CIN Step by Step
CIN Step by Step
To year: 2999
Active: X
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In this activity, you can check and, if necessary, change existing procedures for tax calculation.
Standard settings
Calculation procedures containing the necessary specifications for the calculation and posting of taxes on
sales/purchases have already been defined in the standard SAP system for certain countries. Every
calculation procedure groups several tax types together into a condition type (for example, output tax or
input tax) in the calculation procedure, and determines calculation rules for it.
The calculation procedure determines for which amount the individual condition types are to be calculated.
This can be the base amount (total of the expense items and the revenue items) or a subtotal. The entry in
column FrmLvl, determines for which amount tax is calculated.
Note
In this activity, the condition types for the check and the possible change provided in the standard system
are also displayed. Here, for example, the condition calculation rule, or for which base amount the tax is
calculated is determined (= condition type).
Recommendation
If possible, do not change the condition types and calculation procedures provided in the standard system.
Only check the standard condition types and calculation procedures regarding whether you can use them for
your requirements. If necessary, make changes.
Activities
If you cannot use the standard settings, change the condition types and calculation procedures delivered to
meet your requirements.
TAXINN will support to condition based excise determination and TAXINJ will
support to condition based and formula based excise determination. Both the tax
procedures contain condition types that cover all of the excise duties and sales
tax applicable.
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The basic difference between both the procedure is TAXINN is a condition based
for each condition type we have to maintained a condition records and TAXINJ is
a formula based for which me maintained a tax code in FTXP and the same will
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In this activity, you enter the key for the calculation procedure which determines the conditions which are
allowed per document and which defines the sequence of the conditions in the document for each country.
Requirements
Each calculation procedure which you enter must contain the necessary specifications for calculating and
posting the taxes on sales/purchases. For more information on this, read the chapter "Create calculation
procedure".
Activities
1. Assign a procedure for tax calculation to every country with which your company has business
dealings.
2. Make sure that the corresponding data for calculating taxes is stored for each calculation
procedure which you enter here.
Tax type
Output tax, input tax, additional taxes, or "not tax-relevant" can be specified as the tax type.
Nondeductibility of tax amounts
Here you specify whether the tax amount is posted separately or distributed to expense or revenue
items.
Tax not relevant to cash discount (Not discount relevant)
This indicator is set only for Canada. If you select it, the system does not take into account the
corresponding tax amount when determining the tax base.
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Standard settings
Process keys with the most important characteristics for tax amounts have already been set in the standard
SAP system.
Recommendation
Do not change the standard settings. Check whether you can use these process keys for your company,
making changes only if necessary.
Activities
If you cannot use the standard settings, use new process keys and enter them in your calculation
procedure. Do not change the standard SAP process keys.
Note
You must make enhancements to the standard settings if you want to specify a new account key in the
"Create calculation procedure" activity. You must create and maintain this key beforehand in the "Settings
for tax processing" activity.
One
can
use
the
standard keys available. In case a new key is required to be created, by clicking on New Entries Tab, a new
entry can be created as shown hereunder:
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Click on the relevant Transaction Key which requires the FI configuration for Automatic Posting. Enter the
Chart of Accounts when prompted for, as shown hereunder:
Define the Rules by choosing whether Tax Code is required or not. Save the rules.
Save the rules and then define the Posting Keys as shown hereunder:
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On saving the posting keys, define the G/L accounts as shown hereunder:
Save and proceed for FI configuration for other Transaction Keys as per the
requirement. Such configuration is required to be done for all those Transaction Keys
which are used in the Tax Procedure.
Please refer to the detailed notes on this configuration under Define G/L Accounts for
Taxes under Logistics General.
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Activities
Define tax codes for non-tax relevant transactions for each company code.
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Create Excise Invoice Automatically Instructs the system to automatically create an outgoing excise invoice
immediately you create a commercial invoice or a pro forma invoice.
The system creates the excise invoice in the background.
Dependencies
If you want to make use of this function, you must also define the default plant, excise group, and series
groups in Customizing for Excise Duty, by choosing Business Transactions -> Outgoing Excise Invoices ->
Maintain Default Excise Groups and Series Groups.
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Activities
If no financial postings are required for an Excise invoice in this seris group then you tick the 'No
utilization' indicator.
If the CENVAT has to be paid immediately and you need not wait for the Fort nightly payment then
mark the 'Immediate Utilization' indicator.
