ing options are available in Excise Tab (1) Only capture excise invoice : It w ill capture the excise details & post Part I only
(2) Capture & Post Excise Invoice : This w ill update Part1 and Part 2. (2) Only refer excise invoice (3) Only Part 1 (4) No Excise Entry : It w ill not capture excise invoice, no part I posting : This w ill update the Part 1 only : There w ill be no excise entry
Select Only Capture Excise Invoice on this tab and check the Excise group. Check the excise details related to the line item recieved material in Excise Tab in Detail Data Screen as show n below :
The Goods Receiver can change the follow ing at the time of GR (1) Chapter ID (2) Excise invoice quantity (3) Base Value / Excise Rates / Amount (4) Description of the material as per Excise Invoice Automatically system w ill recalculate the excise duty based on this excise Base value and excise rate. Once all the data is captured correctly, check Check button in tool bar. Press Post button to save the Goods receipt ,system w ill generate the Goods receipt Document. System w ill Automatically update the Part I register as soon as the GR is made.
4.2.2
Transaction code J1IEX_C Capture the Vendors Excise Invoice Select Capture Excise Invoice and Purchase Order in w indow s above the Header if the Excise Invoice is being captured prior to Goods Receipt.
Select Capture Excise Invoice and Goods Receipt in w indow s above the Header if the Excise Invoice is being captured after Goods Receipt.
The follow ing can be changed at the time of Capturing (1) Chapter ID (2) Excise invoice quantity (3) Base Value (4) Excise Rates / Amount.
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The Goods Receiver w ill make one GR for each excise invioce. The Supplier can later on submit a separate Commercial invoice for all the supplies & excise Invoices. Invoice verification w ill be based on Purchase Order against w hich several line items w ill appear based on GR document number. At the end of the day, the Goods receiver w ill generate a list of cases w here items are cenvatable & excise invoices are `Captured. This report w ill show the Internally generated excise serial numbers. The goods receiver w ill send this report attaching all the cenvat documents received during the day.
4.3
Transaction code J1I7 Selection criteria can be mainly Excise Group. You can select further the follow ing (1) No posting done (2) Part I & Part II posted (3) Part 1 posted, part II not posted.
4.4
At the end of the day, the Excise Personnel w ill receive a list from Stores attaching all the cenvat documents during the day. Then based on this list, he w ill enter transaction code J1IEX / J1IEX_P Select `POST if no change is required.
Now you can `POST CENVAT System w ill post the cenvat amount in RG23 Part II based on material type (inputs / Capital Goods).
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How ever if you w ant to change the excise details go to the Change mode... Here you can change the follow ing: 1. Chapter Id 2. Description of material 3. Invoice No. 4. Document date 5. Ship from ( under miscellaneous tab) 6. Base price 7. Excise duty (both higher side as w ell as low er side, then that present) System w ill show the RG23 Part 1 serial no., GR no. PO number. You can change the excise vendor also.
5
Step 1
2 3 4 5
Maintain Tax Conditions Create Purchase Order Goods Receipt (Capture Excise Invoice) List of Excise Invoice, w here it is captured but not Posted
Plant / Material / Vendor / Tax Classification Vendor / Material / Qty / Plant / Price / Tax Code PO No. / Qty / Excise Inv # / Ex. Invoice Dt Excise Group
6 7 8 9 10
Change Excise Invoice ( if Required) Post Excise Invoice Capital Goods Transfer of Credit ( post 50% credit) Updation of Registers Print of Registers
Vendor Ex. Inv / Date Vendor Ex. Inv / Date Company code / Excise Grp / Plant / Excise Group / Start Dt / End Dt Excise Group / Start Dt / End Dt
Excise Personnel Excise Personnel Excise Personnel Excise Personnel Excise Personnel
Businesses are allow ed to set off excise duty on purchases of capital goods against excise duty on outputs. How ever, unlike w ith raw materials, you can only set off half of the duty in the first year, and the rest in any year after that. Prerequisites : In the material master (J1ID) , you have classified the capital goods as such. Features : When you post an excise invoice that contains capital goods, the system posts half of the excise duty to your CENVAT account and posts the rest to a G/L account for CENVAT on hold. In follow ing years, you can use a report to identify the capital goods w ith excise duty on hold and transfer the duty to the CENVAT account (see Transfer of CENVAT Credit on Capital Goods). Steps: When w orking w ith excise invoices that include capital goods, note the follow ing: Capturing vendor excise invoices
When you create an excise invoice w ith capital goods, you have to set the material type to A (assets), C (consumables), or T (tools). Posting excise invoices
When you come to post the excise invoice, the system posts only half of the excise duty to the CENVAT account. Transfer of CENVAT Credit on Capital Goods (Transaction code : J2I8) * *You use this report to display a list of the vendor excise invoices w here the vendor has levied excise duty but you have not posted it (in full) to your CENVAT account. This is particularly useful in the case of capital goods, in order to find out how much credit remains from previous years.
