This chapter provides overviews of Indian excise duties, customs duty processing, customs duty calculation, procure-to-pay and order-to-cash transactions with excise duties and sales tax, and discusses how to:
Create excise adjustments.
Update registers and create accounting entries.
Apply CENVAT using online pages.
Record accounting entries for excise duty and sales taxes.
Report on tax register information.
Use sales tax form tracking.
PeopleSoft calculates Indian excise duties, a tax levied on goods manufactured or produced in India. PeopleSoft calculates the excise duty, creates excise invoices, records nonrecoverable excise duty, maintains the excise registers, and posts the accounting entries to record excise duties.
Based on the criteria entered on the transaction, the system determines if excise duty is applicable and calculates the tax. The tax is applied directly to the transaction or on a corresponding excise invoice. PeopleSoft applies Indian excise duty if necessary when:
A sales order or quotation is created that ships merchandise from an Indian manufacturer to a customer when excise duty is applicable to the transaction.
A purchase order (PO) is created and merchandise is received from a vendor where excise duty is applicable to the receipt.
In addition, excise duties can be adjusted to reflect adjustment made to the inventory stocked in an Indian factory, such as price adjustments, stock returned by customers, stock returned to vendors, stock quantity adjustments, and other transactions affecting price and stock quantity.
PeopleSoft captures the excise duty for interunit transfer moves of stock from one Indian factory to another factory located in a different Indian tax location through the shipping excise invoice.
Note. The Intercompany Transfers/InterUnit Billing feature does not support excise duty and sales tax.
PeopleSoft creates:
Shipping excise invoices to determine and calculate the excise duty payable for a shipment of goods from a factory location to a customer or another factory.
This shipping excise invoice must accompany the items during shipment.
Internal vendor excise invoices to record the excise duty from the vendor for items received into PeopleSoft Purchasing that are raw materials for the factory or capital goods.
Excise adjustments to determine and calculate the excise duty for adjustments to stocked items, shipments, receipts, duty deposits, and other changes.
Once the system calculates excise duty for the excise invoice, it updates the tax registers with each transaction’s excise duty information. PeopleSoft updates the following tax registers:
Personal Ledger Account (PLA).
Daily Stock Account (DSA).
CENVAT Quantity Register − Raw Material (RG 23 A Part 1).
CENVAT Quantity Register − Capital Goods (RG 23 C Part 1).
CENVAT Value Register - Raw Material (RG 23 A Part II).
CENVAT Value Register - Capital Goods (RG 23 C Part II).
Accounting entries are created and posted into PeopleSoft accounting records to record the excise duty obligations. The accounting entries for excise taxes are stored in the EXD_ACCTG_LINE record. To process these accounting entries into your general ledger system, map the Journal Generator Template to pick up the relevant fields in this table.
See Also
(IND) Determining and Calculating Excise Duty, Sales Tax, and Customs Duty
PeopleSoft enables you to record customs duties for imports into India. Customs duties are recorded on the following transactions:
Purchase orders in PeopleSoft Purchasing.
To create a purchase order for imported items, use the tax transaction type of Direct Import. The tax transaction type is derived from the vendor tax applicability definition. The Customs duties' Tax Calculation Code and associated tax components are defaulted to import POs based on the tax determination structure and the default hierarchy using parameters such as Vendor Category or Benefit ID.
Bill of Entry worksheet in PeopleSoft Purchasing.
The Bill of Entry (BOE) worksheet is created from a dispatched import PO or another BOE. When you save a new BOE, actual customs duties are determined and calculated for the BOE. When the imported goods arrive at customs, the BOE is submitted to the customs authorities along with other shipping documentation. You update the BOE based on the assessment by customs officials. Once the BOE is in Assessed or Closed status, no changes can be made and customs duties will not be recalculated.
Third-party voucher in PeopleSoft Payables.
To pay the customs officials, you create a third-party voucher for the customs duties. This voucher is paid before you receive the goods, unless you are using a bonded warehouse. A bonded warehouse requires receiving before creating the voucher. When creating the voucher, you can manually change the computed customs duties to the actual amounts determined by the customs authorities. Issue the payment and send it along with the BOE to the appropriate government agency. When the government receives your payment and releases your goods, create the receipt ID in PeopleSoft Purchasing. You must then reopen the voucher and manually associate the receipt ID with the voucher. This insures that the Landed Cost Extract process can match the actual customs duties from PeopleSoft Payables with the calculated customs duties recorded in PeopleSoft Inventory. The voucher splits the customs duties into recoverable and nonrecoverable amounts based on the recoverable tax percentage defined for each customs duty. Only the nonrecoverable amount is passed to PeopleSoft Inventory by the Landed Cost Extract process.
Receipts into PeopleSoft Purchasing.
Once the imported goods have cleared customs, you receive the items into PeopleSoft Purchasing. Like all receipts, you create the receipt ID based on the PO lines. However, for imported purchase orders, you must associate a BOE line (from a BOE in Assessed status) with each receipt line. The quantity open for receiving is the BOE quantity. Customs duties are not recalculated on the receipt.
Putaway in PeopleSoft Inventory.
Once the items are received, the Process Receipts process (PO_RECVPUSH) passes item costs to PeopleSoft Inventory and PeopleSoft Asset Management. For inventory items, this process also creates landed cost transactions for nonrecoverable customs duty amounts. The nonrecoverable customs duty amount is derived from the BOE line duty record for the corresponding receipt line. The Load Staged Items process (INPSSTGE) and Complete Putaway process (INPPPTWY) in PeopleSoft Inventory complete the putaway process.
Internal vendor excise invoices in PeopleSoft Purchasing.
Once the items have been received into PeopleSoft Purchasing, you can create an internal vendor excise invoice. With imported items, the internal vendor excise invoice records customs duties instead of excise duties and sales taxes. Lines from the BOE are copied into the internal vendor excise invoice. Customs duties cannot be changed or recalculated on the internal vendor excise invoice. Only the recoverable customs duties are recorded.
Register Update process.
Once the internal vendor excise invoice has been completed for a receipt of imported items, the Register Update process posts the customs duty information into the Indian tax registers and creates accounting entries for the duties.
Landed cost adjustments in PeopleSoft Cost Management.
The inventory item cost can be adjusted to the actual nonrecoverable customs duties amounts once the third-party voucher (from PeopleSoft Payables) has been matched and the Landed Cost Extract, Transaction Costing, and Accounting Line Creation processes are run.
See Also
(IND) Setting Up Excise Duty, Sales Tax, and Customs Duty for India
To record customs duties, you must first define tax components, tax dependency codes, tax calculation codes, and set up the tax determination. Once you have set up your customs duties structure, the system will calculate and record customs duties.
Methods for Calculating Customs Duties
For each customs duty component you define the method to use for calculating customs duties. Define the calculation method on the Tax Calculation Code page. Three methods exist for customs duties:
Percentage |
The customs duty is a percentage of the customs duty assessable value of the item. Customs duty assessable value is the total of:
|
Amount |
The customs duty is a flat amount. Enter the flat amount to be applied to the PO schedule line in the Tax Amount field on the Tax Calculation Code page. |
Quantity |
The customs duty is a unit price multiplied by the number of units. Enter the unit price in the Tax Amount field on the Tax Calculation Code page. To calculate the customs duty, the system multiplies the tax amount by the item quantity on the transaction. |
Applying Customs Duties to the PO
The system applies the customs duty tax calculation code to the correct purchase order schedule line by using the tax determination and the tax calculation.
Recoverable and Nonrecoverable Customs Duties
Each customs duty can be split into the recoverable and nonrecoverable parts based on the recoverable tax percentage defined on the Tax Calculation Code page for the customs duty. The recoverable portion is posted to an expense account. The system calculates the nonrecoverable percentage by subtracting the recoverable percent from 100 percent. The nonrecoverable portion is added as a landed cost to the item’s inventory value in PeopleSoft Inventory. For example, if the item value is 10,000 INR, the tax rate percentage is 3 percent, and the recoverable tax percentage is 90 percent, then the 30 INR is applied to the cost of the item in inventory, as follows: (10,000 INR * .03) * .10 = 30 INR. When you record the related voucher for customs duties in PeopleSoft Payables, any change in the nonrecoverable customs duty can be applied to the item cost using PeopleSoft’s landed cost feature.
