/CCEE/SIFIRFUMSV00N - Advance Return for Tax on Sales/Purchases
General Material Data ROGBILLS - Synchronize billing plansThis documentation is copyright by SAP AG.
Description
This program creates the advance return for tax on sales/purchases, and, if required, also creates a
You can display the return at line item level for each tax type (output and input tax). Note however,that even when you suppress the line item information, the data is still taken from the individual
You can restrict the document volume by selecting the following criteria:
- Posting date
- Posting period (fiscal year and month)
- Document date
- Details of the run date and time saved in the document tax items during a previous program run
If you select the field Updatedocuments: Update run, only document tax items without an entry for the date/time of a previous run are selected. The date and time of the tax return program run are noted in these tax items.
You can restrict the number of
When the batch input session for the tax payable transfer posting is being created, a document is preparedfor each company code selected. In this document, one item for the posting to the tax account, and one item for the posting to the tax payable account is created for each tax account.
The program can also make preparations for filling out the advance return for tax on sales and purchasesif required. It enters the tax balances per company code, the
You can configure user-specific output lists. The system offers the functions of the ABAP list viewer for configuring the lists.
Requirements
For a return in EURO, you have to carry out the following activities in the Financial Accounting IMG:
Activate the local currency:
Choose General Ledger Accounting -> Business Transactions ->Closing -> Reporting -> Sales/Purchases Tax Returns -> Activate Alternative Local Currency for Advance Tax Return
Assign the EURO currency to program RFUMSV00.
Choose General Ledger Accounting -> BusinessTransactions -> Closing -> Reporting -> Sales/Purchases Tax Returns -> Specify Alternative Local Currency for Sales/Purchases Tax Return
To run the program, select the field Alternative local currency.
Before you can use the batch input function for the automatic tax payable transfer posting, you have to make the following settings in
For the
Carry Out Assignment
Tax balances are transferredto this account if it is not controlled by specifying a different tax payable account on the selection screen.
For more information see the Implementation Guide.
You can maintain variants for the program.
Maintain Variants
Output
If you make a restriction according to posting date, fiscal period, or document date, the system displays the run date and time that were updated in the document tax items.
The tax data can be output in lists with different summarization levels:
- Line item list with output tax per company code
- Summary list of output tax per company code
- Line item list with input tax per company code
- Summary list of input tax per company code
- Line item list of documents with tax differences per company code
- Summary list of tax balances per company code
- Summary list of tax balances for all company codes
The following data is displayed at line item level:
- Company code
- Tax on sales/purchases indicator
- Transaction key
- Posting period and date
- Document number and reference document number
- Tax base amount
- Output/input tax amount
- Non-payable output tax/non-deductible input tax
To output address or receipt data, select the parameter "Read address/receipt data" and selectdisplay variants for output lists that contain the appropriate fields.
The following data can be output for each tax type in the tax type overview (summary list output and input tax):
- Company code
- Tax on sales/purchases indicator
- Transaction key
- Tax name and rate
- Base
- Output/input tax amount
- Non-payable output tax/non-deductible input tax
In the line item list of taxdifferences, documents where the posted tax amount differs from the calculated tax amount are output with an appropriate message.
The following data is displayed in the company code overview (summary list of tax balances per company code) for each company code:
- Company code
- Tax on sales/purchases indicator
- Transaction key
- Tax name and rate
- Base
- Payable output tax
- Deductible input tax
- Tax balance
The amounts in the lists detailed above can be output in a foreign currency as well as the reporting currency.
You can also output an overview of the balances of all company codes (summary list of all company codes). The same data is displayed as in the company code overviews.
When you select the batch input procedure for automatic transfer posting of tax payable, informationabout the document prepared for this is output per company code. For each item in this document, the following data is displayed:
- Item number
- Posting key
- Account number
- Account name
- Currency
- Amount
If you have selected the preparations for filling out the advance return for tax on sales/purchases,the restrictions you selected are output. You need these values for the program run. The program processes the data further and then prints the return.
General Material Data CPI1466 during Backup
This documentation is copyright by SAP AG.
Length: 9034 Date: 20120523 Time: 003325 triton ( 197 ms )






