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what does JV stands for

Former Member
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Hello,

Please let me know what does JV stands for.The Excise JV which we create using the transaction code : J1IS and J1IH.

When we should use J1IS and J1IV.Bcz both are used for creating Excise Invoice.

From

Shikha

Accepted Solutions (0)

Answers (6)

Answers (6)

Former Member
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Hi Shika

JV Stands for Journal Voucher

0 Kudos

Hai,

Generally JV means Journal voucher. You can pass the entries in the FI or Excise manually without reference to any document. Excise JV is by J1IH Tcode.

kunal_ingale
Active Contributor
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HI

JV STANDS FOR Journal Voucher

Former Member
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Hi

Usually in FI terminology JV - stands for Journal Voucher

Thanks & Regards

Kishore

Former Member
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Hi,

JV:Journal Voucher

We should use J1IS :to create return excise invoice

J1IV: to print the Return excise invoice

Regards

Rm

pankaj_singh9
Active Contributor
0 Kudos

CENVAT Adjustment Postings (J1IH u2013 Excise JV)

Use: - You use these functions if you need to make an adjustment posting to any of your CENVAT accounts. You can make adjustment postings to account for:

u2022Scrap

u2022 Materials that you have not used in production

u2022 Additional excise paid by vendors

u2022 Money that you have transferred to your personal ledger account

u2022 Other transactions

You can also use this function to cancel excise invoices.

Features: - Each of the different types of adjustment postings are documented separately. However, they all work on the same principle, as follows.

Reference Document: - On the initial screen of the transaction, you specify the reference document, that is, the document which the adjustment posting is to refer to u2013 either an internal document, such as a material document or a subcontracting challan u2013 or an external document, such as an incoming excise invoice

You also specify which registers are affected by the posting. In many cases, the adjustment will have to be remitted to the authorities on a fortnightly basis. The adjustment will then be included when you run the Remittance of Excise Duty Fortnightly report. If the adjustment has to be remitted immediately, you specify which register is affected.

Excise Details: - When you proceed to the detail screen, the system automatically shows the line items from the reference document, if it is an internal document. You specify how much excise duty is to be adjusted and which CENVAT accounts the adjustment posting is to be made to.

When you edit the excise details, there are a number of functions that are available, depending on the type of adjustment posting:

u2022 Assigning excise invoice to line items

u2022 Specifying which G/L accounts are to be adjusted

u2022 Displaying balances of CENVAT accounts

When you save your changes, the system creates an accounting document to make the appropriate postings.

1. Making Adjustment Postings for Scrap

Use: - You follow this procedure if you have scrapped a material and want to reverse the excise duty debited to your CENVAT account.

Procedure: -

1. J1IH - Excise JV ? Create ? Matl write-off.

2. Enter data as required, including:

u2022 Document number (This Document is of Movement Type u2013 551 i.e. GI for Scrap)

Enter the number of the document that you used to scrap the material.

u2022 CENVAT account selection group box

Specify which account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment.

3. Click on u201CEnteru201D button.

The system displays the information from the material document.

4. Adjust the posting date as necessary.

5. Adjust the excise duty for each line item either:

u2022 Manually

u2022 By assigning the line item to an excise invoice

6. Specify which G/L accounts are to be posted to.

Here you can change Debit A/c as per your requirement.

7. Save the adjustment posting.

System will post Excise JV Document, Accounting Document Part2 Serial No.

2. Making Adjustment Postings for Materials Not Used in Production

Use: - You follow this procedure if you have not used a material in the production process and want to reverse the excise duty debited to your CENVAT account.

Procedure: -

1. J1IH ? Excise JV ? Create ? Matl non-prod.

2. Enter data as required, including:

u2022 Document number

Enter the number of the material document that the adjustment posting is to refer to.

u2022 CENVAT account selection group box

Specify which account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment.

3. Click on u201CEnteru201D button.

The system displays the information from the material document.

4. Adjust the posting date as necessary.

5. Adjust the excise duty for each line item either:

u2022 Manually

u2022 By assigning the line item to an excise invoice

6. Specify which G/L accounts are to be posted to.

Here you can change Debit A/c as per your requirement.

7. Save the adjustment posting.

Excise JV Document, Accounting Document with Part2 Serial No has been successfully created

3. Making Adjustment Postings for Additional Excise Paid by Vendors

Use: - You follow this procedure if a vendor has increased the amount of excise duty that it originally charged you and you want to debit the difference to your CENVAT account.

Procedure: -

1. J1IH ? Excise JV ? Additional excise.

2. Enter data as required.

In the Document number field, enter then number of the document sent to you by the vendor.

3. Click on u201CEnteru201D button.

4. Adjust the posting date as necessary and Enter Vendor Name.

5. Enter the amount of excise duty in either of the following ways:

u2022 To enter line items for different materials and the excise duty accordingly, choose u201CDetailsu201D button and enter the line items in the table.

Here Enter Material code, quantity as per excise invoice, reference document (i.e. GRN Document), batch no., BED and Ed Cess Amount to be posted.

u2022 To enter the excise duty only, choose u201CHeaderu201D button and enter the excise duty in the totals fields at the foot of the screen.

6. If the duty qualifies as countervailing duty (CVD):

a. Select CVD applicable.

b. Enter the CVD amount in the BED amount field.

