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RG Consolidation & Fund Transfer by
Naveen Vaddadi
Date : 9th Feb 2011
Principal Software Engineer
Agenda
3. View Register Balance Form
Agenda
4.RG Consolidation Scenarios
5.Reports
i. India Excise Reconciliation Concurrent
ii. India RG Period Balance Concurrent
iii. India RG23 Part-II Report
iv. India PLA Register Report
v. Master Organization Request set
6.Generic data fixes
7.Period/Month end best practices
What Is RG Consolidation ?
Introduction:
As per Central Excise Act, the company should calculate the amount of excise liability on its dispatches, and pay the same to the exchequer from time to time. While calculating such liability the company can utilize CENVAT credit on its purchases.
Oracle Ebusinees suite provided functionality through which one can arrive the net excise liability payable to the exchequer.
How does the form looks like ?
India Local Payables Registers RG Consolidation Screen
Displays the balances register wise for a selected organization, location combination
Allows us to transfer the credit available in CENVAT accounts to PLA liability for the selected Organization and Location combination.
Creates a PLA Payment and AP Invoice for the liability.
Creates a GL entry setting off PLA with the CENVAT accounts.
Useful screen to reconcile excise balances with the RG Reports
RG Consolidation can be done with back date but before Financial year
RG Consolidation entries creation dates:
• RG 23A Registers – Consolidation date• AP Invoice – TR6 Challan date• PLA Registers – TR6 Ack.date
RG Consolidation Salient Features:
The RG Consolidation functionality is not supposed to be used for creation of Positive balance in PLA.
This is to be used only for making the Negative PLA Balance to Zero , by making payments for the PLA out standing.
For Creating a positive PLA Balance, PLA Manual entry form can be used.
Balances of one organization can be transferred to another organization using RG FUND TRANSFER form
The form will not allow to do new RG consolidation with open acknowledgement receipt and date.
Things to make NOTE:
The Balances in the Excise Register reports should match with the RG Consolidation balance, View RG Balances and RG reports.
After keeping the desired balances on the RG Consolidation form and save an AP Invoice would be created on the Excise Authorities for the liability.
RG Consolidation form will not allow to settle balances keeping PLA >= ZERO The form allows to save only if there is payment liability against the excise authorities.
PLA invoice number will get generated in AP with combination of - PLA/Invoice/ Org_id /PAYMENT ID
This Form don’t allow to query the settled transactions. Users advised to take snap shots of the screen after saving the form but before doing exit.
Intended Behavior:
GL Interface :
Table:gl_interface
Source: Payables India
Link:Consolidation_ID
ap_Invoices_all
PLA RegisterRG 23 Part II
(11i) JA_IN_RG_CONSOLIDATION – (R12) JAI_CMN_RG_CONSLDATIONS
AP Interface :
Invoice No :
PLA/INVOICE/ Org_ID /PAYMENT ID
Excise Registers :
Remarks
RG Consolidation
JAINRGCO.fmb
gl_je_lines
PLA Invoice Form :
JAI_CMN_RG_PLA_DTLS
PAYMENT ID
Query Form
Table Architecture
This table stores data of the RG Consolidation form.
Remark Colum of this table shows default and user remark of the rg consolidation.
Payment id filed will show payment id of the form, this acts as a link between the transaction In the table and the form.
Excise Payment can be generated either from the rg consolidation form or from the PLA manual entry form
(11i) JA_IN_RG_CONSOLIDATION : (R12) JAI_CMN_RG_CONSLDATIONS
How does this form work ?
India Local Payables Registers RG Consolidation Screen
Part - I
Part - II
Part - III
List Of Popup Error/Messages
List Of Popup Error :
Error I
Error II
Error III
Error IV
RG Fund Transfer Form
How does it works ?
Business Case I :
There may be a scenario, where there are multiple Inventory organizations with in one OU having same EC Code. If each organization is having specific activity i.e., one IO may be doing only shipments and another IO may be doing only Purchasing activity.