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Output The system displays a list of excise invoices w ith excise duty outstanding. It show s you: The total amounts of the various types of excise duties levied on the excise invoice How much duty has still to be posted to the CENVAT account
Select the excise invoices that you w ant and choose Transfer credit. If you w ant to transfer only a portion of the remaining amount, enter this amount as the amount to be credited. The system creates an accounting document to post the duty to the CENVAT account and creates an entry in the Part II register.
You can select all or select items and then press `Transfer Credit
6
Step 1
ME21N
Purchaser / Buyer
Ammend Purchase Order w ith the Customs Duties conditions (for domestic custom vendor)
Custom duty Conditions : JCDB - IN Basic Customs JCV1 - IN CVD - Foreign Ven JECV - IN ECS-CVD:ForVend J1CV- IN HECS-CVD:For Ven JEDB- IN ECS on Cust Duty JSDB - IN SH ECS on BCD JADC - IN Ad Duty Cus:For V
ME22N
Purchaser / Buyer
4 5 6 7 8 9 10
Post Invoice for Custom Vendor and Foreign Vendor. Goods Receipt (Capture Excise Invoice) List of Excise Invoice, w here it is captured but not Posted Change Excise Invoice ( if Required) Post Excise Invoice Updation of Registers Print of Registers
PO / Vendor code : Planned Delivery Costs PO No. / Qty / Excise Inv # / Ex. Invoice Dt Excise Group Vendor Ex. Inv / Date Vendor Ex. Inv / Date Excise Group / Start Dt / End Dt Excise Group / Start Dt / End Dt
Accounts Stores Excise Personnel Excise Personnel Excise Personnel Excise Personnel Excise Personnel
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Step 1
2 3 4
Maintain Tax Conditions Create Purchase Order Goods Receipt (Capture Excise Invoice)
Excise Group
J1I7
Excise Personnel
6 7 8 9
Change Excise Invoice ( if Required) Post Excise Invoice Updation of Registers Print of Registers
Vendor Ex. Inv / Date Vendor Ex. Inv / Date Excise Group / Start Dt / End Dt Excise Group / Start Dt / End Dt
Claiming Custom Duties Purchased from Dealer (who has imported the Matrl)
Use : The materials are procurred from a domestic vendor w ho imports the material. This domestic Vendor passes on the CVD and SAD duties, w hich have to be captured as BED and AED. Step 1 Description Maintain Excise Rate Maintenance details Inputs Material, chapter Id, Assessable Value T.Code J1ID Role Purchaser / Buyer / Excise Personnel 2 Maintain Tax conditions Maintian tax conditions w ith BED / AED conditions as 0%, as this is going to be replaced by CVD and SAD values from the pricing procedure. 3 NOTE Create Purchase Order Maintain CVD and SAD values in the pricing procedure PO Condition Tab. 3 Post Invoice for Custom Vendor and Foreign Vendor. 4 5 Goods Receipt (Capture Excise Invoice) List of Excise Invoice, w here it is captured but not Posted 6 7 8 9 Change Excise Invoice ( if Required) Post Excise Invoice Updation of Registers Print of Registers Vendor Ex. Inv / Date Vendor Ex. Inv / Date Excise Group / Start Dt / End Dt Excise Group / Start Dt / End Dt J1IEX J1IEX J1I5 ZJ2I6 / ZJ2I6RG23C Excise Personnel Excise Personnel Excise Personnel Excise Personnel PO No. / Qty / Excise Inv # / Ex. Invoice Dt Excise Group MIGO J1I7 Stores Excise Personnel Vendor / Material / Qty / Plant / Price / Tax Code PO Line Item Condition tab specify CVD Amt for the condn type JEXC and SAD for condn type ZADC. PO / Vendor code : Planned Delivery Costs MIRO Accounts ME21N ME21N FV11 Purchaser / Buyer / Excise Personnel Purchaser / Buyer Purchaser / Buyer
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Use : The materials are procurred for a depot, w here, the Custom Duties get inventorized, captured in transaction J1IG and then the same duties are picked in sales invoice for passing on to Customer. Process: Step 1 Description Maintain Excise Rate Maintenance details Inputs Material, chapter Id, Assessable Value T.Code J1ID Role Purchaser / Buyer / Excise Personnel 2 Maintain Zero Tax conditions Maintain Zero Tax conditions FV11 Purchaser / Buyer / Excise Personnel 3 NOTE Create Purchase Order Maintain all the Custom Duties in PO Line item condition tab For External Vendors and also Inter Company purchases Vendor / Material / Qty / Plant / Price / Zero Tax Code The follow ing Condition types needs to be selected for inventorizing the Custom Duties: JCDB - IN Basic Customs JCV3- IN CVD Inventory JECI- IN ECS-CVD:Inventory J1CI- IN HECS-CVD: Inven'y JEDB- IN ECS on Cust Duty JSDB- IN SH ECS on BCD JADI- IN Ad Duty Cus:Inven ME21N ME21N Purchaser / Buyer Purchaser / Buyer
4 5
Goods Receipt (Do not capture Excise Invoice) Capture Excise Invoice for Depot
PO No. / Qty Material Doc # (GR), Excise Group, Excise Inv # / Dt.