Multiple customs duty components can be applied to the item’s cost as a lump sum or individually by using one or more cost elements for customs duties.
See Also
Setting Up the Customs Duties Foundation
In the procure-to-pay business process, excise duties are payable on the local purchase of excisable materials. Sales taxes are payable on the purchase of taxable goods and are payable to the vendor of the goods.
In the procure-to-pay business process, excise duties are always calculated first, followed by sales taxes. For sales tax, the base amount includes the basic value and all excise duties. In addition to the base amount, miscellaneous charges and previously calculated sales tax amounts can also be included in the calculation.
See Also
Setting Up the Sales Tax Structure
In the order-to-cash business process, the tax transaction type determines if excise duties and sales taxes are applicable on the sales order in PeopleSoft Order Management. Excise duties are always calculated first, followed by sales taxes, and they are calculated at the order schedule level.
When inventory stock is shipped to fulfill a sales order, excise duties are calculated and posted for the item using a shipping excise invoice in PeopleSoft Inventory. During the Populate Billing process, excise duty and sales tax information is passed to the Billing Interface only when there is an excise invoice created for shipping lines.
In PeopleSoft Billing, final taxes are calculated and printed on invoices. PeopleSoft Billing creates accounting entries for the taxes and passes excise duties and sales tax information to PeopleSoft Receivables.
You can create return material authorization (RMA) activity in PeopleSoft Order Management by referring to sales order history. For this activity, PeopleSoft Billing copies all tax parameters from the original invoice when creating the adjustment invoice activity. RMA activity can also be created without reference to sales order history. In this case, PeopleSoft Billing determines the tax rules and calculates the taxes.
You can enter and calculate excise and sales taxes directly in PeopleSoft Receivables or pass them to PeopleSoft Receivables for transactions interfaced from PeopleSoft Billing.
See Also
Setting Up the Organizational Structure
(IND) Excise Duty and Sales Tax Processing for India
Calculating India Excise and Sales Tax in PeopleSoft Billing
Processing Indian Taxes for Sales Orders and Quotes
The excise adjustment feature enables you to adjust the values stored in your registers and create adjusting accounting entries.
Excise adjustments are to be carried out based on internal documents like the shipping ID documents, shipping excise invoices, or any external document like the vendor excise invoice. The reasons to use excise adjustments include:
Excise duty (CENVAT) reversal for material returned to the vendor (RTVs).
Excise duty (CENVAT) reversal for material returned by customers (RMAs).
Excise duty (CENVAT) reversal due to cancellation of any excise invoice for any reason.
Update the PLA register for payments to the PLA account with TR6 Challan details using categories of payment, such as, CESS, Interest, Penalty, Normal Duty, and so on.
Update the PLA register for adjustments to CENVAT Utilization.
Inventory transactions such as inventory counts, manufacturing, or other reasons.
Excise duty (CENVAT) reversal for overdue items with subcontractor and taking CENVAT credit on subsequent receipt from subcontractor.
Excise duty (CENVAT) adjustment for additional excise invoice received from the vendor due to price increase or other reasons.
Additional excise duty (CENVAT) due to price increases or other reasons based on excise invoice sent to customer; short or excess charging of excise duty during sale.
Price increases for dispatches after dispatch has been made.
Applying the CENVAT hold for capital goods at the beginning of the year.
Any other adjustment needed to reverse excise duties (other adjustments).
Adding or Updating an Excise Adjustment
Excise adjustments are recorded by:
Entering the adjustment in the Excise Adjustments page.
Identify the adjustment by excise adjustment type.
The excise invoice status must be New to update the adjustment.
Enter excise tax information for your adjustment or enter the appropriate parameters such as business unit, customer, vendor, date, and item; then click the Calculate Tax button to perform the tax determination and tax calculation processes.
The results are displayed in the Adjustment Line Tax Information section of the page. You can override any information on the line.
Based on the excise adjustment type and register, the relevant ChartFields for excise adjustment can be determined from the Tax Location - ChartFields page.
Saving the Excise Adjustment page generates an excise adjustment with a unique adjustment excise number based on the excise document number series defined for this excise transaction type.
Upon saving, the header and line information (for both item and tax) are stored in the excise adjustment tables (EXD_ADJ_HDR, EXD_ADJ_LINE, and EXD_ADJ_LN_TAX).
Running the Register Update process for excise adjustment updates the tax registers for the item quantities and amounts.
Selecting the Excise Invoice Posting check box also records accounting entries for these adjustments. The following registers can be updated:
Personal Ledger Account (PLA).
Daily Stock Account (DSA).
CENVAT Value Register − Raw Material (RG 23 A Part II).
CENVAT Value Register − Capital Goods (RG 23 C Part II).
Recording the Adjustment on the Excise Adjustment Page
An excise adjustment type identifies each adjustment. Based on the excise register selected, the system determines the excise adjustment types to display on the Excise Adjustment page for selection. Once the source transaction has been selected, then excise taxes can be calculated and the excise adjustment transaction can be created.
Excise Adjustment Types |
Purpose |
Capital Goods CENVAT (CAP) |
Recording excise duty for capital goods bought in the previous year. |
Daily Stock Account (QTY) |
Adjusting the quantity of finished goods in the Daily Stock Account register. Only the quantities can be adjusted, not the amounts. Quantities may need to be adjusted for numerous reasons including RMA or excise invoice cancellations. |
Inventory Adjustments (INV) |
Manually adjusting for reversal of excise duty on account of inventory counts, scrapping materials during manufacturing (input materials, semi-finished materials, and finished goods), yield loss quantity in manufacturing, or other reasons. |
Other Transaction (OTH) |
Recording the cancellation of any excise invoice or recording miscellaneous adjustments to excise duty. |
PLA Register Deposit (PLD) |
Manually adjusting the PLA register for any deposit to the PLA account. No accounting entries are recorded. PeopleSoft Payables records the payment and it’s accounting entries. |
PLA Register Update (PLA) |
Manually correcting any previous entries made to the PLA register. |
Price Adjustment Dispatch (PAD) |
Increasing or decreasing excise duty due to a price increase or decrease to a previous shipping excise invoice sent to customer or business unit. |
Price Adjustment Purchase (PAP) |
Increasing or decreasing excise duty due to a price increase or decrease from a vendor based on a previous internal vendor excise invoice. |
Return Material Authorization (RMA) |
Manually reversing the excise duty when the customer returns items. This adjustment reverses the excise duty recorded in the registers and posted as accounting entries by the originating shipping excise invoice. In PeopleSoft Billing, the RMA Adjustment process creates an adjustment bill to reverse the product costs and excise duty recorded. In other words, although PeopleSoft Billing will refund the customer for any excise duty paid, this information will not flow through to the registers. You must enter an excise adjustment to record the refund in the tax registers. |
Return to Vendor (RTV) |
Manually reversing the excise duty when items are returned to the vendor. This adjustment reverses the excise duty recorded in the registers and posted as accounting entries by the originating internal vendor excise invoice. In PeopleSoft Payables, the RTV functionality reverses the excise duty recorded on the voucher. |
Sub Contracting (SUB) |
Decreasing the excise duty payable for subcontracted goods. On the Tax Location - Excise Group page, enter the number of days past due for a subcontractor to return subcontracted items. When the subcontractor exceeds this number of days, enter an excise adjustment to reverse the excise duty payable. Increasing the excise duty payable for subcontracted goods. In the period when the subcontractor delivers overdue items, create a second excise adjustment to increase the excise duty payable. |
Page Name |
Object Name |
Navigation |
Usage |
EXCISE_ADJUST |
Excise and Sales Tax IND, Excise Adjustments |
Enter excise adjustments to increase or decrease quantities and amounts in the following tax registers: PLA register, Daily Stock Account, CENVAT Value Register - Raw Material, and CENVAT Value Register - Capital Goods. Accounting entries are created based on the adjustment entered. |
|
EXCISE_ADJ_PLA |
Excise and Sales Tax IND, Excise Adjustments. Enter Personal Ledger Account in the Excise Register field. |
Enter excise adjustments to increase or decrease amounts in the PLA register. |
Access the Excise Adjustment page.