Example
You could define two series groups, group 001 for excise invoices, and group 002 for 57 F4 documents.
Export Period
Specifies the export period.
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The export period applies to exports under bond and exports under claim for rebate.
Dependencies
If you try to change an ARE-1 after the end of the export period, the system issues a warning message. You
then have two options:
If you manage to obtain an extension from the excise department, you enter the extension date in
the ARE-1. This effectively extends the ARE-1's export period.
Otherwise, in the case of exports under bond you must pay the excise duty plus interest. In the
case of exports under claim for rebate, you forego the excise duty already paid. You then close the
ARE-1 as normal.
Fast Credit
Automatically credits the excise duty from ARE-1s back to the running bond account as soon as you enter
the date on which you received the countersigned ARE-1 back from the customs office.
Otherwise, the system does not credit the duty back until the local excise authorities confirm that the export
has been completed.
Use
Select this indicator if you have an agreement with your local excise department to this effect.
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In this IMG activity, you maintain the addresses of various customs and excise organizations that your
company deals with.
You use these addresses in the ARE Documents functions. When you create an ARE-1 or ARE-3, you
enter the address of the excise department and the customs department involved in the export process. The
system then prints their names and addresses on the AREs.
You can then define a default local excise department for each excise group and a default customs
department for each series group.
If you use condition-based excise determination, use a copy of the tax procedure TAXINN.
If you use formula-based excise determination, use a copy of the tax procedure TAXINJ.
This tax procedure also supports condition-based excise determination, so that you can work with
both concurrently.
We strongly recommend that new customers use condition-based excise determination. Note that once you
have started using a tax procedure, you cannot switch to another one, otherwise you will not be able to
display old documents.
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Enter the tax procedure and the pricing conditions that are relevant for excise tax processing.
Specify the purchasing and sales conditions types used for basic excise duty, additional excise
duty, special excise duty, and cess.
Specify the conditions in the sales order that are used for excise rates.
Specify the countervailing duty condition type used for import purchase orders.
See also
SAP Library -> Logistics -> Country Versions -> Asia-Pacific -> India -> Materials Management (MM) ->
Condition-Based Excise Determination and -> Formula-Based Excise Determination.
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The system uses this information when you create a document from another one. For example, when you
enter an incoming excise invoice from a purchase order, or when you create an outgoing excise invoice from
a sales order, the system determines the various excise duties in the excise invoice using the information
that you have entered here.
In addition, when you create a purchasing document, the system only uses the condition types that you
enter here.
For taxes on purchases, use the condition types contained in the tax procedure.
For taxes on sales, use the condition types contained in the pricing procedures.
Standard settings
The standard system comes with sample settings for the tax calculation procedures and pricing procedures.
Use these settings as a basis for your own.
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Requirements
You have set up G/L accounts for each of the processing keys listed below.
Activities
Assign an account to each of the following posting keys. The accounts for VS1, VS2, and VS3 are used as
clearing accounts during excise invoice verification.
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Example
Excise TT
GRPO
GRPO
GRPO
ARE1
DC ind
CR
CR
DR
Account name
CENVAT clearing account
RG 23 BED account
CENVAT on hold account
EXPORT PROCESSING UNDER ARE1 & ARE3 DEEMED EXPORTS UNDER ARE3 SD
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DLFC
CEIV
TR6C
57F CHALLAN COMPLETIONS / 57F CHALLAN CAPTURE/CHANGE & 57F NON RECEIPT MM
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EWPO EXCISE INVOICE WITHOUT PO / GRPO EXCISE INVOICE FOR GOODS RECEIPT/PO MM
Excise group
Company code
Chart of accounts
Furthermore, if you want separate account determination settings within an excise group, you can also use
sub transaction types.
Requirements
You have already:
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Activities
For each excise group, assign the excise and CENVAT accounts to G/L accounts. For most businesses, one
set of accounts will suffice for all transactions.
Note
You need not remit the CENVAT to the excise department immediately, so maintain the credit account for
transaction type DLFC as an excise duty interim account. This will be set off when you remit the duty.