MIGO J1IG
10
Cenvat reversals due to: 1. Return delivery. 2. Cancellation of Material Document. 3. Purchase Order Returns. 4. CENVAT Adjustments.
10.1
Step 1 2 3
On rejection of material ( Return Delivery: using 122 movement type) , the user w ill use the transaction J1IS to generate an outgoing Excise Invoice w hich w ill reverse the cenvat credit. Steps involved: (a) Enter MIGO (b) Select Return Delivery & Material Document (c) Enter the Original material document no. (GR No.) (d) Enter reason for movement (e) Check & Post. System w ill generate a document number.
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For Excise Invoice creation ( to send back the material) (a) Transaction Code: J1IS (b) Reference Doc. Type MATD (c) Document No. is the rejected GR No. (d) Enter Document year, Series Group and Excise Group. (g) Sub transaction type w ill be blank. Then press h) System w ill display cenvat amount, chapter ID, quantity etc. If everything is OK (i) Please remember, if the RG23 part II is not posted for this GR, system w ill not fetch automatically the Value and excise duty. (j) Save. System w ill generate an Excise Invoice Number. Note dow n this number. (k) Enter J1IV (Print excise invoice ).
Note : for those material w ithout Material ID, a dummy material ID needs to be created and assigned during Excise Invoice Creation in J1IS. The Description of the Material can then be changed to the original material description, that is being sent out.
10.2
Purpose : Assume you have posted a goods receipt and then posted the CENVAT on the excise invoice accordingly. Then it transpires there is a problem w ith the goods and the goods receipt has to be reversed. Under excise law s that means you are no longer entitled to the CENVAT credit. In the SAP System, therefore, you have to reverse CENVAT posting correspondingly. Process Flow : Step 1 2 3 Description Cancellation / Material Document Post Excise Invoice Cancel Excise Invoice (if required) Inputs GR Material Doc No. / Qty / MvT: 102 Vendor Excise Invoice Vendor Excise Invoice T.Code MIGO J1IEX J1IEX Role Stores Excise Personnel Excise Personnel
1. You reverse the goods receipt: 1. Go to Transaction Code - MIGO and select: Cancellation and Material Document 2. Enter the number of the goods receipt that you w ant to cancel 3. Choose the line item and Flag the line items as OK 4. Save the reversal document 5. The system: Creates a reversal document to cancel the goods receipt. Creates additional entries in Part I of the appropriate excise register to reverse the original entries. Changes the excise invoice document status to In process.
2. You reverse the CENVAT posting on the excise invoice: 1. 6. Go to Transaction Code - J1IEX.
2. Select : Post CENVAT and Vendor Excise Invoice 3. Enter the Vendors Excise Invoice Number. 4. Choose Simulate. 5. A dialog box appears, show ing w hich postings the system w ill make to reverse the CENVAT. 6. Choose Post CENVAT.
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- The System : -
Creates an accounting document to reverse the CENVAT postings Creates a corresponding entry in Part II of the appropriate excise register
3. If your plant does not allow m ultiple goods receipts per excise invoice, you m ust also cancel the excise invoice: The system changes the excise invoice status to Canceled. If, how ever, you do allow m ultiple goods receipts per excise invoice, you do not have to cancel it. If you w ant, you can leave the excise invoice as it stands. Then, if you receive another delivery of goods for this excise invoice, enter the excise invoice number w hen you post the goods receipt. 1. 1. Go to Transaction Code - J1IEX.