Search Criteria
For all adjustments, the following information must be entered:
Organization Code |
Defines registration details for the organization. |
Tax Location Code |
Identifies the manufacturer’s location of excisable goods. |
Excise Register |
Enter the tax register that you want to adjust. You cannot add adjustments for the Qty Register - Capital Goods, Qty Register - Raw Material, or CENVAT Register - CG Onhold registers. An error message displays. You can add adjustments for the following registers: CENVAT Register - Raw Material CENVAT Register - Capital Goods Daily Stock Account Personal Ledger Account |
Excise Document Number Series |
Enter the excise document number series to create a unique excise invoice number for this transaction. Use a number series created using the excise transaction type of Manual. |
Adjustment Excise Invoice Nbr (adjustment excise invoice number) |
Displays the excise invoice number assigned to this excise adjustment. The system derives the number from the excise document number series and the tax location code defined above. The system looks at the tax location to identify the format for the document number, such as prefix and length. If you select the Overwrite Allowed check box on the Excise Document Number Series page, then the user can add the invoice number. If the overwrite option has not been selected, the Excise Invoice Number field displays NEXT until the excise adjustment is saved. |
Depending on the entries at the top of the page, different fields appear in the header and line details sections of this page and the system performs different validations.
Adjustment Header
Adjustment Date |
Enter the date of the adjustment. This field displays if you are adjusting the Daily Stock Account, CENVAT Value Register - Raw Material, or CENVAT Value Register - Capital Goods. |
Reason Code |
Select a reason code for this adjustment. |
Excise Adjustment Type |
An excise adjustment type identifies each adjustment. This field displays if you are adjusting the Daily Stock Account, CENVAT Register - Raw Material, or CENVAT Register - Capital Goods. See the above section, Creating Excise Adjustments, Recording the Adjustment on the Excise Adjustment Page. |
Inc/Dec (Increase/Decrease) |
If the value is Increase, then the selected register is credited with the excise duty value. If the value is Decrease, then the selected register is debited with the excise duty value. Based on the excise register displayed in the search criteria section at the top of this page, your options for this field will be limited. (PLA register only) No accounting entries are created when the PLA adjustment direction is Increase; for example, when the Excise Adjustment Type is PLD. An increase means that the accounting will flow through from PeopleSoft Payables. The adjustment is not be picked up by the Accounting Line Creation process. Only decrease transactions will result in accounting lines (when the excise adjustment type is PLA). |
Posting Date |
Enter the date to be used for posting accounting entries. This date is recorded in the PLA register as the excise invoice date. It is compared to the CENVAT as of date used on the Register Update process and the Online CENVAT Utilization page. If you want to use a particular deposit to clear the CENVAT due on shipping excise invoices, verify that your posting date is on or before the CENVAT As of Date used on the Register Update process and the Online CENVAT Utilization page. |
Excise Invoice Status |
Displays the status of the adjustment. The valid values are: New: The adjustment is available for update and has not yet been processed by the Register Update process. Ready: The adjustment has been processed by the Register Update process but has not been posted. The adjustment cannot be updated, only displayed. Posted: The adjustment has been processed by the Register Update process and has been posted. The adjustment cannot be updated, only displayed. |
Adjustment Line
For adjustments to the Daily Stock Account, CENVAT Value - Raw Materials, and CENVAT Value - Capital Goods registers, the following fields are available:
Excise Source Document |
Enter the original document number for the transaction that you are adjusting. For RMAs, enter the RMA document number. The system does not validate the entry. If the excise adjustment type is OTH (other) then this field is unavailable |
Excise Source Document Date |
Enter the date of the original source document. |
BU Type |
Indicate whether the inventory unit (IN) or the purchasing unit (PO) should be used to derive the general ledger business unit for creating accounting entries. No other options are available besides IN or PO. |
Business Unit |
Identify the business unit based on the BU Type field. Your entry is validated against the BU Tax Applicability page. This value is used to derive the general ledger business unit for posting accounting entries. |
Item/Product ID |
Identifies if the user is entering an item or product in the following field. |
Item |
This field displays if you enter Item in the Item/Product ID field. Enter a valid item ID. |
Product |
This field displays if you enter Product in the Item/Product ID field. Enter a valid product ID. |
Quantity |
The disposition quantity of the item or product. |
Use Assessable Value |
Select to use the assessable value defined on the Item Defn Tax Applicability page or the Product Tax Applicability page. Use only for CENVAT Value registers for raw material/capital goods. |
Tax Transaction Type |
Defines the type of transaction for excise duty and sales tax purposes. The options are: Direct Export With Bond Direct Export Without Bond Direct Import Domestic Local Export With Bond Local Export Without Bond Local Import |
Tax Rate Code |
Enter the tax calculation code from the source document. |
Tax Item Type |
Displays the type of item to be adjusted. The options are Raw Material, Capital Goods, or Finished Goods. The tax item type defaults from the item or product ID entered and cannot be overridden. If no item or product ID has been entered, then the user can manually enter in the tax item type. |
Trading Partner Type |
Enter the type of trading partner entered in the Trading Partner ID field. The valid options are V (vendor) or C (customer). |
Trading Partner ID |
If no item ID has been entered on this adjustment page, you may want to enter a customer ID or vendor ID in this field to successfully complete the tax determination process. |
Vendor Location |
If the trading partner is a vendor, enter the vendor location code. |
Address Sequence Number |
If the trading partner is a customer, enter the customer’s address sequence number. |
Tax Amount |
The total excise duty amount. |
Tax Base Amount |
For adjustments to the Daily Stock Account register, enter the extended price. For adjustments to the PLA register, enter the adjustment or deposit amount. For adjustments to the CENVAT Raw Material or CENVAT Capital Goods registers, enter the value on which tax is to be calculated or the assessable value (if the assessable value field is selected). |
Calculate Tax |
Click to initiate the tax determination and tax calculation processes for excise duty. |
Adjustment Line Tax Information
The bottom portion of this page displays the tax calculations for the adjustment line displayed above. When you save the page or click the Calculate Tax button, the results of tax determination and tax calculations are displayed in this section. The user can override the following values or enter values when tax calculation is not performed.
Tax Component Code |
Codes established for each tax. |
Calculation Scheme |
Displays the default calculation scheme associated with the selected tax component code. You can override this value. Values are: Amount: Ad hoc amount-based tax calculation. Percentage: Percentage-based tax calculation. This is the default value. Quantity: Quantity-based tax calculation |
Tax Rate Percent |
If the Calculation Scheme field value is set to Percentage, this field displays the percentage to be applied against the taxable amount. |
Recovery Percentage |
The percentage of the total excise duty that is expected to be recovered from the customer. This percentage is entered in the Recoverable Tax Pct field of the Tax Calculation Code page. |
Tax Rate UOM (tax rate unit of measure) |
If you are using the quantity calculation scheme, enter the unit of measure for the quantity tax rate. |
Tax Rate Amount |
If you are using the amount calculation scheme, enter the actual amount of excise duty. |
Tax Base Amount |
This is the base amount used to calculate excise duty and sales taxes when the calculation scheme is Percentage. This is calculated in tax location currency (reporting currency). |
Tax Amount Reporting |
The total excise duty and sales tax amount, expressed in the reporting currency. |
Reporting Recovery Amount |
The recoverable portion of the excise duty amount, expressed in the reporting currency. |
Non Recovery Reporting Amount |
The nonrecoverable portion of the excise duty amount, expressed in the reporting currency. |
Adjustment Line
For adjustments to the PLA register, the following fields are available:
Challan Document |
Enter the challan number for PLD adjustments. For example, if you are adjusting the PLA register to record a payment into the PLA account, enter the TR6 Challan number that accompanied the payment. |
Excise Source Document |
Enter the type of source document for PLA or PLD adjustments. |
Excise Source Document Date |
Enter the date of the source document for PLA or PLD adjustments. |
Payment Document Number |
Enter the document number of the source document. If you are adjusting the PLA register to record a payment into the PLA account, enter the accounting entry document number used to remit the payment to the bank. |
Payment Date |
If you are adjusting the PLA register to record a payment into the PLA account, enter the date of the PLA payment document date. |
Deposit Date |
Enter the PLA deposit date. |
Payment Method |
Enter the type of payment made with your PLA deposit. Options are: CC (credit card), CHK (check), CSH (cash), DR (draft), DD (direct deposit), LTC (letter of credit), or EFT (electronic funds transfer). |
Tax Amount |
Enter the payment amount. |
The internal vendor excise invoice, shipping excise invoice, and excise adjustment determine and calculate the excise duty for receipts, shipments, and adjustments. The internal vendor excise invoice also records customs duties for imported items. The next step is to post the excise duty or customs duty information into the registers and create accounting entries for the duties. This is accomplished by the Register Update process. This process includes several subprocesses. Based on the type of excise invoice, different subprocesses are used to record excise duty or customs duty information.