In this scenario PLA liability would be in one organization and CENVAT Credit would be in another Organization.
Since RG consolidation works at IO and Location, in current scenario users can’t do consolidation, however we can achieve this through RG fund transfer form, by transferring PLA balance of one organization to the organization where CENVAT balances exist.
What is the purpose of this Form :
Business Case II :
If an Organization is having more than one Inventory org with the same EC Code :
In this case balance of PLA and RG23 A can be transferred to one organization and business can do consolidaiton.
What is the purpose of this Form :
Can transfer funds across inv org, only consolidated amounts will get transferred and not the transactions.
Can transfer balances of RG23 A to RG23 A of another organization
This form does not have any validation with EC code, balances of one Org falling under one EC Code can be transferred to another org which is falling under different EC Code.
Need to use the form judiciously.
All the inventory organizations should be under same OU
Data in this form will get stored in table
(11i) JA_IN_RG_FUND_TRANSFER – (R12) JAI_CMN_RG_TRANSFERS
Form will not validates Organization Mfg or Trading
On saving the form setoff entries will be passed in GL and Rg tables, the impact of transaction can be seen in the Rg reports.
Intended Beheaviour :
View Register Balance
Navigation : Registers > View Register Balance
View Register Balance Forms : JAINVBAL.fmb
Scenarios
a.Scenario 1 : PLA Manual Entry Transaction
b.Scenario 2 : RG Fund Transfer.
c.Scenario 3 : PLA Manual AP Invoice
d.Scenario 4 : RG Consolidation :
i. Scenario 4a : Consolidation when there is no PLA liability
ii. Scenario 4b : Transfer of Cess Balances from RG consolidation to PLA Cess.
iii. Scenario 4c : Consolidation when there is PLA liability.
Scenarios
UPK
Reports
PurposeHow to Use When to use
This Concurrent is used to Identify and fix any data inconsistencies in Excise Registers.
Submit requests from India Local Purchasing module or India Local Payables module
India Excise Reconciliation Concurrent
PurposeThis concurrent should submit before doing RG Consolidation.
Manual back up need to be taken for
11i Table R12 table --------------- --------------------
ja_in_rg23_part_ii JAI_CMN_RG_23AC_II_TRXS ja_in_pla JAI_CMN_RG_PLA_TRXS ja_in_rg_balances JAI_CMN_RG_BALANCES ja_in_rg_slno JAI_CMN_RG_SLNOS ja_in_rg_period_balances JAI_CMN_RG_BALANCES
This concurrent is not having any output, only log file will show the balances and errors.
Concurrent Log File
This program calls jai_cmn_rg_pbal.plb , which will recalculate the rg balances and insert into JAI_CMN_RG_PERIOD_BALS table.
These balances are maintained on a Monthly basis.
These balances are used in the India – RG 23 Register Reports. If this request is not run before running India - RG 23 Register Report, then RG23 report ends with below error
‘Run India RG Period Balance concurrent, before running India RG23 Register report’
Navigation:
India Local PurchasingReportsRun India - RG Period Balances Calculation
India RG Period Balance Concurrent
This Report provides you with the information that would be required to meet the Duty.
Register requirements specified under the CENVAT Credit Rules 2004.
This report can be submitted both for Raw Material and Capital Goods. You can run the report with the given date range.
Balances of this report should tally with the RG Consolidation form.
It is not advised to do RG Consolidation with out getting the balances matched
This report can be use for below purpose
i. Can be submitted to the excise authorities.
ii. Can be used to reconcile data with the GL.
iii. This report give break up of excise balances in detail.
Navigation:
India Local PurchasingReportsRun India - RG23 Part II Report
India RG23 Part-II Report
This report gives you complete details of Personal Ledger account as per prescribed format specified by Central Excise Act.
This report can be use for below purpose
i. Can be submitted to the excise authorities.
ii. Can be used to reconcile data with the GL.
iii. This report give break up of transactions for the PLA payment
Navigation :
India Local PurchasingReportsRun India - RG23 Part II Report
India PLA Register Report
.
