You are on page 1of 13

Tax collected at Source: Configurations required 1.

Withholding tax key is maintained for TCS as below

2. Withholding tax types are maintained for TCS on base, surcharge, ECS and SECess as below

Since this withholding tax is configured with Base amount as Modified net amount, the base for the withholding tax will be the net amount (i.e., not inclusive of the tax condition values.) In case you wish to add some tax condition values to the base for TCS calculation, you will need to maintain the posting key assigned to the tax condition type in the pricing procedure along with the combination of the withholding tax code assigned to the TCS related condition type at the following location: SPRO -> Financial Accounting (New) -> Financial Accounting Global Settings (New) -> Extended Withholding Tax -> Withholding Tax Base Amount -> Define processing key for Modified Net Amount By doing so, the condition values of the tax condition types assigned for these processing keys will also be included in the base for the withholding tax calculation.

3. Create the access sequence for withholding tax for TCS in SD Copy the existing access sequence J1AW and create the new access sequence J1IW with the following accesses:

4. Create condition types corresponding to Tax collected at Source in SD

5. Withholding tax types must be assigned to condition types maintained in SD for TCS

6. Define Withholding tax codes for TCS as given below

Set the withholding tax rate as per requirement here.

Note: The Posting Indicator should mandatorily be maintained as 3. 7. Since posting will happen from SD as well as from FI with the TDS code, offsetting concept posting is used for the TCS tax types. The GL accounts are assigned as below

The accounts for withholding tax to be paid must be maintained for the TCS withholding tax type and TCS withholding tax code combination as given below -

Note: Same G/L account should be maintained for transaction key WIT based tax line item and the SD-FI condition based tax line item. A different G/L account has to be maintained for the transaction key OFF based line item.

8. Pricing procedure changes. The condition types corresponding to TCS will have to be adding to the pricing procedure as shown below

The condition types for TCS (JTCS, JTEC AND JTSE) are to be defined as statistical in the pricing procedure. The system calculates the values in SD but doesnt post them directly from SD. Posting would take place with the condition type assignment to TCS withholding tax types. (as configured earlier in step 5) 9. We will need to define a new condition type and add this to the pricing procedure to post to the FI. This condition type can be manual/automatic at the time of creation of sales order and in case of automatic determination, access sequence JDUM/MWST needs to be assigned to condition type JWTS. This can also be copied from the statistical TCS condition types in the pricing procedure. For example, the screen shot below shows how to create the condition type corresponding to TCS which would be posted to FI:

This condition type JWTS will have to be added to the pricing procedure. This is not maintained as statistical and has a corresponding accounting key

Similar condition types will have to be created and added to the pricing procedure for ECS on TCS and SECess on TCS.

10. The TCS accounts from SD side for the respective account key should be maintained in the below path:

You might also like