Check the below master & config data in the system before the upload of balances.
GL Accounts, Tax codes and Withholding tax codes, Cost Elements, Cost Centres, Material master, Vendor & Customer Master, CIN Masters, User Profiles
Quantity Balance : TCODE: J1I5
GL and Register balance:
RG23A Part2 & RG23C Part2 - pass an Excise JV – The credit account has to be changed to the initial GL balance upload account.
Transferring of balance credit to RG23C Part2 - Posting a normal FI-JV shall transfer the balances of the CENVAT-On-Hold account during the GL balance upload. However, the subsequent credits to RG23C Part2 on account of these purchases is to be posted using an Excise JV- Additional Excise and the credit entry should go to the CENVAT-On-Hold account.
PLA - FI-JV is posted to debit the PLA-On-Hold account for the initial balance.
Number ranges:
Number Range Object | Description |
J_1I57FC | 57AC5 Number Range |
J_1IEXCEXP | Export Excise Invoice Number |
J_1IEXCLOC | Local Excise Invoice number |
J_1IINTNUM | Internal document number |
J_1IPLA2 | PLA part2 serial number |
J_1IRG1 | RG1 number Range |
J_1IRG23A1 | RG23A Part1 serial number |
J_1IRG23A2 | RG23A Part2 serial number |
J_1IRG23C1 | RG23C Part1 serial number |
J_1IRG23C2 | RG23C Part2 serial number |
J_1IINTPR2 | Despatch Register serial number |
Reconciliation of balances
Please ensure that proper reconciliation process/measures are in place. All excise balances are required to be signed off before allowing business transactions.
No comments:
Post a Comment