Internal vendor excise invoices and customs duties are processed by:
Excise Quantity Register Update subprocess.
Value Register Update subprocess.
Excise Invoice Posting subprocess.
Excise adjustments are processed by:
Excise Quantity Register Update subprocess.
Value Register Update subprocess.
Excise Invoice Posting subprocess.
Shipping excise invoices are processed by:
Excise Quantity Register Update subprocess.
CENVAT Utilization subprocess.
Excise Invoice Posting subprocess.
Note. For shipping excise invoices, the CENVAT Utilization subprocess can be replaced (for a small number of invoices) with the Online CENVAT Utilization page where you can manually allocate the CENVAT credit. Before manual allocation, the Register Update process must be used to process the invoices through the Excise Quantity Register Update subprocess. After manual allocation, the Register Update process must be used to process the invoices through the Excise Invoice Posting subprocess.
See Also
Creating Internal Vendor Excise Invoices Against BOE
(IND) Creating Shipping Excise Invoices for India
Page Name |
Object Name |
Navigation |
Usage |
REGISTER_UPDATE |
Excise and Sales Tax IND, Register Update |
Adjust item quantities and amounts in the tax registers and create the corresponding accounting entries for shipping excise invoices, internal vendor excise invoices, and excise adjustments. |
The Excise Quantity Register Update process applies to all types of excise invoices (shipping, vendor, and adjustment). This process records the item quantities from each transaction line into the quantity registers that must be maintained for India excise duty. The registers to be updated vary by the type of excise invoice, as follows:
The internal vendor excise invoices (receipts into PeopleSoft Purchasing and BOE worksheets) increase the item quantity of raw materials or capital goods in the factory.
The internal vendor excise invoice must have a status of New or Ready to be processed by the Excise Quantity Register Update process. The Excise Quantity Register Update process credits the Cenvat Quantity Raw Material (RG 23 A Part I) register for raw materials and the Cenvat Quantity Capital Goods (RG 23 C Part I) register for capital goods. The item tax type of the item determines if the quantity is raw materials or capital goods. If the item tax type is finished goods then no quantities are updated for an internal vendor excise invoice. The PeopleSoft Inventory business unit where the items are putaway must be defined as a factory by the attached tax location.
The shipping excise invoices (depletions from PeopleSoft Inventory) decrease the item quantity of finished goods or other items.
The shipping excise invoice must have a status of Ready to be processed by the Excise Quantity Register Update process. Excise Quantity Register Update process debits the item quantity in the Daily Stock Account register. The PeopleSoft Inventory business unit must be defined as a factory by the attached tax location.
The excise adjustments increase or decrease the item quantity in any of the registers (Daily Stock Account, CENVAT Register - Raw Material or Capital Goods) based on the type of adjustment entered.
When the Excise Quantity Register Update process is complete, the Quantity Register flag on the Excise Invoice table is updated for shipping excise invoices and internal vendor excise invoices.
The CENVAT Utilization process allocates the amount of excise duty due on shipped items to the Cenvat Value - Raw Materials, Cenvat Value - Capital Goods, and PLA registers. (The amount of excise duty payable is calculated when the shipping excise invoice is created.) This process offsets the excise duty payable for items shipped from the factory (using sales orders and interunit transfers) against the cash deposits in the PLA register and the input of raw materials and capital goods into the CENVAT Value - Raw Materials and Cenvat Value - Capital Goods registers. Run this process fortnightly or whenever you need to apply CENVAT credit to your shipping excise invoices. You can also apply CENVAT credit to a selected few shipping excise invoices using the Online CENVAT Utilization page.
The CENVAT Utilization process retrieves lines from the shipping excise invoice and then allocates the total excise duty payable for all items in the shipping excise invoice by:
Verifying the CENVAT Value - Raw Material register has an active status for the tax location assigned to the sending Inventory business unit.
The process then checks for sufficient amounts to cover the excise duty payable in this register. If there are enough funds, the CENVAT Value - Raw Material register is updated for the excise duty payable by creating an entry in the value register table (EXD_RG23_AC2) with a unique serial number and the duty payable amount.
If the CENVAT Value - Raw Material register has insufficient balance to cover the entire excise duty payable amount, then the process checks the CENVAT Value - Capital Goods register.
After verifying the CENVAT Value - Capital Goods register has an active status for the tax location assigned to the sending Inventory business unit, the system checks the amount in the register. If there is enough funds between CENVAT Value - Raw Material and CENVAT Value - Capital Goods registers, then the funds in CENVAT Value - Raw Material are used first and then the remainder is drawn from the CENVAT Value - Capital Goods register. For each register, a line is inserted in the value register table (EXD_RG23_AC2) with a unique serial number and the duty payable amount.
If the combined funds of the CENVAT Value - Raw Material and the CENVAT Value - Capital Goods registers are not enough to cover the excise duty payable amount, then the process verifies the active status of the PLA register (for the tax location assigned to the sending Inventory business unit) and checks the current funds in that register.
If the sum of the CENVAT Value - Raw Material, CENVAT Value - Capital Goods, and PLA registers are sufficient to cover the duty payable amount then the funds are drawn from the CENVAT Value - Raw Material register until funds are exhausted, then funds are pulled from the CENVAT Value - Capital Goods register until funds are exhausted, and the remainder is drawn from the PLA register. For each register, a line is inserted in the value register table (EXD_RG23_AC2) and the PLA register table (EXD_REG_PLA) with a unique serial number and the duty payable amount.
If the sum of the CENVAT Value - Raw Material, CENVAT Value - Capital Goods, and PLA registers is not sufficient to cover the excise duty payable amount, then the registers are not updated.
The process creates a message in the message log of this process run. This message provides the excise invoice number and line for the user to get the details of the shipping excise invoice, including the duty payable for each line and the total duty payable for the Shipping ID.
When CENVAT Utilization process is completed successfully, the CENVAT Utilization flag on the Excise Invoice table is updated.
Note. The CENVAT Utilization subprocess can be replaced (for a small number of invoices) with the Online CENVAT Utilization page where you can manually allocate the CENVAT credit. This enables you to allocate the CENVAT credit in a different sequence and in different amounts than stated above for the CENVAT Utilization process. Before manual allocation, the Register Update process must be used to process the invoices through the Excise Quantity Register Update subprocess. After manual allocation, the Register Update process must be used to process the invoices through the Excise Invoice Posting subprocess.
The Value Register Update process updates the tax registers with the monetary amounts of excise taxes or customs duties included in:
Internal vendor excise invoices |
These incoming purchases represent a future amount payable to the Indian government due when the finished goods are shipped. The internal vendor excise invoice includes either excise duties or customs duties. Excise duties are applied to goods manufactured or produced in India. Customs duties are applied to good imported into India. The Value Register Update process retrieves the excise duty or customs duty amounts from the internal vendor excise invoices and inserts the amounts into the CENVAT Value - Raw Material or CENVAT Value - Capital Goods registers. For purchases to be stored in inventory: If the Inventory business unit is attached to a tax location defined as a factory and the item tax type is raw materials (RM), then the excise duty or customs duty amounts are inserted into the CENVAT Value - Raw Material register. For purchases to be stored in asset management: If the item tax type is capital goods (C) then the excise duty or customs duty amounts are split between the CENVAT on Capital Goods account and the CENVAT Hold on Capital Goods account. This split is based on the CENVAT % on Capital Goods field on the Tax Location page. These two lines are inserted into the CENVAT Value - Capital Goods register. |
Excise Adjustments |
These adjustments represent various changes to your excise duty payable such as CENVAT payments, return material authorizations (RMA), return to vendor transactions (RTV), and inventory adjustment transactions. The Value Register Update uses the information on the excise adjustment to determine the adjustment to the excise duty amount in the Daily Stock Account, CENVAT Value - Raw Material, or CENVAT Value - Capital Goods registers. |
The value register update process can be run after the Excise Quantity Register Update process has been successfully completed. When the Value Register Update process is complete, the Value Register flag on the Excise Invoice table is updated.