Master Organization Request set
Navigation : India Localization Purchasing > Request set
How does it works ?
Important Tables
R11i Table Name R12 Tables Names Purpose
JA_IN_RG_I JAI_CMN_RG_I_TRXS Stores Qty.balances of Finished Goods
JA_IN_RG23_PART_i JAI_CMN_RG_23AC_I_TRXS Stores Qty.balances of Raw Materials
JA_IN_PLA JAI_CMN_RG_PLA_TRXS Stores PLA related Information
JA_IN_RG23_PART_ii JAI_CMN_RG_23AC_II_TRXS Stores balances of CENVAT balances
JA_IN_REGISTER_TXN JAI_OM_OE_BOND_TRXS Stores balances of Bond Transaction
JA_IN_RG23_D JAI_CMN_RG_23D_TRXS Stores balances of Trading Organization
JA_IN_SO_TEMP_HDR_INSERT JAI_OM_OE_GEN_TAXINV_T Temp table used for excise invoice generation process
JA_IN_RG_BALANCES JAI_CMN_RG_BALANCESIt has the RG Register balances for organization and location
JA_IN_RG_SLNO JAI_CMN_RG_SLNOS It is the control table to generate the next serial number.
JAI_RG_OTHERS JAI_CMN_RG_OTHERS This table maintains records regarding cess entries.
JAI_RG_OTH_BALANCES JAI_CMN_RG_OTH_BALANCESIt has the education cess balances for every payment register (RG23A/C and PLA)
11i & R12 RG Related tables and its purpose
(11i) JA_IN_RG23_PART_II - (R12)JAI_CMN_RG_23AC_II_TRXS
Stores Information of RG23A/C Part II Details. This is commonly referred to as the RG Amount Register.Imp Columns :REGISTER_ID : Indicates the Register Identifier - Unique KeyFIN_YEAR : Indicates the Financial Year in which the Transaction is carried out.SLNO : Indicates the Serial No of the Transaction,For the new fin year SLNO will start from 1.CR_BASIC_ED : Indicates the Credit Basic Excise Duty.CR_ADDITIONAL_ED : Indicates the Credit Additional Excise Duty.CR_OTHER_ED : Indicates the Credit Other Excise Duty.DR_BASIC_ED : Indicates the Debit Basic Excise Duty.DR_ADDITIONAL_ED : Indicates the Debit Additional Excise Duty.DR_OTHER_ED : Indicates the Debit Other Excise Duty.Excise Amount : is BASIC_ED+ADDITIONAL_ED+OTHER_EDOPENING_BALANCE : Indicates the Opening Balance for the excise; Cess Amounts are not included here.CLOSING_BALANCE : Indicates the Closing Balance for the excise; Cess Amounts are not included here.PERIOD_BALANCE_ID : ja_in_rg_period_balances. Period_balance_idOTHER_TAX_CREDIT : Tax Credit that is taken against CESS, SHE CESS tax types.OTHER_TAX_DEBIT : Tax debit that is taken against CESS, SHE CESS tax types .
(11i) JA_IN_PLA: (R12) JAI_CMN_RG_PLA_TRXS
Stores the Transaction Information of PLA Register.
REGISTER_ID : Indicates the Register Identifier - Unique KeyFIN_YEAR : Indicates the Financial Year in which the Transaction is carried out.SLNO : Indicates the Serial No of the Transaction, For the new fin year SLNO will start from 1.CR_BASIC_ED : Indicates the Credit Basic Excise Duty.CR_ADDITIONAL_ED : Indicates the Credit Additional Excise Duty.CR_OTHER_ED : Indicates the Credit Other Excise Duty.DR_BASIC_ED : Indicates the Debit Basic Excise Duty.DR_ADDITIONAL_ED : Indicates the Debit Additional Excise Duty.DR_OTHER_ED : Indicates the Debit Other Excise Duty.Excise Amount is : BASIC_ED+ADDITIONAL_ED+OTHER_EDOPENING_BALANCE : Indicates the Opening Balance for the excise; Cess Amounts are not included here.CLOSING_BALANCE : Indicates the Closing Balance for the excise; Cess Amounts are not included here.OTHER_TAX_CREDIT : Tax Credit that is taken against CESS, SHE CESS tax types.OTHER_TAX_DEBIT : Tax debit that is taken against CESS, SHE CESS tax types.
