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SAP Accounting Entries Guide

1. The document provides accounting entries for various transactions in SAP across the procure-to-pay, produce, order-to-cash, and asset lifecycles. It includes entries for goods receipt, invoice posting, payments, production, sales, excise, and asset transactions. 2. Over 60 accounting entries are listed with details of the transaction code, document type, general ledger accounts debited and credited, and a brief description of the transaction. 3. The accounting entries follow double-entry accounting principles and ensure complete recording of transactions in SAP.
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0% found this document useful (0 votes)
340 views7 pages

SAP Accounting Entries Guide

1. The document provides accounting entries for various transactions in SAP across the procure-to-pay, produce, order-to-cash, and asset lifecycles. It includes entries for goods receipt, invoice posting, payments, production, sales, excise, and asset transactions. 2. Over 60 accounting entries are listed with details of the transaction code, document type, general ledger accounts debited and credited, and a brief description of the transaction. 3. The accounting entries follow double-entry accounting principles and ensure complete recording of transactions in SAP.
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLS, PDF, TXT or read online on Scribd
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Accounting Entries in SAP

S
No Transaction T Code
Other
Info
GL
Account Accounting Entry
Procure to Pay Cycle
1 Goods Receipt without QA Check MIGO Mvt 101 202000 Dr. Inventory A/c
106608 Cr. GR/IR Clearing A/c
106604 Cr. Freight Clearing A/c
106606 Cr. Customs Duty Clearing A/c
2 Goods Receipt with QA Check MIGO Mvt 103 No Accounting Entry
3 Release GR Blocked Stock MIGO Mvt 105 202000 Dr. Inventory A/c
106608 Cr. GR/IR Clearing A/c
106604 Cr. Freight Clearing A/c
106606 Cr. Customs Duty Clearing A/c
402200 Dr/Cr Price Difference A/c
4 Excise Invoice Posting J1IEX 208001 Dr. CENVAT Input BED A/c
208061 Dr. CENVAT Input ECS A/c
208081 Dr. CENVAT Input SHE A/c
208460 Cr. CENVAT Input Clearing A/c
5 Service Entry Sheet ML81N Dr. Expense A/c
106608 Cr. GR/IR Clearing A/c
6 Invoice Verification - LIV MIRO / MIR7 106608 Dr. GR/IR Clearing A/c
208460 Dr. Cenvat Input Clearing A/c
205305 Dr. VAT Receivable A/c
106000 Cr. Vendor A/c (Accounts Payable)
7 Invoice Verification OF Custom duty /freight etc MIRO / MIR7 106606 Dr. Custom Duty Clearing A/c
106604 Dr. Frieght Clearing A/C
106000 Cr. Vendor A/c (Accounts Payable)
8 Payment to Vendor F-53 / F-58 106000 Dr. Vendor A/c (Accounts Payable)
103502 Cr. Bank Account A/c
9 Payment to Foreign Vendor F-53 / F-58 106000 Dr. Vendor A/c (Accounts Payable)
103502 Cr. Bank Account A/c
407901 Dr/Cr Exchange Fluctuation A/c
Production Related Transactions
10 Goods Issued to Production MIRO Mvt 261 401000 Dr. Material Consumption A/c
202000 Cr. Inventory A/c
11 Goods Receipt to Warehouse from Process Order MIGO Mvt 101 202000 Dr. Inventory A/c
402000 Cr. Change in Inventory A/c
12 Variance Calculation on Prodction Order Settlement KO88 402200 Dr/Cr Price Difference A/c
402000 Cr/Dr Change in Inventory A/c
13 WIP Calculation KKAX 202036 Dr. WIP Account
402001 Cr. Change in WIP A/c
Order to Cash Cycle
14 Goods Delivery to Customer - PGI VL01N 402300 Dr. Cost of Goods Sold A/c
(Outbound Delivery) 202000 Cr. Inventory A/c
15 Raising of Sales Invoices VF01 203000 Dr. Customer A/c ( Accounts Receivable)
301000 Cr. Sales A/c
208440 Cr. CENVAT Output Clearing A/c
106100 Cr. VAT Payable A/c
106613 Cr. Pro Fright O/w Claim A/c
106615 Cr. Pro Export Exp A/c