This process creates accounting entries to record the excise and customs duties included in the Indian excise registers.
Note. For internal vendor excise invoices of imported items, the process credits the CENVAT Clearing Imports ACD account and debits the CENVAT on Raw Materials, CENVAT on Capital Goods, and CENVAT Hold on Capital Goods accounts. The CENVAT accounts are the ChartField combinations listed on the Tax Location - ChartFields page by Excise Account Type
Access the Register Update page.
Excise Invoice Source |
Select the type of excise invoice. Your options are: Shipping Excise Invoice: Enables you to run the Excise Quantity Reg Update to update register quantities, the CENVAT Utilization to allocate register amounts, and the Excise Invoice Posting to create accounting entries. Vendor Excise Invoice: Enables you to run the Excise Quantity Reg Update to update register quantities, the Value Register Update to update register amounts, and the Excise Invoice Posting to create accounting entries. Excise Invoice Adjustment: You must run the Excise Quantity Reg Update to update register quantities and the Value Register Update to update register amounts. You can also run the Excise Invoice Posting to create accounting entries. |
Excise Quantity Reg Update |
Select to update the item quantities in the tax registers. This process applies to shipping excise invoices, internal vendor excise invoices, and excise adjustments. |
CENVAT Utilization |
Select to allocate the monetary amounts from shipments in the CENVAT Value - Raw Material, CENVAT Value - Capital Goods, and the PLA registers. This process applies only to shipping excise invoices. |
CENVAT As of Date |
Enter a date to select transactions for the CENVAT utilization process. All available shipping excise invoices with a header date on or before this date are selected. The default is the current system date. This date cannot be greater than the system date or less than the CENVAT As of Date of any previous Register Update processes. |
Value Register Update |
Select to update the monetary amounts in the tax registers. This process applies to internal vendor excise invoices and excise adjustments. |
Excise Invoice Posting |
Select to create the necessary accounting entries to record excise duties and customs duties transactions inserted in the tax registers. This process applies to shipping excise invoices, internal vendor excise invoices, and excise adjustments. |
Organization Code |
Defines registration details for the organization. |
Tax Location Code |
Identifies the manufacturer’s location of excise applicable goods. The selection is limited to the tax location codes defined for the organization code entered on this page. |
Excise Document Series |
Enter the excise document number series used for the transactions. |
From Invoice Number and To Invoice Number |
(Optional) Enter the range of excise invoice numbers for the excise invoices that you want to process. |
Note. The Register Update process does not run if the tax location specified on the run control ID is currently locked. A tax location is locked if another Register Update run control is currently processing the Value Register Update subprocess or the CENVAT Utilization subprocess using this tax location. The tax location is also locked if it is currently being used on the Online CENVAT Utilization page.
This section discusses how to:
Apply CENVAT credit online.
Unlock tax locations.
The online CENVAT utilization feature enables you to review all shipping excise invoices not yet processed by the CENVAT Utilization process and manually apply the CENVAT credit from the Cenvat Value - Raw Materials register, Cenvat Value - Capital Goods register, or the PLA register. The credit can be applied in any order needed, for example, you can take part or all of the credit from the PLA register without exhausting the Credit Value registers first. The system default is to exhaust the Cenvat Value registers before using the PLA register.
To use Online CENVAT Utilization page, the shipping excise invoice must have:
A header status of Ready.
Successfully complete the Excise Quantity Register Update process.
Not been processed by the CENVAT Utilization process or another Online CENVAT Utilization page.
The Online CENVAT Utilization page is designed to supplement the CENVAT Utilization process included on the Register Update page. For large numbers of shipping excise invoices, the CENVAT Utilization process should be used. The online page should be used for exceptions and process a smaller volume of invoices. Performance could degrade if large volumes of invoices are used on the Online CENVAT Utilization page.
Once you have allocated CENVAT using the Online CENVAT Utilization page, be sure to run the Register Update run control for the related shipping excise invoices with the Excise Invoice Posting process selected. This creates and posts the necessary accounting entries.
In the course of doing business, the new tax location CENVAT utilization tracking table, as well as related tables like the shipping excise tables and register records can get fairly large. To conserve database space, it is recommended that the transaction data be purged after it is no longer needed with regard to government regulations and business requirements.
Page Name |
Object Name |
Navigation |
Usage |
EXD_CNVT_DTLS |
Excise and Sales Tax IND, Online CENVAT Utilization |
For specified shipping excise invoices, review the CENVAT due and the CENVAT credit to be applied by the system, then enter any manual changes to the CENVAT credit applied. |
|
EXD_CENVAT_UNLK |
Excise and Sales Tax IND, Unlock Tax Location Records |
Displays all tax locations that are currently locked by the system for CENVAT utilization. You can unlock a tax location using this page. Security should be applied to this page to restrict access to system administrators. |
Access the Online CENVAT Utilization page.
When you first enter this page, the system calculates the credit available and the suggested utilization from each register. You can clear any of the excise shipping invoices and change the credit used.
Organization Code |
(required) Defines registration details for the organization. |
Tax Location Code |
(required) Identifies the manufacturer’s location of excise applicable goods. The selection is limited to the tax location codes defined for the organization code entered on this page. Enter an active tax location code that is not locked. A tax location is locked if it is currently in use by the CENVAT Utilization process or another Online CENVAT Utilization page. |
Excise Document Nbr Series (excise document number series) |
(required) Enter the excise document number series that is valid for the shipping excise invoices that you want to display. |
From Invoice Number and To Invoice Number |
Enter a range of shipping excise invoices to limit your selection. The system displays all shipping excise invoices that have successfully completed the Excise Quantity Register Update process, have at least one line that has not completed the CENVAT Utilization process, has at least one line with no excise amount applied, and the invoice header status is Ready. |
CENVAT As of Date |
(required) Enter the as of date. The system displays all unprocessed shipping excise invoices with the same or earlier header date. Shipping excise invoices that have been processed by the CENVAT Utilization process or another Online CENVAT Utilization page are unavailable. The CENVAT As of Date cannot be greater than the system date or earlier than the date used on a previous Online CENVAT Utilization page. |
Excise Transaction Type |
Identifies the type of transaction for Indian tax purposes. |
Excise Curr Rptg (excise reporting currency) |
Displays the excise reporting currency. All values are expressed in this currency. |
Display Detailed CENVAT Info (display detailed CENVAT information) |
Select to display the Cenvat Value - Raw Materials register separate from the Cenvat Value-Capital Goods register. This enables you to apply the credit used for each register. If this check box is cleared, the credit available and credit used for both registers are combined for display and allocation purposes. |
Total Excise Credit Avail |
Displays the total excise credit available in all registers, Cenvat Value - Raw Materials, Cenvat Value-Capital Goods, and PLA registers. This value is calculated by the system when you enter the page. |
Raw Materials Credit Avail and Capital Goods Credit Avail |
Displays the credit available in this Cenvat Value register. This field only displays if you selected the Display Detailed CENVAT Info check box. |
Total CENVAT Credit Avail |
Displays the credit available in both the Cenvat Value - Raw Materials register and the Cenvat Value-Capital Goods register. This field only displays if you did not select the Display Detailed CENVAT Info check box. |
PLA Register Credit Avail |
Displays the excise credit available in the PLA register. This value is calculated by the system when you enter the page. |
Total Excise Due |
Displays the total excise due for the selected invoices. |
Raw Materials Credit Used and Capital Goods Credit Used |
Review or change the credit used for this Cenvat Value register. The suggested utilization is calculated when you enter the page. This field only displays if you selected the Display Detailed CENVAT Info check box. |
Total CENVAT Credit Used |
Review or change the credit used in both the Cenvat Value - Raw Materials register and the Cenvat Value - Capital Goods register. The suggested utilization is calculated when you enter the page. This field only displays if you did not select the Display Detailed CENVAT Info check box. |
PLA Credit Used |
Review or change the credit used in the PLA register. The suggested utilization is calculated by the system when you enter the page. |
|
Click the Recalculate CENVAT Utilization button to calculate the excise duty needed for each shipping excise invoice and to validate the entries in the credit used fields. The credit used from each register cannot exceed the available credit for that register. For example, if the PLA Register Credit Available field displays 15,000 then the value in the PLA Credit Used field cannot exceed 15,000. If the credit used fields are blank then the system calculates amounts. |
Invoice Details
Select |
Clear this check box to remove the shipping excise invoice from the online CENVAT utilization process. The system defaults to selecting all shipping excise invoices retrieved by your search criteria. |
Details |
Click this link to view the shipping excise invoice in display mode. |
Invoice Created |
Displays the shipping excise invoice date. |
Total Excise Duty |
Displays the total excise duty (CENVAT) needed to clear this excise shipping invoice. |
Amount 1 to Amount 6 |
Enter up to six tax component code amounts for a particular tax rate code. These columns display based on the number of tax component codes defined. |
Initiating the Online CENVAT Utilization
Once you have finished allocating CENVAT credit across the registers, click the Save button to:
Lock tax location to prevent other users from adjusting the same tax location.
