Account Assigment Transfer to Service entry sheet

Hello;
I wanted to transfer time sheet from cat2 to service entry sheet (SES) using catm without having to enter the GL and the cost center in the SES I tried to put the accnt assgmnt info thru the PO still I'm getting error in CATM saying GL not entered.
Any help would be appricaited
Ibou

Hi,
I think maintaining suitable Data Entry Profile will solve your problem. Take help from HR consultant.
SPRO->Cross Application Component->Timesheet->Specific Settings for CATS Classic->Setup Data Entry Profiles.
Regards

Similar Messages

  • Multiple account assignment in automatic Service entry sheet

    In TRX VI01 I created a Shipping Cost document (SCD); this document automatically created a Service PO with account assignment category (AAC) "U" and also created a service entry sheet (SES) for this PO. The AAC in the SES is K.
    Since the PO and the SES are created automatically, I want to use a user exit, Bapi or similar to change the AAC to X and to enter multiple account assignment in the SES.
    Any user exit o Bapi that I can use to do this?
    Regards,
    CD

    B.K.
    I need the user exit in the SES no in the PO.
    Thanks,
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  • Purchase Order: Queries related to Service Entry Sheet (ML81N)

    Requirement:
       A user exit to be trigger during the changing (update) of service entry sheet, This user exit should have a code which will go and check the credit memo in RSEG- SHKZG where the value is “H” and will check RSEG- LFBNR number with ESSR-LBLNI and compares RSEG- SHKZG with ESSR- NETWR value of the service entry sheet. if the value is less then or more then ESSR- NETWR (service entry sheet) value it should throw an error “"Amount must equal Service Entry”.
    If the RSEG- SHKZG value and ESSR- NETWR value are equal it should allow to revoke the service entry sheet. 
    Scenario: When user clicks on Change button in ML81N for changing the Service Entry Sheet(existing one), an exit should trigger the error message and should not allow to change.
    Please suggest how to achieve it, which Exit to use where I should code?

    Hi Amol
    Why you created Framework Order ?.. You can not change account assignment category in service entry sheet..e.g. K-Cost Center.. F- Order
    But depending upon settings, you can change account assignment values such order 1 to order 2
    If there are requirement that SES can created for  Account assignment F or K. I recommend you to use following approach
    1. Create a Contract - ME31K with AAC as U- Unknown (If business already have rates negoiated with vendor for services)
    2. Create release order with reference to contract and system will prompt you to enter AAC- it can be K or F
    3. Perform SES w.r.t to Release Order.
    Other Approach can but not strong one.. create two line items in the PO. one with K and Other with F.. then choose the line item at time of SES creation that business want to book the cost on CC or Order.
    Thanks,
    Jagdeep

  • Query related to Service Entry Sheet for maintenance order

    Dear Gurus,
    I am little bit confusing while entering SES for maintenance order,
    Do we need to enter both Maintenance Order# & Cost Center# in Account assignment tab of SES?
    What is impact of entering both in SES?
    What is standard procedure of accepting services for maint order?
    Thanks in advance.
    Regards,
    Amol.

    Hi Amol
    Why you created Framework Order ?.. You can not change account assignment category in service entry sheet..e.g. K-Cost Center.. F- Order
    But depending upon settings, you can change account assignment values such order 1 to order 2
    If there are requirement that SES can created for  Account assignment F or K. I recommend you to use following approach
    1. Create a Contract - ME31K with AAC as U- Unknown (If business already have rates negoiated with vendor for services)
    2. Create release order with reference to contract and system will prompt you to enter AAC- it can be K or F
    3. Perform SES w.r.t to Release Order.
    Other Approach can but not strong one.. create two line items in the PO. one with K and Other with F.. then choose the line item at time of SES creation that business want to book the cost on CC or Order.
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  • Changing GR/IR clearing account in Service Entry Sheet process

    Hi,
    We are using one Gr/ir clearing account for both Material and Service Entry sheet process.
    Now for clear process we want to create new account for the Service entry sheet.
    We have given blank valuation class for Service entry sheet and it has been assigned to the g/l account.
    After analysing the scenario we had two options.1.  Whether we can change the valuation class
    or 2. we can create new G/l account.
    But i had a doubt will it impact anywhere if i change the valuation class.
    Can anybody advice me??
    Thanks n regards,
    Veena

    Dear Javeed and Sadhashivan,
    Thanks for your answers. Yes we have sort key set on both the accounts and also we have tried to display all the PO relevent fields but unable get through.
    Please note we need PO no line wise on the ledger of adjustment accounts NOT on the GR/IR account.
    1) Goods Delivered but not yet invoiced
    2) Goods Invoiced but not yet Delivered
    Hope I have made my point clear.
    Thanks
    Ayaz

  • Service Entry Sheet Accounting Entries??