406005 Dr. Freight Outward-XP A/c
106615 Cr. Pro Export Exp A/c
406003 Dr. Commissn On XP Sales A/c
16 Raising of Excise Invoices J1IIN 208440 Dr. CENVAT Output Clearing A/c
106201 Cr. Excise BED Payable A/c
106221 Cr. Excise ECS Payable A/c
106241 Cr. Excise SHE Payable A/c
17 Accounting Entry in case of Sale of Scrap VF01 203000 Dr. Customer A/c ( Accounts Receivable)
302027 Cr. Income From Scrap Sale A/c
208440 Cr. CENVAT Output Clearing A/c
106100 Cr. VAT Payable A/c
106126 Cr. TCS - Scrap Sales
18 Raising of Excise Invoices for Scrap J1IIN 208440 Dr. CENVAT Output Clearing A/c
106201 Cr. Excise BED Payable A/c
106221 Cr. Excise ECS Payable A/c
106241 Cr. Excise SHE Payable A/c
19 Receipt of Amount from Customer F-28 103501 Dr. Bank Account A/c
203000 Cr. Customer A/c ( Accounts Receivable)
20 Receipt of Amount from Foreign Customer F-28 103501 Dr. Bank Account A/c
203001 Cr. Customer A/c ( Accounts Receivable)
407901 Dr/Cr Exchange Fluctuation A/c
Sub Contracting
21 When Goods Issued to Sub Contractor No Accounting entry
22 Goods receipt from Sub Contractor 401000 Dr Material Consumption A/c
202000 Cr Inventory A/c
403019 Dr Sub Contracting Charges A/c
106608 Cr GR/IR Clearing A/c
202021 Dr Inventory Semi Finished / Finished Goods A/c
402000 Cr Change in Inventory A/c
23 Invoice Verification Job Work MIRO 106608 Dr. GR/IR Clearing A/c
208501 Dr. Service Tax Unpaid A/c
106000 Cr. Vendor A/c (Accounts Payable)
24 Payment to Vendor F-53 / F-58 106000 Dr. Vendor A/c (Accounts Payable)
103502 Cr. Bank Account A/c
Service Tax Entries
25 FI Invoice Booking with Service Tax FB60 Dr. Expense A/c
208501 Dr. Service Tax Unpaid A/c
208521 Dr. Service Tax ECS Unpaid A/c
208541 Dr. Service Tax SHE Unpaid A/c
106000 Cr. Vendor A/c (Accounts Payable)
26 Transfer of Service Tax Unpaid to Service Tax Paid S_AC0_52000644 208501 Dr. Service Tax Paid A/c
208521 Dr. Service Tax ECS Paid A/c
208541 Dr. Service Tax SHE Paid A/c
208601 Cr. Service Tax Unpaid A/c
208521 Cr. Service Tax ECS Unpaid A/c
208541 Cr. Service Tax SHE Unpaid A/c
27 Service Tax Utilization J2IUN 106201 Dr. Excise BED Payable A/c
106221 Dr. Excise ECS Payable A/c
106241 Dr. Excise SHE Payable A/c
208001 Cr. CENVAT Input BED-RG23A A/c
208061 Cr. CENVAT Input ECS-RG23A A/c
208081 Cr. CENVAT Input SHE-RG23A A/c
208601 Cr. Service Tax Paid A/c
208621 Cr. Service Tax ECS Paid A/c
208641 Cr. Service Tax SHE Paid A/c
208301 Cr. PLA BED A/c
208361 Cr. PLA ECS A/c
208381 Cr. PLA SHE A/c
GTA Entries
28 GTA Invoice Bookin - Credit Available FB60 208700 Dr. GTA ST Receivable
208710 Dr. GTA ST ECS Receivable
(GTA Service Tax on Inward ) 208720 Dr. GTA ST SHE Recble
106300 Cr. GTA STax Payable
106310 Cr. GTA EC STax Payable
106320 Cr. GTA SHEC STax Payble
29 GTA Invoice Bookin - Refundable FB60 208730 Dr. GTA Refundable
208730 Dr. GTA Refundable
(GTA Service Tax on Export ) 208730 Dr. GTA Refundable
106300 Cr. GTA STax Payable
106310 Cr. GTA EC STax Payable
106320 Cr. GTA SHEC STax Payble
30 GTA Invoice Bookin - No Refund & No Credit FB60 405013 Dr. Service Tax
405013 Dr. Service Tax
(GTA Service Tax on Outward ) 405013 Dr. Service Tax
106300 Cr. GTA STax Payable
106310 Cr. GTA EC STax Payable
106320 Cr. GTA SHEC STax Payble
CIN / Exsice Entries
31 Inward Excise Invoice Posting - Goods Receipt J1IEX 208001 Dr. CENVAT Input BED A/c
208061 Dr. CENVAT Input ECS A/c
208081 Dr. CENVAT Input SHE A/c
208460 Cr. CENVAT Input Clearing A/c
32 Invoice Verification MIRO 106608 Dr. GR/IR Clearing A/c
208460 Dr. Cenvat Input Clearing A/c
205305 Dr. VAT Receivable A/c
106000 Cr. Vendor A/c (Accounts Payable)
33 Raising of Sales Invoices VF01 203000 Dr. Customer A/c ( Accounts Receivable)
301000 Cr. Sales A/c
208440 Cr. CENVAT Output Clearing A/c
106100 Cr. VAT Payable A/c