2. Select : CANCEL and Vendor Excise Invoice 3. Enter Vendor Excise Invoice. 4. 4. Save the Excise Invoice.
10.3
Process Flow : Step 1 2 3 4 5 Description Create Purchase Order w ith Returns Indicator. Create Outbound Delivery w .r.t Purchase Order Post goods Issues Create Excise Invoice Print Excise Invoice Inputs Doc Type: ZRTN / Vendor / Material / Qty / Plant / Price / Tax Code Purchase Order #, Select the proper variant. Do PGI w ith proper Reason for MvT Goods Issue Mat Doc # Excise Invoice #, Output Type : JREC T.Code ME21N VL10B VL02N J1IS J1IV Role Purchaser / Buyer Stores Stores Excise Personnel Excise Personnel
10.4
Use: - You use these functions to make an adjustment posting to any of your CENVAT accounts.
10.4.1
Use : - You follow this procedure if you have scrapped a material and w ant to reverse the excise duty debited to your CENVAT account.
10.4.2
Use: - You follow this procedure if you have not used a material in the production process and w ant to reverse the excise duty debited to your CENVAT account. Procedure: 1. J1IH - Excise JV / Create / Matl w rite-off. 2. Enter data as required, including: Document number (This Document is of Movement Type 551 i.e. GI for Scrap) CENVAT account selection group box. Specify w hich account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment. 3. Click on Enter button. The system displays the information from the material document. 4. Adjust the posting date as necessary. 5. Adjust the excise duty for each line item either: Manually or By assigning the line item to an excise invoice 6. Specify w hich G/L accounts are to be posted to. Here you can change Debit A/c as per your requirement. 7. Save the adjustment posting. System w ill post Excise JV Document, Accounting Document Part2 Serial No.
10.4.3
Use: - You follow this procedure if a vendor has increased the amount of excise duty that it originally charged you and you w ant to debit the difference to your CENVAT account. Procedure: 1. J1IH / Excise JV / Additional excise. 2. Enter data as required. In the Document number field, enter then number of the document sent to you by the vendor. Click on Enter button.
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3. Adjust the posting date as necessary and Enter Vendor Name. 4. Enter the amount of excise duty in either of the follow ing w ays:
To enter line items for different materials and the excise duty accordingly, choose Details button and enter the line items in the table. Here Enter Material code, quantity as per excise invoice, reference document (i.e. GRN Document), batch no., BED and Ed Cess Amount to be posted. To enter the excise duty only, choose Header button and enter the excise duty in the totals fields at the foot of the screen. 5. If the duty qualifies as countervailing duty (CVD): a. Select CVD applicable. b. Enter the CVD amount in the BED amount field. 6. Specify w hich G/L accounts are to be posted to and Save the adjustment posting. System w ill post Excise JV Document; Accounting Document w ith Part 2 Serial No.
10.4.4
Use : - You follow this procedure to make an adjustment posting w hen you transfer money to your personal ledger account (PLA). Prerequisites: - You have already transferred the money to your PLA at the bank, using a TR6 challan, and have posted the corresponding accounting document. Procedure: 1. J1IH / Excise JV / TR6 challan. 2. Enter data as required, including the document number. You can enter either the challan number OR the number of the accounting document (This document is to be first created through T. Code FB50. In this Document Debit PLA on Hold A/c and Credit Bank A/c w ith the Amount to be transferred in PLA CENVAT Accounts) 3. Click on Enter button. If you entered the accounting document number, the system displays the information from it. 4. Enter the amounts against the accounts that you require. 5. Save the adjustment posting. 6. System w ill post Excise JV Document; Accounting Document w ith Part2 Serial No.
10.4.5
Use: - You follow this procedure in order to cancel an outgoing excise invoice. It reverses any excise duty accounted for. Procedure: 1. J1IH / Excise JV / Cancel exc. inv. 2. Enter the number, year, and series group of the excise invoice that you w ant to cancel. A dialog box appears.Choose Yes. 3. Before posting the document check the Accounting document going to be generated. Here click on Determine G/L Accounts button. 4. Save the adjustment posting. System w ill post Excise JV Document; Accounting Document w ith Part2 Serial No.
