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Sap Cin Excise Duty Step by Step Procedure
Sap Cin Excise Duty Step by Step Procedure
Output
/Results
Comments
Excise Process
TR6 Challan Creation
PROCEDURAL STEPS
System does not update the PLA Register with the above entry. When you update the TR6
Challan updating process, the system will update the PLA Register and PLA Account and reverse
the PLA on Hold Account.
In this activity, you debit the PLA Interim Clearing Account so that the same is nullified and
credit the Tax Authority for the payment of PLA.
In this activity, the Cheque has been issued to the Tax Authorities/Bank.
India Localization
Menu
Transaction Code
On Excise JV Main Menu, select the TR6 Challan Tab. Once you click on the TR6 Challan.
You have to enter the GL Document created in the 1 st step, Document Year, Company Code,
Plant and Excise Group for which the PLA Payment is being made.
Press Enter.
You can observe that the PLA on Hold Account is getting credited which was 1st debited in the
GL Account Document creation.Enter the PLA BED, PLA EduCess & PLA SHECess amounts to
debit the same.
After filling the required amounts post the document. Once you save the document, the following
line will appear at the bottom of the sap screen.
You can view the same by clicking on the > Main Menu > Excise JV > Display and fill the
following:
The Result of the above document is: The PLA on Hold Account has been nullified & PLA BED,
PLA EduCess & PLA SHECess has been debited.
PROCESS TITLE: CENVAT Utilization
Process Overview
The trigger for this transaction is the requirement of CENVAT Utilization. It is used to
calculate
how much Excise Duty you must remit to the authorities. Legislation requires you to
remit
excise duty monthly. Companies are allowed 5 days to remit excise duty except for
the Month of March
Once the report has determined how much you have to pay, it allows you to specify
where
money should be paid from i.e. whether it should be deducted from the CENVAT
credits that
you have accumulated in RG23A Register or RG23C Register, or whether it should be
deducted
from the Personal Ledger Account (PLA). You have the option of selecting the
appropriation
amounts as required.
Prerequisites: User must be assigned to the Country India Specific Menu i.e. J1ILN.
Excise
Invoices must be posted in the System to arrive the CENVAT Payable for deliveries
made from
the Factory. The CENVAT Payable amount should be credited to a Clearing Account as
a
Liability. At the time of Utilization of CENVAT, the system will post the Debit entry to
the
Business Area: This is below the Plant Level. Note: There is no multiple Business Area
selection in this field & the filling of Business Area is compulsory otherwise the GL Entry is
not possible.
Display Last Utilization Date Tab: It shows you when the last Utilization was made. The
next utilization can be done only if you put a date which is next to the last Utilized Date.
Display Pending Invoices: It shows the pending invoice to be selected in this Utilization
Run.(Including the Invoices given in the Excise Invoice Selection Restriction Field - Excise
Invoice)
Once you have input all the Necessary Fields, you will see the following screen:
Now select the Duty which you want to adjust against the available credit, and select on
select duty view button, you can view the concerned Duty Credit Available in related Excise
Registers as well asthe Amount available in PLA for the same will appear as shown below:
In the above, screen the Registers Balance in RG23A BED is available so you can utilize it
for thepayment of Excise Duty otherwise you have to use the balance available in PLA
Register also.Youhave to utilize it as follows:
Click on
the following screen appears where you can check the
accuracy of the Accounts and then post the same.
Once you save the above entry, the following message appears at
the bottom of the SAP Screen.
In the above document, one can observe that the CENVAT Credit/Availed Accounts have been
credited and the CENVAT Payable Accounts have been debited.