If the system is unable to get a lock on the tax location then an error message is displayed and your changes are not recorded. You must try again when the tax location is unlocked.
Validate that the shipping excise invoices have not been changed by another user.
If another user has made changes between the time the invoice was first displayed on this page and the Save button was clicked, then an error message is displayed and your changes are not recorded.
Recalculate the CENVAT due for each shipping excise invoice line.
Validate the entries in the credit used fields against the available credit. The credit used from each register cannot exceed the available credit for that register. For example, if the PLA Register Credit Available field displays 15,000 then the value in the PLA Credit Used field cannot exceed 15,000. If the credit available is insufficient to cover the excise due, then an error message is displayed and your changes are not recorded.
The system displays a message asking the user to confirm that the Cenvat Value and PLA registers should be updated with this information.
Select Yes to write your changes into the tax registers, unlock the tax location, and update the table for online CENVAT utilization.
Access the Unlock Tax Location page.
This page displays all tax locations that are currently locked by the system. A tax location is locked if it is currently in use by:
The Value Register Update process on the Register Update page.
The CENVAT Utilization process on the Register Update page.
The Online CENVAT Utilization page.
Locking the tax location code prevents users from accessing the same shipping excise invoices on another Online CENVAT Utilization page. Due to power failures or user error, a tax location may get stuck in the locked status. Use this page to unlock tax locations that are not currently being used by the CENVAT Utilization process or the Online CENVAT Utilization page.
Use the Select check box to select the tax location to be unlocked, then click the Unlock Org Tax Locations button. A warning message displays. The unlock feature should only be used if you are certain that there are no Register Update processes running. Balance integrity issues could occur if tax locations are unlocked in error. Save the page to unlock the tax location.
Warning! Security should be applied to this page to prevent general user access. Only system administrators should use this page.
The Excise Invoice Posting subprocess creates the accounting entries needed to record excise duties and customs duties. These accounting entries are stored in the EXD_ACCTG_LINE record.
Note. To process these accounting entries into your general ledger system, the Journal Generator Template should be mapped to pick up the relevant fields in EXD_ACCTG_LINE table.
For the internal vendor excise invoices, the Excise Invoice Posting subprocess creates accounting entries for the CENVAT Value - Raw Material register (for raw materials) and the CENVAT Value - Capital Goods register (for capital goods). Run this subprocess using the Register Update process page. Once the Excise Invoice Posting subprocess creates the accounting entries, the new details of posting date and accounting document reference are stored in the internal excise invoice table.
This subprocess retrieves each receipt line from the internal vendor excise invoice table and performs the following validations before posting:
Confirms the Excise Quantity Register Update subprocess was successfully completed.
Verifies the receipt quantity on the receipt matches the internal vendor excise invoice table.
The internal vendor excise invoice includes either excise duties or customs duties. Excise duties are applied to goods manufactured or produced in India. Customs duties are applied to good imported into India.
Excise Duties
The Excise Invoice Posting subprocess records the excise taxes for each receipt by crediting the CENVAT Clearing account and debiting the appropriate CENVAT account. The CENVAT accounts are the ChartField combinations listed on the Tax Location - ChartFields page by Excise Account Type.
Item Tax Type |
Excise Account Type to Debit |
Excise Account Type to Credit |
Source Register |
R (raw materials) |
CENVAT on Raw Materials |
CENVAT Clearing account |
CENVAT Value - Raw Material |
C (capital goods) |
CENVAT on Capital Goods And CENVAT Hold on Capital Goods (Split based on percentage in Tax Location - Excise Group page) |
CENVAT Clearing account |
CENVAT Value - Capital Goods |
Customs Duties
The Excise Invoice Posting subprocess records customs duties instead of excise taxes for each receipt from an imported item by crediting the CENVAT Clearing Imports ACD account and debiting the appropriate CENVAT account. The CENVAT accounts are the ChartField combinations listed on the Tax Location - ChartFields page by Excise Account Type.
Item Tax Type |
Excise Account Type to Debit |
Excise Account Type to Credit |
Source Register |
R (raw materials) |
CENVAT on Raw Materials |
CENVAT Clearing Imports ACD account |
CENVAT Value - Raw Material |
C (capital goods) |
CENVAT on Capital Goods And CENVAT Hold on Capital Goods (Split based on percentage in Tax Location - Excise Group page) |
CENVAT Clearing Imports ACD account |
CENVAT Value - Capital Goods |
Calculating CENVAT on Capital Goods
The amount of excise taxes or customs duties from the receipt of capital goods is split between the CENVAT on Capital Goods account and the CENVAT Hold on Capital Goods account based on the percentage located on the Tax Location - Excise Group page in the CENVAT % on Capital Goods field. The CENVAT on Capital Goods amount is derived by applying the percentage to the total excise duty or customs duty for the item. The remainder is applied to the CENVAT Hold on Capital Goods account.
The amount in the CENVAT Hold account is moved into the CENVAT on Capital Goods account in the subsequent year. Record this adjustment at the beginning of the subsequent year by entering a manual adjustment using the Excise Adjustment page.
See Also
Creating Internal Vendor Excise Invoices Against BOE
For the shipping excise invoices, the Excise Invoice Posting subprocess creates accounting entries for the excise registers. Shipping excise invoices include shipments from PeopleSoft Inventory business units to customers (based on a sales order) or interunit transfers to another PeopleSoft Inventory business unit in a different tax location (based on an interunit material stock request). The Excise Invoice Posting subprocess can be run using the Register Update process page. The shipping excise invoice must have a status of Ready before posting is done. Once the Excise Invoice Posting subprocess has created the accounting entries, the internal excise invoice table is updated with the details of posting date and accounting document reference.
The Excise Invoice Posting subprocess records the excise tax for each shipping excise invoice by crediting or debiting the appropriate CENVAT account. The CENVAT accounts are the ChartField combinations listed on the Tax Location - ChartFields page by Excise Account Type assigned to the Tax Location relevant to the sending Inventory business unit. The accounting entries are allocated to CENVAT accounts based on the allocation by the CENVAT Utilization process of the total excise duty payable amount. The following excise account types are used:
Excise Account Type to Debit |
Excise Account Type to Credit |
Source Register |
Excise Duty Expenses |
||
Cenvat on Raw Materials |
CENVAT Value - Raw Material |
|
Cenvat on Capital Goods |
CENVAT Value - Capital Goods |
|
PLA Account |
PLA |
See Also
Creating Internal Vendor Excise Invoices Against BOE
For the excise adjustment invoices, the Excise Invoice Posting subprocess creates accounting entries for the PLA, CENVAT Value - Raw Material, and CENVAT Value - Capital Goods registers. This subprocess can be run using the Register Update process page. Once the Excise Invoice Posting subprocess creates the accounting entries, the internal excise invoice table is updated with the details of posting date and accounting document reference.