10.4.6
Use: - You follow this procedure if you w ant to make an adjustment posting that does not fall into any of the other categories of adjustment offered by this function. You can only use an external document as your reference document. Procedure: 1. J1IH / Excise JV / Other adj. 2. Enter data as required, including: Document number Enter the number of the external document that you w ant to refer to. CENVAT account selection group box Specify w hich account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment. 3. Click on Enter button. The system displays the information from the material document. 4. Adjust the posting date as necessary and enter Vendor code as per requirement. 5. Enter the amount of excise duty in either of the follow ing w ays: To enter line items for different materials and the excise duty accordingly, choose Details button and enter the line items in the table. Here fill details like Material Code, Quantity as per Excise Invoice, Batch No, Reference (i.e. GRN Document), BED and Ed Cess Amount manually. If you w ant system to propose the BED and Ed Cess Amount, Click on Get Excise Invoice button and select the proper Excise Invoice from w hich the proportionate amount is to be copied. Select the Excise Invoice and click on Continue button. It w ill copy BED and Ed Cess and SECess amount as per the quantity mentioned here. It w ill be proposed in proportion of selected Excise Invoice quantity and value. To enter the excise duty only, choose Header button and enter the excise duty in the totals fields at the foot of the screen. 6. Specify w hich G/L accounts are to be posted to. 7. Save the adjustment posting. System w ill post Excise JV Document; Accounting Document w ith Part2 Serial No. TIPS to sim plify Excise JV transactions: - (J1IH) 1. 1. Assigning Excise Invoices to Line Item s
Use: - When you make an adjustment posting, you follow this procedure if you w ant to specify the original excise invoice associated w ith a line item. Procedure: 1. Select the line item that you w ant and choose Get excise invoice. The system displays a list of all the excise invoices that you have posted from this vendor for this particular material. 2. Select the excise invoice that you w ant and click on Enter button. The system: Enters the excise invoice document number in the Ref. doc. field (Reference document). Calculates how much of the excise duty from the excise invoice should be apportioned to the line item and enters it in the excise duty fields. If you then overw rite these amounts, you should also overw rite the reference document number w ith an explanatory text, since there is no point in maintaining the link to the reference document anymore.
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1. 2. Specifying Which CENVAT Accounts to Adjust
Use: - When you make an adjustment posting, you have to specify w hich CENVAT accounts are to be adjusted. Procedure: 1. Choose Determine G/L accounts. A dialog box appears that show s how much w ill be posted to w hich G/L accounts. The accounts that are displayed depend on the excise group and the CENVAT account that you entered on the selection screen. 2. Add another account, if you need to, and adjust the other postings so that the credits and debits match. 3. Enter a business area and cost center, if necessary. 4. To close the dialog box, click on Enter button. 3. Displaying CENVAT Account Balances To display the balances of your CENVAT accounts, choose Balances. The system displays the balances only of the CENVAT accounts that are affected by your G/L postings.
11
Subcontract Challan
11.1
Step 1
Create transfer Posting of materials sent out for subcontracting w ith reference to Subcontractor PO.
J1IF01
Excise Personnel
J1IF11
Excise Personnel
PO NO./Delivery Note/Posting date/Excise Invioce Tab -Refer subcontracting challan /storage location
MIGO
Stores
J1IFQ
Excise Personnel
J1IFR
Excise Personnel
J1IF13
Excise Personnel
J1IF12
Excise Personnel
Header Material
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Sub-Component
1. 2.
Transfer Posting of Sub-com ponents to Vendor: (ME2O) Select the Line Item and Create Delivery or Post Goods Issue
2. 3. 3. 4.
Create Subcontract Challan w .r.t the Transferred Material Docum ent: (J1IF01)
4. 4.
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5. 5.
Select Refer Subcontracting Challan, and in the sub-w indow , specify the correct Challan No
If the Challan No specified is that of different Vendor, then the follow ing below message is show n.
If the Challan No specified is that of different PO, then the follow ing below message is show n.
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1. 6.
If the Previous Material Document for the Challan is not reconcilled, system w ill issue a Warning Message. If the Previous GR document is not reconcilled w ith the challan, the system w ill trigger a message as show n below :
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1. 7.
If the Challan No specified during GR, is w rong, then delete the challan Assignment, select the function here.
Select this icon, to bring in the Qty from Material Doc, to Assigned Qty in Challan.
1. 8.
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1. 9.
11.2
Step 1
Create transfer Posting of materials sent out for subcontracting w ith reference to Subcontractor PO.