    Dear All,
    At the time of Service Entry sheet our client is asking to post the accounting entries as below.
    WIP A/C-Dr      xxxx
       To SR/IR A/c xxxx
    For WIP we have to give the WBS so that at later stage this WIP has to be settled (wbs settlement to GL) to the COGS Account.
    Lets see the Functionality for this.
    Ex: Customer orders A construction of Cell Tower.
    To constuct a Tower It involves 1) Supply of Material 2) Erection work 3) Civil
    for supply of material directly it will be purchased from the 3 rd party and send it to the customer location and do the billing.
    For Erection work Internal employees will go and do the erection work and billing to the customer.
    For Civil work where we dont have human resources, so we give this civil work to the sub contractors and once the job is done we will pay to the sub contractor.
    in this scenario with respect to the civil work as we are paying the money on behalf of customer (receivable from customer) client is asking to post the service entry sheet entries to WIP account.
    Please suggest us the proper process or how to it.
    I also will explain the problems we are facing to post to WIP.
    As WIP is balance Sheet Item and its assigned in GBB system is not allowing to create cost element for that, so at the time of posting the service entry sheet I am able to post the transaction without WBS.
    As we planned to settle wbs to cogs now it cant be done.
    Please suggest me some solution.
    Regards,
    Shashi Kanth.

    Result Analysis is a concept in CO which enables you to post WIP when the project is not closed yet.  Once the project ends, you run the RA again and reverse the posting to post the actual values.  You can speak to your CO consultant for this.  You can refer the following link to get the document.
    http://help.sap.com/bp_bl603/BBLibrary/Documentation/183_BB_ConfigGuide_EN_ID.doc
    Also, you'll get lot of other resources on this if you google. 
    Ravi.

  • GL account in service entry sheet -FI-MM

    Hello,
    We are using ECC6/EHP4 at our organisation. I have following issue.
    We are arrivng/defaulting  account assignment for services from Material Group/Service group, for this we have maintained, service groups and valuation class at "Entry aids for items without material Master". Following is the issue:
    User has created the purchase requisition with Material/Service group---"X"
    SAP defaulted the GL account "1234", which user has changed to "6789"
    The same GL account is appearing in the account assignment in purhcase order
    But at the time of service entry sheet GL account "1234" is getting debited, where as I want "6789" to be debited.
    DO I need to check any settings/change any settings, please advise.
    Regards
    SAJ

    Dear:
             Check out in your setting in OBYC. Revert back in case of any confusion.
             Regards

  • Short text of service entry sheet in accounting document

    Hi All
    I want shor text (ESSR - TXZ01) of service entry sheet to get populated in the text field(BSEG - SGTXT) of corresponding accounting document of service entry sheet created against GR document.
    Please suggest how  can I achieve the same.Is there any SAP note for the same?
    Regards
    Satish Kumar
    Edited by: satish kumar on May 28, 2010 3:33 PM

    Hi Satish,
    BSEG - SGTXT gets the values from MSEG-SGTXT (material document after SES acceptance).
                                                                                    The service entry sheet header text is only copied into MSEG-SGTXT if            
    you do NOT use Srv-Based Invoice Verification:  the field EKPO-LEBRE          
    in the PO item is NOT checked.
    Otherwise the text from the service lines will be overtaken into   MSEG-SGTXT.  
    Please make tests.
    Regards,
    Edit

  • How to default G/L account into Service Entry Sheets

    Hello All,
    I am trying to set up a Framework order with account assignment U for services. I use this for our contracted employees via infotype 0315. When I generate the service entry sheet in the background via tcode CATM, and try to release the service entrysheet, I get error, because the G/L account field is blank and the goods movement cannot be perfromed for it. How can I manage the framework PO so that the G/L can default into the service entry sheet automatically..
    thanks
    Qazi

    Hi,
       In SproMMPurchasingMaterial masterentry aid for item w/o material master...maintain the valuation class for the Material group.
    In OBYC maintaing the G/L account for this Valuation class in GBB--VBR.
    Enter this materila group in the service order.System will automatically determine the G/L.
    Even if you enter acct assignment U...while posting the service entrt sheet this GL will be fetched.
    Rajesh

  • Service entry sheet quantities and UOM not flowing into accounting document

    Hi All,
    I have a problem at the moment where the quantities and unit of measure entered in a service entry sheet, are being changed to '1 ACT' for all line items in the accounting document. We would like the real quant /UOM to be transferred here. We have tried using BADI AC_DOCUMENT_QUANTITY_GET but this is only affecting the first line item, and the rest are still 1 ACT.
    Any help would be great!
    Ryan

    not solved.