The Excise Invoice Posting subprocess records the excise tax for each adjustment by debiting and crediting the appropriate CENVAT accounts. The CENVAT accounts are the ChartField combinations listed on the Tax Location - ChartFields page by Excise Account Type. ChartField combinations for excise adjustments are determined based on the excise adjustment type code, register to be updated, item tax type, and increase/decrease indicator. The following table displays the excise account type for each combination.
Excise Adj Type |
Register to update |
Item Tax Type |
Increase/ Decrease |
Excise Account Type to Debit |
Excise Account Type to Credit |
Return Material Authorization |
CENVAT Value - Raw Material |
R or F |
Increase (no decreases allowed for RMA’s) |
Cenvat on Raw Materials |
Cenvat Clearing |
Return to Vendor |
CENVAT Value - Raw Material |
R or F |
Decrease (No increases allowed for RTVs) |
Cenvat Clearing |
Cenvat on Raw Materials |
Return to Vendor |
CENVAT Value - Capital Goods |
C |
Decrease (No increases allowed for RTVs) |
Cenvat Clearing |
Cenvat on Capital Goods |
Inventory Adjustments |
CENVAT Value - Raw Material |
R or F |
Decrease (No increases allowed for INAs) |
Excise Duty Expenses |
Cenvat on Raw Materials |
Price Adjustment Dispatch |
CENVAT Value - Raw Material |
F |
Decrease (No increases allowed for PADs) |
Excise Duty Expenses |
Cenvat on Raw Materials |
Price Adjustment Dispatch |
Daily Stock Account |
F |
Decrease (No increases allowed for PADs) |
No Accounting |
No Accounting |
Price Adjustment Dispatch |
CENVAT Value - Capital Goods |
F |
Decrease (No increases allowed for PADs) |
Excise Duty Expenses |
Cenvat on Capital Goods |
Price Adjustment Purchase |
CENVAT Value - Raw Material |
R or F |
Increase |
Cenvat on Raw Materials |
Cenvat Clearing |
Price Adjustment Purchase |
CENVAT Value - Raw Material |
R or F |
Decrease |
Cenvat Clearing |
Cenvat on Raw Materials |
Price Adjustment Purchase |
CENVAT Value - Capital Goods |
C |
Increase |
Cenvat on Capital Goods |
Cenvat Clearing |
Price Adjustment Purchase |
CENVAT Value - Capital Goods |
C |
Decrease |
Cenvat Clearing |
Cenvat on Capital Goods |
Capital Goods - CENVAT |
CENVAT Value - Capital Goods |
C |
Increase |
Cenvat on Capital Goods |
Cenvat on Hold Capital Goods |
Capital Goods - CENVAT |
CENVAT Value - Capital Goods |
C |
Decrease |
Cenvat on Hold Capital Goods |
Cenvat on Capital Goods |
Sub-contracting |
CENVAT Value - Raw Material |
R or F |
Increase |
Cenvat on Raw Materials |
Cenvat Hold on Sub Contracting |
Sub-contracting |
CENVAT Value - Raw Material |
R or F |
Decrease |
Cenvat Hold on Sub Contracting |
Cenvat on Raw Materials |
Sub-contracting |
CENVAT Value - Capital Goods |
C |
Increase |
Cenvat on Capital Goods |
Cenvat Hold on Sub Contracting |
Sub-contracting |
CENVAT Value - Capital Goods |
C |
Decrease |
Cenvat Hold on Sub Contracting |
Cenvat on Capital Goods |
PLA Register Deposit |
PLA |
Any |
Increase |
No accounting entry. Entry from AP |
No accounting entry. Entry from AP |
PLA Register Update |
PLA |
Any |
Decrease |
Excise Duty Expense |
PLA Account |
Other |
CENVAT Value - Raw Material |
Not applicable |
Increase |
Cenvat on Raw Materials |
Excise Duty Expense |
Other |
CENVAT Value - Raw Material |
Not applicable |
Decrease |
Excise Duty Expense |
Cenvat on Raw Materials |
Other |
CENVAT Value - Capital Goods |
Not applicable |
Increase |
Cenvat on Capital Goods |
Excise Duty Expense |
Other |
CENVAT Value - Capital Goods |
Not applicable |
Decrease |
Excise Duty Expense |
Cenvat on Capital Goods |
Applying CENVAT Hold on Capital Goods
The CENVAT on Hold is moved into the CENVAT on Capital Goods account in the subsequent year. Record this adjustment at the beginning of the subsequent year by entering a manual adjustment using the Excise Adjustment page.
For Return to Vendor Transactions
When items are returned to vendor, use the Excise Adjustment page to record the return. This entry reverses the accounting entry recorded when the items were received using the internal vendor excise invoice. The system uses existing RTV functionality to reverse voucher accounting entries. When an express issue is made against the RTV voucher for inventory depletion, no update is necessary for the Quantity register. The excise invoice is printed for dispatch of items to vendor without accounting entries.
For Return Material Authorization Transactions
No excise duty is calculated on the RMA Form. Create an excise adjustment to reverse the excise duty posted by the originating shipping excise invoice. The existing RMA adjust process creates an adjustment bill in PeopleSoft Billing to reverse the product costs and excise duty recorded.
PLA
No accounting entries are created by the Excise Invoice Posting process when you enter an excise adjustment to update the PLA register for payment (increase) to your PLA account. Instead, PeopleSoft Payables records the payment and it’s accounting entries.
See Also
Setting Up for Journal Generator
Defining Excise Account Type ChartFields
Using the CENVAT Utilization Process
The Register Abstract process extracts information from the tax registers and stores the data in abstract tables.
You can use the abstract tables to create customized reports or queries for monthly, quarterly, or annual reporting requirements. The abstract records created include:
Abstract Record |
Source Record |
Date Extracted |
EXD_REG_RG1_ABS |
EXD_REG_RG1 |
This extract table is populated with summarized data from the Daily Stock Account Register (RG 1). This data can be used in the monthly reporting of transactions as per statutory format. |
EXD_REG_PLA_ABS |
EXD_REG_PLA |
This extract table contains a summary of transactions from the PLA register. The extract includes all computation values pertaining to the PLA register for all transactions except excise adjustments. |
EXD_REG_AC2_ABS |
EXD_RG23_AC2 |
This extract table contains a summary of transactions from the CENVAT Register - Raw Material and CENVAT Register - Capital Goods registers. The extract includes all computation values pertaining to these registers for all transactions except excise adjustments. |
The primary purpose of the abstract table is to generate the monthly and quarterly returns prescribed by the Indian authority.
Page Name |
Object Name |
Navigation |
Usage |
RUN_EXD_REG_ABS |
Excise and Sales Tax IND, Register Abstract |
Extract information from the tax registers into extract tables where you can report on the data using customized reports or queries. |
Access the Register Abstract page.
Excise Quantity Register Abstract |
Select to extract item quantities from the tax registers. |
Excise PLA Register Abstract |
Select to extract data from the PLA register. |
Excise CENVAT Register Abstract |
Select to extract data from the CENVAT Value - Raw Material and CENVAT Value - Capital Goods registers. |
Tax Location Code |
Identify the manufacturer’s location of excisable goods. The selection is limited to the tax location codes defined for the organization code entered on this page |
From Date and To Date |
Enter a time period to extract data from the registers. The To Date cannot be greater than the current date. |
To use sales tax form tracking, you must first use the Form Name component (STX_FORM_NAME) and the Form Code component (STX_FORM_CODE) to identify and group the necessary declaration forms.
This section provides an overview of sales tax form tracking and discusses how to:
Maintain sales tax forms by transaction.
Audit cancelled forms.
Extract and store transactions' data needed for tracking forms.
