Change GL account to open intem management

Hi,
We are going to change a GL account to open item management.
We need a program that changes all prevously posted items ( non open item management ) to open item management. If anyone knows such a program ( standard or customer's ), I'll be glad to know it.
Points are guaranteed.
Regards,
Svetlin

It's not easy problem, because you have to change several dictionary tables.
If your documents are created directly by Accounting Module, you should check only FI tables, but you make sure others Module (CO for example) aren't related, so if you are sure you need to update these tables:
- BKPF, BSEG, BSIS (open Items, but check all table BS*):
Perhaps, if GL accounts are the same characteristics, you need to change only the value HKONT in BSEG, but this field is a key field for BSIS, so you need to delete the record before updating it.
I think it's not good idea, but you can try.
Max

Similar Messages

  • Change GL Account from Open Item Managed into non-Open Item Managed

    In the former R3 environments, release 4.6 there was the program RFSEPA03 to turn off open item management.
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    Please comment,
    Kind Regards WR

    Yes .. I Agree with you ...
    Actually I accidently, did not check the GL first, but run the ZRFSEPA02 first .... because of that, my GL is check as an open item and as a recon account too ...
    any solutions ?

  • FB50L error: Postings to G/L accounts with open item management are not permitted

    Dear All
    I need your help.
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  • Account type M and G/L account with open item management not permitted

    Hi,
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    Hi Kishore,
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    Account type M and G/L account with open item management not permitted
    Re: Account type M& GL with open item managment not permitted error
    Posting to G/L accounts with open item management are not permitted
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  • Postings to G/L accounts with open item management are not permitted Messag

    HI All,
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    The GL used 200100 is Cash A/c (40)
    Cr Eq Share Capital A/c (50)
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    Thanks
    Postings to G/L accounts with open item management are not permitted
    Message no. FAGL_POST_SERVICE012
    Diagnosis
    You use G/L account 200100 in company code RLIF with open item
    management. However, postings are not permitted to G/L accounts in
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    Procedure
    If you have not yet made any postings to this account and if the
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    Thanks,
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    Hi,
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    Regards,
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  • Postings to G/L accounts with open item management are not permitted

    Dear all,
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    Reregards
    rajashekhar

    Dear all,
    Thanks for reply, The error message appears FAGL_POST_SERVICE012 because it is generally not permitted to use the O/I managed account as an adjustment account.It is not possible to post on Individual Ledger (on a Leading or non-leading) on OI Account. This is for your informations
    We want to post ledger specific for L2 ledger  i am getting above error can help me how to sovle the problem , otherwise any alternaitve solution for posting  L2 Ledger

  • ASKBN - Postings to G/L accounts with open item management are not permitte

    Hi All!
    I have a problem: I run the transaction ASKBN (periodic asset postings) and receive the message about error: "Postings to G/L accounts with open item management are not permitted".
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    Thank.

    Hi,
    if you would have posted this information with your opening post, it would have been more helpful. How should the community know this detail?
    Regards,
    Markus

  • Postings to G/L accounts with open item management are not permitted in ASKB

    Hi Gurus,
    I have the error FAGL_POST_SERVICE012 'Postings to G/L accounts with open item management are not permitted' when i run the transaction ASKB. The very strange thing is that in table APERB_ITEMS for this company code there isn't any record. My questions are:
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    2. If yes, Why the ASKB wants to create postings on this company code?
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    4. If the logic is correct, how i can to run the ASKB on OI accounts?
    Thanks in advance,
    Best Regards,
    Emanuele

    Hi ,
    I believe you know why do you run transaction code ASKB if not please see below
    The report evaluates all asset transactions since the last run. Unlike the periodic depreciation posting program, the APC posting run is not tied to a certain accounting period. It generates one document per posting period and depreciation area. That means that asset values are summarized for various account groups in one document. Document number assignment is external. You have to enter the document type in Customizing for Asset Accounting.
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    To an account set within the original company code
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    To an account set directly in a special ledger
    The account set can be determined from a different depreciation area.
    Derived depreciation areas can be treated as real depreciation areas. This means that the system posts APC differences rather than special reserves, as was the case up to now.
    During a test run, the system completes all accounting checks (for example, budgetary control of objects belonging to Funds Management).
    While doing above system reads and update table APERB_ITEMS . If you look to Program for ASKB is RAPERB2000  and if you take your ABAper help to under the coding he will tell you  that is program use APERB_ITEMS to update  and read.
    MANY THANKS
    REGARDS
    Preeti Agarwal

  • Change Account to Open Item Managed

    Hi All
    I need to change some GL accounts that are not open item managed to open item managed...
    However, all these accounts have balances in them and wouldnt let me change it...
    And there is no way the customer will clear these balances... so is there any possibility for me to change the master data for these GL Accounts?
    Will using the &sap_edit function in SE16n for table SKB1 be the correct way to go about it?
    Thank you
    Rukshana

    Hi,
    Could you brief me about the issue or correct if I am wrong:
    1) GL Account managed as non-open item amanegement.
    2) you want to manage as OIM.
    In this situation.
    1) Make the GL Balance ZERO by transfering GL transcation to another account..
    2) Switch on GL as OIM.
    3) Retransfer transcations
    What ever transctions you are transfering now, may be cleared through F-31.
    Thanks,
    Surya

  • Change GL account cause Open Item and Recon account both set .