7. Specify which G/L accounts are to be posted to.

8. Save the adjustment posting.

System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.

4. Making Adjustment Postings for Money Transferred to PLA

Use: - You follow this procedure to make an adjustment posting when you transfer money to your personal ledger account (PLA).

Prerequisites: - You have already transferred the money to your PLA at the bank, using a TR6 challan, and have posted the corresponding accounting document.

Procedure: -

1. J1IH ? Excise JV ? TR6 challan.

2. Enter data as required, including the document number.

You can enter either the challan number OR the number of the accounting document (This document is to be first created through T. Code u2013 FB50. In this Document Debit PLA on Hold A/c and Credit Bank A/c with the Amount to be transferred in PLA CENVAT Accounts)

3. Click on u201CEnteru201D button.

If you entered the accounting document number, the system displays the information from it.

4. Enter the amounts against the accounts that you require.

5. Save the adjustment posting.

6. System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.

5. Canceling Excise Invoices

Use: - You follow this procedure in order to cancel an outgoing excise invoice. It reverses any excise duty accounted for.

Procedure: -

1. J1IH ? Excise JV ? Cancel exc. inv.

2. Enter the number, year, and series group of the excise invoice that you want to cancel.

A dialog box appears.

3. Choose Yes.

4. Before posting the document check the Accounting document going to be generated.

Here click on u201CDetermine G/L Accountsu201D button.

5. Save the adjustment posting.

System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.

6. Making Adjustment Postings for Other Transactions

Use: - You follow this procedure if you want to make an adjustment posting that does not fall into any of the other categories of adjustment offered by this function. You can only use an external document as your reference document.

Procedure: -

1. J1IH ? Excise JV ? Other adj.

2. Enter data as required, including:

u2022 Document number

Enter the number of the external document that you want to refer to.

u2022 CENVAT account selection group box

Specify which account is affected by the adjustment posting is for. If the posting does not have to be remitted immediately, select Fortnightly payment.

3. Click on u201CEnteru201D button.

The system displays the information from the material document.

4. Adjust the posting date as necessary and enter Vendor code as per requirement.

5. Enter the amount of excise duty in either of the following ways:

u2022 To enter line items for different materials and the excise duty accordingly, choose u201CDetailsu201D button and enter the line items in the table.

Here fill details like Material Code, Quantity as per Excise Invoice, Batch No, Reference (i.e. GRN Document), BED and Ed Cess Amount manually.

If you want system to propose the BED and Ed Cess Amount, Click on u201CGet Excise Invoiceu201D button and select the proper Excise Invoice from which the proportionate amount is to be copied.

Select the u201CExcise Invoiceu201D and click on u201CContinueu201D button.

It will copy BED and Ed Cess and SECess amount as per the quantity mentioned here. It will be proposed in proportion of selected Excise Invoice quantity and value.

u2022 To enter the excise duty only, choose u201CHeaderu201D button and enter the excise duty in the totals fields at the foot of the screen.

6. Specify which G/L accounts are to be posted to.

7. Save the adjustment posting.

System will post Excise JV Document; Accounting Document with Part2 Serial No has been successfully created.

TIPS to simplify Excise JV transactions: - (J1IH)

1. Assigning Excise Invoices to Line Items

Use: - When you make an adjustment posting, you follow this procedure if you want to specify the original excise invoice associated with a line item.

Procedure: -

1. Select the line item that you want and choose Get excise invoice.

The system displays a list of all the excise invoices that you have posted from this vendor for this particular material.

2. Select the excise invoice that you want and click on u201CEnteru201D button.

The system:

u2022 Enters the excise invoice document number in the Ref. doc. field (Reference document).

u2022 Calculates how much of the excise duty from the excise invoice should be apportioned to the line item and enters it in the excise duty fields.

If you then overwrite these amounts, you should also overwrite the reference document number with an explanatory text, since there is no point in maintaining the link to the reference document anymore.

For e.g. you have a line item with ten plates of glass that you have broken and are to be scrapped. You have three excise invoices from the same vendor to choose from. You pick one for 20 plates of glass with BED at INR 200. The system automatically apportions INR 100 to the line item that is to be reversed.

2. Specifying Which CENVAT Accounts to Adjust

Use: - When you make an adjustment posting, you have to specify which CENVAT accounts are to be adjusted.

Procedure: -

1. Choose Determine G/L accounts.

A dialog box appears that shows how much will be posted to which G/L accounts. The accounts that are displayed depend on the excise group and the CENVAT account that you entered on the selection screen.

2. Add another account, if you need to, and adjust the other postings so that the credits and debits match.

3. Enter a business area and cost center, if necessary.

4. To close the dialog box, click on u201CEnteru201D button.

3. Displaying CENVAT Account Balances

To display the balances of your CENVAT accounts, choose Balances.

The system displays the balances only of the CENVAT accounts that are affected by your G/L postings.

J1IS - Excise Invoice for Other Movements

You use this transaction to create Outgoing Excise Invoice for Vendor Return using ref. doc. type "MATD" (Material Doc - 122 Movement Type).

And Print the same in J1IV

Excise post & print for others mvmts (J1IV)

This is used to post the Excise documents of other movements (For e.g. Excise Invoice for Vendor Return) to FI and also used to take printout of the same.

Here In selection screen, enter Internal Doc of Excise doc and year then click Goto > Releaee to Accounting and also you can print using Goto > Print document.