Premier Foods improves GRIR clearing in SAP

Watch this video to learn how Premier Foods used to improve GRIR clearing in SAP.

The GRIR clearing account is an intermediary clearing account in SAP for goods and invoices in transit. It is the value of goods receipted awaiting an invoice or the value of goods invoiced awaiting a goods receipt. The GRIR clearing account is a balance sheet account and is shown as either an asset or more commonly as a liability being the value of goods receipts awaiting an invoice. The GRIR clearing account also has implications on the Profit and Loss accounts, as when goods are receipted the value of goods are charged to either inventory or the cost accounts. So if the goods receipts are not consumed by invoices the amount charged to the P&L is higher than it should be reflecting lower profitability. Regular clearing of the GRIR/GRNI account ensures the accounts truly reflect the correct values.

How to ensure the GRIR clearing values are correct

1. Get Suppliers to send statement of their outstanding account.
2. Reconcile the Supplier Statement ensuring all the invoices/credits have been received and are on your SAP system.
3. Run the GRIR report for the Supplier and clear all the items dated prior to the invoice dates on the statement.

Process using & Winshuttle

1. Supplier statement is uploaded to and matched to invoice data
2. GRIR Report for the Supplier is extracted to Excel from SAP
3. The Excel GRIR Report is uploaded via Winshuttle using MR11 transaction to clear GRIR items requiring clearing.

Note: Usual practice to clear the GRIR account is to do a mass reverse for the previous year/period for all entries. This creates one document for all the cleared items, and takes a long time to process. Then if an invoice is received for one of the cleared goods receipts the clearing document needs to be reversed, taking a long time, the invoice entered into SAP and the clearing process repeated. By doing individual item clearing the individual document can be quickly reversed to post any invoices for the goods receipts cleared.