  • Transfer time from CATS to SERVICE entry sheet against PO No in Days

    Hi All.
    We have one scenario in that we need to transfer time from CATS to SERVICE entry sheet against PO No for conforming service receipt.
    We need to transfer time in days which i am able to enter in Time sheet data entry by selecting days as a units of measure but it gets convert to Hours in Approval table.
    We want to Hi All.
    We have one scenario in that we need to transfer time from CATS to SERVICE entry sheet against PO No for conforming service receipt.
    We need to transfer time in days which i am able to enter in Time sheet data entry by selecting days as a units of measure but it gets convert to Hours in Approval table.
    We want to transfer time in Days to service entry for conforming service receipt.
    Pl. help us how to transfer time in days to target component.
    regards,
    karan hon.for conforming service receipt.
    Pl. help us how to transfer time in days to target component.
    regards,
    karan hon.

    Hi,
    I think maintaining suitable Data Entry Profile will solve your problem. Take help from HR consultant.
    SPRO->Cross Application Component->Timesheet->Specific Settings for CATS Classic->Setup Data Entry Profiles.
    Regards

  • Wrong GL account defaulted for Unplanned services in Service Entry sheet.

    Dear Experts,
    We create a Service PR with Acct asst - K & Item Cat - D, for which we enter Cost center, Order No. & GL account. We maintain it as Unplanned Service with Value Limits. When we create A PO wrt the above PR the GL account is defaulted corretly in PO. But when i enter Service entry sheet for above PO for Unplanned Service . System defaults a different GL account automatically. That differs from the existing one in PR & PO. User posts it directly, since it is done wrt PO without checking. How can the defaults of wrong GL account be avoided for Unplanned Services?
    Thanks & regards
    Chandan

    Hi,
    In Service PO, if some one By mistake Put the wrong G/L but u can change the G/L while SES.
    Educate the SES person to note the proper G/L or assign a release streatgy for SES with give final release authority should check the proper G/l or cost center.
    We have this solution as SAP is not able to reply on this front
    Regards,
    Pardeep Malik

  • Service Entry Sheet Multiple Account Assignment--NO QTY AVAILABLE IN PO HIS

    Hi Gurus
    I have created a service po like following.............
    Item overview --> Acc *** -K, Item Cat-D, service text, qty=1,opu=AU
    Item detail------->service tab : service text, qty=10, un=EA ;
    acc assignment :mul acc assign> distr by qty> 5 in one cost centre, 5 in another cost centre
    I have made service entry sheet like following..................
    ses qty=6 acc assignment-->5 in one cost centre, 1 in another cost centre
    I have accepted the ses
    NOW IN PO HISTORY I AM GETTING SES NO. MATL DOC NO AND THEIR AMOUNT BUT NOT FINDING ANY QTY.......QTY FIELD IS BLANK IN PO HISTORY
    Any idea why it is happening?
    Any report in SAP which can show me service item display per account assignment?

    Hi,
    Have you checked service based IV in PO . If not than this may be the reason for imprper display of PO History.Please check.
    Dhruba

  • Accounting error in service entry sheet

    Hi
             while posting service entry sheet i get error 147 Account determination for entry INT WRX not possible.
    I have maintained valuation class of service master in OBYC setting also.Can anybody help me out.
    Thnx

    Hi,
    Your question already answered. Don't ask multiple questions in one posting. If you have new questions start a new thread. Check  Rules
    https://wiki.sdn.sap.com/wiki/display/HOME/RulesofEngagement
    GR/IR Clearing account is a balance sheet account which act an interim account where the Invoice value is stored but we have not actually receive the Invoice. You should have separate Account Group, separate Field status group. Create
    G/L account GR/IR clearing & keep it post automatically and select as Balance sheet account.
    WRX Transaction key is used for GR/IR clearing in OBYC in account determination and you can have *separate GR/IR clearing- material, GR/IR clearing-asset and GR/IR clearing-service.
    Regards,
    Biju  K

  • Have to cahnge G/L account in Servie PO after service entry sheet posting

    Hi 
    Could you help me with this ?
    “We have created service-order and reception have been made for service order .Now G/L Account was wrong and we want to cancel reception. We try to cancel reception in MIGO- and MBST –transaction, but we got error “Transaction code MBST (=> use transaction ML81/ML85) not defined”
    For transaction ML81 I don’t have authorization, ML85 I do. How should we cancel reception, when we are dealing with service orders (so that we can change right account)?”

    You cannot use MIGO or MBST for cancelling service entry sheet acceptance.
    You have to do so only in ML81N or ML85.
    In ML85, there is an option in the selection screen - whether you want to post acceptance or cancel acceptance. Select the correct option and you can cancel acceptance.
    Lakshman

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