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Excise Group / Excise Transaction Type / Subtransaction Type / Chart of accounts / G/L Account for RG23A
BED / G/L Account for RG23A AED / G/L Account for RG23A SED / G/L Account for RG23C BED / G/L
Account for RG23C AED / G/L Account for RG23 C SED / G/L Account for Modvat Clearing / G/L account for
PLA BED / G/L account for PLA AED / G/L account for PLA SED / G/L account for PLA CESS / G/L Account
for CENVAT On Hold / G/L Account for CENVAT Suspense / G/L Account for CENVAT Reversal / G/L
Account for RG23A NCCD / G/L Account for RG23AC NCCD / G/L account for PLA NCCD / G/L Account
for RG23A ECS / G/L Account for RG23C ECS / G/L account for PLA ECS
Customer invoices
These options are represented in the system by different document types and document flows.
In this IMG activity, you:
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Specify which billing document types you use as a reference for CENVAT utilization
Requirements
You have set up the delivery types and copy control as follows:
Create separate delivery types in Customizing for Logistics Execution (LE), by choosing Shipping
-> Deliveries -> Define Delivery Types.
Set up copy control for the delivery types in Customizing for LE, by choosing Shipping -> Copying
Control -> Specify Copy Control for Deliveries.
Create billing types in Customizing for Sales and Distribution (SD), by choosing Billing -> Billing
Documents -> Define Billing Types.
Set up copy control for the billing types in Customizing for SD, by choosing Billing -> Billing
Documents -> Maintain Copying Control for Billing Documents.
Standard settings
In the standard system, there are two document flows that you can use:
Standard order (document type OR) -> Outbound delivery (LF) -> Proforma excise invoice (JEX) ->
Invoice (F2)
Standard order (OR) -> Excise invoice (JF) -> Invoice (F2).
You can use these settings if you wish, or alternatively, you can make copies of these document types and
copy control settings.
Activities
SD
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Deemed Export
Export under Bond
3.
Utilization Determination
SPROLogistics GeneralTax on Goods MovementsIndia Business
Transactions Utilization Utilization Determination
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In this IMG activity, you specify which CENVAT accounts are to be debited by the Fortnight Utilization of
CENVAT report: When the report calculates how much excise duty you must remit, it automatically proposes
which CENVAT accounts the duty should be debited to. Here, you specify those defaults.
Debit the excise duty to more than one account, in which case you specify which percentage is to
be debited to each account
Example
If you want 50% of basic excise duty (BED) to be debited to the RG 23A account and the remaining 50% to
the RG 23C account, you would make the following settings:
Acct name
BED perc.
RG 23A BED account 50
RG 23C BED account 50
Alternatively, to debit all of the BED to the RG 23A account, and then RG 23C account, if there is not enough
in the RG 23A account, you would make the following settings:
Acct name
BED perc. +
RG 23A BED account
X
RG 23C BED account
X
When you come to run the report, the system takes the RG 23A account because it is the first one you have
entered. If this account does not cover the BED, the system takes the RG 23C account instead.
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Maintain the minimum balance amount for the excise accounts. If you have more than one excise group, you
can maintain different minimum balances.
Lay. no.
1
1
1
1
1
1
1
1
1
1
Form
J_2IRG23A_PART1
J_2IRG23C_PART1
J_2IRG23A_PART2
J_2IRG23C_PART2
J_2I_PLA
J_2I_RG23D
J_2I_RG1
J_2I_RT12_ABSTRA
J_2I_RT12_ABSTRA
J_2I_RT12_3
Tcode/Prog
J_2IRAP1
J_2IRCP1
J_2IRAP2
J_2IRCP2
J_2IPLA
J_2IRG23
J_2IRRG1
J_2IRT12
J_2IRT12
J_2IRT12
The layout description can be left blank or an appropriate description maybe filled in. You may not change
the register name. You can have your own layouts and maintain the name here. If the output device and
number of copies are maintained it is automatically picked up for printing.
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Number Ranges
SPROLogistics GeneralTax on Goods MovementsIndia Business
Transactions Tools Number Ranges
You can maintain the number ranges for all CIN Number range objects using this transaction
OBJECT
Long Text
J_1IBOND
J_1IARE3
J_1IARE1
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Excise Rate maintenance consist of Master Data, Excise Status & Excise Rates.
Master Data
Maintain Chapter ID
The number given to a material in the schedule of material published by the government
of India.
The schedule shows how much excise duty is levied on each material.
Each material in the schedule is assigned its own identification code, called chapter ID.
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Excise Status
Customer Excise Details
In this step we have to maintained the following data
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Excise Rate
Excise Tax Rates
In this step we have to maintained Excise Rates
When we are using Tax Calculation Procedure as condition Based TAXINN we are not
suppose to maintained Excise Rate.
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