(11i) JAI_RG_OTHERS: (R12) JAI_CMN_RG_OTHERS
This is an extension to existing excise tables to store information by tax type (Cess& She Cess).ColumnsRG_OTHER_ID : RG other unique identifierSOURCE_TYPE : Indicates the table with which the record is linked.
Possible value:1 -- JA_IN_RG23_PART_II 2 -- JA_IN_PLA 3 -- JA_IN_RG23_D
4 -- JA_IN_RECEIPT_CENVATSOURCE_REGISTER : Indicates the register for which transaction happened. Possible values: "RG23A_P2",
"RG23C_P2",
"PLA", "RG23D", "RECEIPT_CENVAT"SOURCE_REGISTER_ID : Indicates the PK for source Type and register to which this record is linkedTAX_TYPE : Indicates the type of taxCREDIT : Amount that is recoveredDEBIT : Amount that is setoff against the recovered amountOPENING_BALANCE: Opening balance for this tax type before record is CreatedCLOSING_BALANCE : Closing balance for this tax type after record is Created
This table is used in View Register Balances, RG Consolidation form to show the CESS/SHE Cess balances.
ORG_UNIT_ID : Indicates the Org and Location combination of ja_in_hr_organization_units
TAX_TYPE : Indicates the type of tax
REGISTER_TYPE : Possible values: "RG23A ", "RG23C ", "PLA"
(11i) JAI_RG_OTH_BALANCES: (R12) JAI_CMN_RG_OTH_BALANCES
Generic data fix
1278534.1 : Generic Datafix For PLA Register Report Or/And RG23 Part II
1160983.1 : Generic Data Fix For 'India RG23A Part II Report balances' A
1278534.1 : Generic Datafix For PLA Register Report Or/And RG23 Part II
1164664.1 : Generic Datafix For PLA Register Report Doesn't Match With V
1161263.1: Generic Datafix for RG Consolidation Results I
1140474.1 : In India - PLA Register Report ,Closing Balance Of Previous
Period/Month end best practices
Period/Month end best practices
Do monthly reconciliation rather doing yearly.
Have a Check list for Month end period closure.
Run India Receiving Transaction Processor after completing receiving activity in the month end
Run India Excise Invoice Generation for all the pending deliveries which are shipped but pending for the excise invoice generation.
Reconcile RG1 & 23D Stocks with Physical stocks.
Reconcile RG 23 Part II Registers with GL .
It is recommend to close Periods of base modules on monthly basis.
Ensure there are no pending sources in the GL Interface.
Reconciliation Process
Rec.Inventory Inventory
RG 23 Part II PLA
Scenario:
Purchase – 150 (Basic100+ ED 50)
Sale – 200 (Basic 125 + ED 75)
150 100
50
100
50
100
5050 75
Order of reconciliation
PLA
CENVAT
Inventory
Rec. Inventory
Receiving
Delivery
Cenvat
Consumption
Consolidation Dispatch
Query :RG Consolidation form VS RG Reports Vs View Balances are not matching .
Reply : Run India Excise Reconciliation concurrent with option 3, if issue still exist raise SR with support.
Query : Can we do transactions in the master organization ?Reply : No, Master Organization is only a reporting organization where in we can take rg reports.
Query : Can we do RG Consolidation back dated?Reply : Yes
Query : Can we do excise transaction back dated?Reply : No
Query :Can we do RG consolidation after opening the excise calendar?Reply : No
Query: Can we transfer excise balances across ECC code?Reply: Not recommended.
Known Issues
Q&A