34 Payment of Exise duty in PLA F-53 208401 Dr. PLA Hold A/c
103502 Dr. Bank A/c
35 Updation of TR6 J1IH 208301 Dr. PLA BED A/c
208321 Dr. PLA ECS A/c
208341 Dr. PLA SHE A/c
208401 Cr. PLA Hold A/c
36 Monthly Utilization J2IUN 106201 Dr. Excise BED Payable A/c
106221 Dr. Excise ECS Payable A/c
106241 Dr. Excise SHE Payable A/c
208001 Cr. CENVAT Input BED-RG23A A/c
208061 Cr. CENVAT Input ECS-RG23A A/c
208081 Cr. CENVAT Input SHE-RG23A A/c
208601 Cr. Service Tax Paid A/c
208621 Cr. Service Tax ECS Paid A/c
208641 Cr. Service Tax SHE Paid A/c
208301 Cr. PLA BED A/c
208361 Cr. PLA ECS A/c
208381 Cr. PLA SHE A/c
37 Inward Excise Invoice Posting - Asset Receipt 208101 Dr. CENVAT Input BED RG23C A/c
208161 Dr. CENVAT Input ECS RG23C A/c
208181 Dr. CENVAT Input SHE RG23C A/c
208201 Dr. CENVAT Hold RG23C A/c
208640 Cr. CENVAT Input Clearing A/c
38 Outward Excise Invoice Posting - Asset Sale 208440 Dr. CENVAT Output Clearing A/c
106201 Cr. Excise BED Payable A/c
106221 Cr. Excise ECS Payable A/c
106241 Cr. Excise SHE Payable A/c
39 Raising of Sales Invoices - for Asset VF01 203000 Dr. Customer A/c
500100 Cr. Clearing Account - Sale of Assets
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
Other Transactions
40 Advance Payament to Vendors F-48 205912 Dr. Vendor A/c (Advance Payment Vend)
103502 Cr. Bank A/c
41 Advance Receipt from Customers F-29 103501 Dr. Bank A/c
106901 Cr. Customer A/c (Adv Pmt frm Customer)
BRS Transactions
42 Outgoing Checks FF67 103502 Dr. Outgoing checks A/c
103500 Cr. Main Bank A/c
43 Incoming Checks FF67 103500 Dr. Main Bank A/c
103501 Cr. Incoming A/c
44 Direct Deposit in Bank FF67 103500 Dr. Main Bank A/c
103503 Cr. BRS A/c
45 Bank Charges FF67 407007 Dr. Bank Charges A/c
103500 Cr. Main Bank A/c
46 Interest Received FF67 103500 Dr. Main Bank A/c
103503 Cr. BRS A/c
Other Inventory Transactions
47 Stock Transfer from Plant to Plant MIGO 202000 Dr. Inventory A/c ( Receiving Plant)
202000 Cr. Inventory A/c ( Sending Plant)
402200 Dr/Cr Price Difference A/c
48 Revaluation of Stock MR21 202000 Dr/Cr Inventory A/c
401028 Dr/Cr Gain/Loss from Revaluation A/c
49 Physical verification / Shortages and excesses MI07 202000 Dr/Cr Inventory A/c
401018 Dr/Cr Inventory Difference A/c
50 Goods issue for Sampling MIGO Mvt 333 401000 Dr. Material Consumption A/c
202000 Cr. Inventory A/c
51 Goods issue for Scrapping MIGO Mvt 551 401022 Dr. Scrap Loss A/c
202000 Cr. Inventory A/c
52 Goods issue for Scrapping through Quality Inspection MIGO Mvt 551 401022 Dr. Scrap Loss A/c
202000 Cr. Inventory A/c
53 Goods issue to Cost Center MIGO Mvt 201 401000 Dr. Material Consumption A/c
202000 Cr. Inventory A/c
Asset Transactions
54 Asset Receipt MIGO Mvt 101 410045 Dr. Capital Expenditure A/c
106608 Cr. GR/IR Clearing A/c
55 Settlement of Internal Order KO88 500012 Dr Capital Work In Progress A/c
( First level settlement of Internal Order ) 410045 Cr. Capital Expenditure A/c
56 Settlement of Internal Order KO88 500000 Dr Asset A/c
( First level settlement of Internal Order ) 500012 Cr Capital Work In Progress A/c
57 Depreciation Posting AFAB 408000 Dr. Depreciation A/c
550000 Cr. Accumulate Depreciation A/c
58 Asset transfer Plant to Plant ABUMN 500000 Dr Asset A/c
500000 Dr Asset A/c
59 Retairement of Asset ABAON 500000 Cr. Asset A/c
550000 Dr. Accumulate Deprecition A/c
500100 Dr. Clearing Account - Sale of Assets
405032 Dr/Cr Profit / Loss on Sale of Asset
60 A/c Entry at the time of Sale document VF01 203000 Dr. Customer A/c
500100 Cr. Clearing Account - Sale of Assets
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
In Rubamin there is no direct asset procurement. It is routed through internal orders only

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