There are two types of sales tax recorded for India, central sales tax (CST) and local sales tax (LST). The central sales tax is levied on interstate sales or purchases and the local sales tax is levied on intrastate sales or purchases. PeopleSoft records both types of sales tax.
The PeopleSoft form tracking feature marks your transactions with the appropriate sales tax declaration form and populates the Sales Tax Form Register with these transactions. Form tracking is required for:
Sales, at a concessional rate, when you receive sales tax declaration forms from a customer.
Purchases at a concessional rate, when you issue sales tax declaration forms to a vendor.
Stock transfers from one Inventory business unit to another, which are otherwise exempt from tax.
Transactions involving local export or local import in India.
To set up sales tax form tracking:
Identify each sales tax declaration form for your organization using the Form Name page.
Group the form names into form codes.
A transaction can be subject to different types of sales tax forms. Use the Form Code page to group several declaration forms together for tracking purposes.
Attach the form codes to the appropriate tax codes using the Tax Calculation Code page.
Attach the InterUnit form codes to the appropriate sales tax authority using the Tax Authority page.
Sales tax declaration forms are tracked through the business process as follows:
When you create a transaction where Indian sales tax is applicable, the tax determination and tax calculation processes will determine the tax form codes for the transactions.
Run the Forms Tracking Extract process to retrieve sales tax form tracking data from the source transactions and copy it into the Sales Tax Form Register (STX_FORM_REGSTR) record.
Use the Form Maintenance page to update or cancel information (such as a form number and form date) in the Sales Tax Form Register table.
You can also use the Form Maintenance page to delete sales tax forms or transactions.
Use the Form Audit page to review previously cancelled forms.
Two tables store the tracking information for sales tax forms receivable and issuable:
The Sales Tax Form Register table (STX_FORM_REGSTR) stores all the information required for tracking the forms.
Data is loaded into the table only through Sales Tax Form Tracking Extract process from various transaction tables.
The Sales Tax Form Audit table (STX_FORM_AUDIT) stores all the information required for tracking cancelled forms.
See Also
Setting Up the Sales Tax Structure
Tax Calculation Code Default Hierarchy
Page Name |
Object Name |
Navigation |
Usage |
STX_FORM_NAME |
Set Up Financials/Supply Chain, Common Definitions, Excise and Sales Tax IND, Form Name |
Define sales tax declaration forms in your system. |
|
STX_FORM_CODE |
Set Up Financials/Supply Chain, Common Definitions, Excise and Sales Tax IND, Form Code |
Define form codes, which are groupings of form names. Form codes are assigned to tax calculation codes. When a tax calculation code is associated with a transaction, the form code helps determine the applicable forms for the transaction for form tracking purposes. |
|
STX_FORM_MAINT |
Excise and Sales Tax IND, Form Maintenance |
This page enables you to attach multiple transactions to a sales tax declaration form, to delete transactions when no sales tax declaration form is needed, or to cancel the attachment of a transaction to a form. |
|
STX_FORM_AUDIT |
Excise and Sales Tax IND, Form Audit |
This page enables you to review previously entered information for transactions whose attachment to a form got cancelled. |
|
STX_FORM_UPD |
Excise and Sales Tax IND, Form Tracking Extract |
This process updates the Sales Tax Form Register (STX_FORM_REGSTR) with data from completed transactions that have been recorded with sales tax form codes. |
Access the Form Maintenance page.
Use this page to maintain the sale tax forms and transactions included in the Sales Tax Form Register table. This page can:
Attach multiple transactions to a sales tax declaration form number.
Delete transactions when no sales tax declaration form is needed.
Review transactions with any status (open, closed, or deleted) in display-only mode.
Cancel a previous attachment of a transaction to a form number.
Form Source |
Select the source of the transactions to retrieve. The options are: Bill Finalization: Invoiced bills from PeopleSoft Billing’s transaction tables. IUT Goods Receipt: Receipts of interunit stock transfers (that are not intercompany transfers) from PeopleSoft Inventory transaction tables. AP Voucher: Posted vouchers from PeopleSoft Payable’s transaction tables. AR Items: Posted items from PeopleSoft Receivables transaction table. IUT Shipping: Depleted interunit stock transfers (that are not intercompany transfers) from PeopleSoft Inventory shipping transaction table. |
Business Unit |
Enter the business unit of the transactions to be displayed on the page. |
Transaction ID |
The unique ID number attached to the transaction. Your selection in the Form Source field dictates this value to be the invoice ID, receipt ID, voucher ID, item ID, or shipping ID of the transaction. |
Customer/Vendor ID |
Enter the customer ID or vendor ID of the transactions to be displayed. |
Sales Tax Authority |
Enter the sales tax authority code from which you want to retrieve associated transactions. |
Form Name |
Enter the form name to identify the sales tax declaration form of the transaction/form. |
Form Direction |
Enter the direction of the forms that you issued or received. The options are: B to S: Buyer to Seller. S to B: Seller to Buyer. |
From Date and To Date |
Enter a date range for the transactions to be retrieved and displayed at the bottom of this page. |
Action |
Select the action: Update: Enables you to fetch transactions with a form status of Open. The selected transactions can be updated with the form number and form date. When you enter the form number and date for a selected transaction, then the form status becomes Closed and the system updates the data in the STX_FORM_REGSTR table. Delete: The selected transactions can be updated with a status of Deleted and are not available for any further processing. Review: The selected transactions can be reviewed but not changed. Review transactions with any status (Open, Closed, or Deleted). Cancel: Enables you to change a transaction with a Closed form status back to an Open status. |
Form Date |
The date of the sales tax declaration form. |
Form Number |
The number of the sales tax declaration form. |
Update by Line |
Select this button to retrieve based on your search criteria forms or transactions previously extracted from the transaction tables. The results display at the bottom of this page where you can edit or review the data. |
Lines - Transaction Information Tab
Select |
Select to edit the current row. |
Form Status |
Displays the current status of the transaction or sales tax form. |
Transaction Date |
The date of the transaction displayed. |
Transaction Amount |
The amount of the transaction line displayed. |
Form Date |
Display or enter the date of the sales tax form for the transaction. |
Form Number |
Display or enter the sales tax declaration form number for the transaction. |
Lines - Additional Information Tab
Sales Tax Form Code |
Displays the form code containing one or more sales tax form names. |
See Also
Setting Up the Sales Tax Structure
Access the Form Audit page.
Use this page to review previously entered information (for example, form number and form date) for transactions whose attachment to a form got cancelled.
Select |
Similar to the Form Maintenance page, you can enter your selection criteria. Select the button to display the corresponding forms at the bottom of the page for your review. |
Access the Forms Tracking page.
This process updates the Sales Tax Form Register (STX_FORM_REGSTR) with the information from transactions required for tracking sales tax forms. Only transactions with a sales tax form code are copied to Sales Tax Form Register. The sales tax form code is applied to the transaction by the tax determination and tax calculation processes.
Bill Finalization |
Select to update this table with invoiced bills from PeopleSoft Billing transaction tables. The Bill Finalization and Printing and Create accounting entries processes must be successfully run before bills from the billing tables are copied to the Sales Tax Form Register table. |
AR Open Items |
Select to update this table with posted items from PeopleSoft Receivables transaction tables. The Receivable Update process must be successfully run before items are copied to the Sales Tax Form Register table. |
AP Voucher Flag |
Select to update this table with posted vouchers from PeopleSoft Payables transaction tables. The Voucher Posting process must be successfully run before vouchers are copied to the Sales Tax Form Register table. |
IUT Goods Receipt |
Select to update this table with receipts of interunit stock transfers (that are not intercompany transfers) from PeopleSoft Inventory transaction tables. The Complete Putaway process must be successfully run before receipts are copied to the Sales Tax Form Register table. |
IUT Shipping Flag |
Select to update this table with depleted interunit transfers (that are not intercompany transfers) from PeopleSoft Inventory shipping transaction tables. The Depletion process must be successfully run before shipments are copied to the Sales Tax Form Register table. |
See Also
Setting Up the Sales Tax Structure
Integrating with Receivables, General Ledger, and Accounts Payable
Running Voucher and Payment Posting
Running the Deplete On Hand Qty Process