J1IF01
Excise Personnel
J1IF11
Excise Personnel
PO NO./Delivery Note/Posting date/Excise Invioce Tab -Refer subcontracting challan /storage location
MIGO
Stores
MB1B / MIGO
Stores
J1IFQ
Excise Personnel
J1IFR
Excise Personnel
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9 Complete/Reverse/Recredit Subcontracting challan
10
J1IF12
Excise Personnel
11
Whatever the material received from Vendor as scrap, is to be scrapped w ith MvT 551 to a cost center.
MB1A / MIGO
Stores
11.3
Step 1
2 3
Select the material, and do PGI or create Delivery. Materail doc / Fiscal year / Excise group / Series group
J1IF11
Excise Personnel
PO NO./Delivery Note/Posting date/Excise Invioce Tab -Refer subcontracting challan /storage location
MIGO
Stores
J1IFQ
Excise Personnel
If the recived material fails in quality & need to send back to Vendor -return delivery
MIGO
Stores
Create new subcontracting challans for this outgoing materials, as this material had come against old challan, and that challan is already reconcilled.
J1IF01
Excise Personnel
J1IF13
Excise Personnel
10 11
Recive back the return delivery materialsent by vendor Again Reconcile & complete the return delivery challan.
101 and 543 movement type/ challan number/ year Material document/ challan no./fiscal year
MIGO J1IFQ
11.4
Step 1
2 3
Create transfer Posting of materials sent out for sub-contracting w ith reference to Subcontractor PO. Create Subcontracting challan
Select the material, and do PGI or create Delivery. Materail doc / Fiscal year / Excise group / Series group
ME2O J1IF01
J1IF11
Excise Personnel
PO NO./Delivery Note/Posting date/Excise Invioce Tab Refer subcontracting challan /storage location
MIGO
Stores
J1ifQ
Excise Personnel
If the recived material is not w ith good quality & Goods Receipt needs to be cancelled.
Cancellation /material document/102 and 544 movement type /plant / material docuemt number /
MIGO
Stores
Create new subcontracting challans for this outgoing materials (as this is cancelled/rejected), as this material had come against old challan, and that challan is already reconcilled.
J1IF01
Excise Personnel
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9 Complete/Reverse/Recredit First Subcontracting challan
10 11
Recive back the cancelled delivery material sent by vendor against new challan. Reconcile the challan
101 and 543 movement type/ challan number/ year Material document/ challan no./fiscal year
MIGO J1IFQ
12
J1if13
Excise personal
11.5
Step 1
Create transfer Posting of materials sent out for sub-contracting w ith reference to Subcontractor PO.
ME2O
Stores
J1IF01
Excise Personnel
J1IF11
Excise Personnel
PO NO./Delivery Note/Posting date/Excise Invioce Tab -Refer subcontracting challan /storage location
MIGO
Stores
J1IFQ
Excise Personnel
7 8
If the material is over consumption do subsequnet adjustment Do the reconcilation w ith this Doc #.
Subsequent adjustment / parchase order / 121and 543 movement type/ Qty Material document/challan no.
MIGO J1IFQ
J1IF13
Excise Personnel
10 11
If the material is under consumption do subsequnet adjustment . Create new challan w .r.t the 544 MvT Document.
544 movement type w ill get triggered/purchase order number Create new challan w .r.t the 544 MvT Document.
MIGO J1IF01
12 12
13
J1IF13
Excise personnel
11.6
Step 1 2 3 4 5 6 7
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12
Question: For capital Goods, in normal posting the AED CENVAT posted for the present year is 50%, w hereas it should be 100%. Answ er : Select Excise Subtransaction type IP at the time of Posting at Excise Header Tab, w hich w ill post AED as 100%, and BED, Ecess and SHEcess as 50% for this financial year. Question: During Post of Excise Invoice, the system doesnt allow to increase the Excise Duty Value. Answ er : The change in duty values needs to be done in Change Excise Invoice transaction @ J1IEX and not during Posting of Excise Invoice. Question : I have to specify BED manually and not through condition records. Answ er : The manual excise amount for BED can be specified in the Pricing Procedure ( PO Condition tab), w herein it w ill update the Tax Procedure.
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cin bh
2 Comments
Guest
verynice w ork pramod kumar.
G Srinivas
Thanks for the post....it is really help full .....I cont view the screen shoots of the above posting....if possible can you post the document to my mail ID: cnu.chlorophyll@gmail.com Thanks in advance.... Regards, Srinivas
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