    Hi,
    I have problem, user want to change a GL account into an open item ... an there was some transaction ... so I change it by ZRFSEPA02 ... and when I checked, that GL account had been changed into an open item, and when I try to open the "Block Posting " there was message " FH031 : Open item management is not defined for reconciliation accounts " ... then yet I check my GL and sadly it was set as " recon account vendor " ( I forgot to check the GL Before did ZRFSAPA02) .. and know my GL Account has been set as a recon account and an open item ... I try to changed by un-tik Open item .. message pop out is " FH087 : You cannot change the open item management setting; (see long text) " ... and I tried to change the recon account into " none " message appear : " FH110 : Modifications to reconciliation account not permitted " .. I realized by GL account display, that the transaction is not clear, there was not zero balance ...
    Please give me solutions ...

    Yes .. I Agree with you ...
    Actually I accidently, did not check the GL first, but run the ZRFSEPA02 first .... because of that, my GL is check as an open item and as a recon account too ...
    any solutions ?

  • Error- Postings to G/L accounts with open item management are not permitted

    Hi,
    Can't we post to a GL, which is open item managed, in a non-leading ledger (statutory ledger)? We get this error when we try to post an entry, in the statutory ledger, to a GL that is open item managed.
    Can anybody explain this, please?
    Regards,
    Mike

    This is due to a design with the new GL.
    In the new G/L accounting, when you use a particular ledger or ledger group, you can no longer make a direct ledger specific posting to accounts managed on an open item basis or to accounts with an account type not equal to 'S'.
    You need to do posting with ledger group blank, which updates all the ledgers. The idea is, for open item accounts, all the ledgers should be in sync. for open item accounts IFRS and Local GAAP values are never different.
    If you are doing this to do some correction posting while doing year end posting or migration for example. (A typical example is when an account is made open item managed at a later date). You need to change temporarily message control using transaction SE91 to force ledger specific postings to OI accounts

  • Posting to G/L accounts with open item management are not permitted

    Hi all,
    I am trying run run foreign currency valuation in SM35, but the system prompt me error in FBB1 saying that posting to an open item management account is not permitted. I try to unchecked the 'open item management' flag in 'Change G/L account centrally', but another error message tell me that 'the account does not have a balance of zero'...
    Kindly help, thanks

    Hi
    If you have balance in GL account you can't make it as "open item management"
    make zero balance
    block the account for further postings
    run RFSEPA02 in SE38
    then unblock the account
    transfer the balance from the dummy account
    Regards
    Prasad

  • How can we set a GL account with open item managed to normal once posted

    Hi All,
    How do we set a GL a/c which is an non Open Item managed  Nov 08. In Nov 08, user accidently changed the GL a/c to be  Open item management. This had caused:
    -      the Account being revaluated every month. We need to stop the revaluation
    -     also clear the amount in the revaluation a/c .
    Please suggest.
    Thanks for the help
    MercyRaj

    Hi,
    You need to settle the account to 0 (Zero) in order to change the configuration of it. You can make a fictitious posting, change the account configuration, and then reverse the posted document.
    You have to follow the following steps:
    1. Copy the ZRFSEPA02 to ZRFSEPA02
    2. Append the error check that is being written. (Initiation Check).Use of RFSEPA02 is not recommended by SAP. However, SAP Note 175960 details, on your risk, how to modify the program and use it.
    3. Block the GL Account for Posting
    4. Run the Program ZRFSEPA02 (which is modified)
    5. Note that this program will not work if your line item and open items balances are mistmatched.
    6. Unblock GL Account
    Thank You.
    Regards,
    AVD

  • Posting to G/L accounts with open item management not permitted Fagl_post

    Dear Expert,
    When i run the foreign cur rev. through FAGL_FC_VAL then system is not post the currency rev on open item on GL account.  It showing subject message and also show below mesaage:-
    Message no. FAGL_POST_SERVICE012
    Diagnosis
    You use GL account 210012 in company code 1000 with open item management. However, posting  are not permitted G/L accounts in individual ledger with open item management.
    Please advice on this issue.
    Thanks & Regards,
    Pankaj

    Hello Pankaj,
    Is your adjustment account was defiined as OI management. if yes, then t is generally not permitted to use the O/I managed account as an djustment account. The adjustment account is the same as O/I
    managed GL account, so the error message FAGL_POST_SERVICE012 is issued. This is justified because open items must be made valid for ALL ledgers in the client but FAGL_FC_TRANS posts ledger specific posting by having ledger group in the document header - Ledger Grp 0L.
    The best solution is to assign non-O/I managed account as an adjustment account, and this is the 'standard' solution.Please also check note 884639.
    Best Regards,
    Gladys xing

  • List of GL Accounts with open item management

    Hi Gurus,
      I want to see the list of GL accounts which is open item managed in my chart of accounts.Is there any table for this ?
    please reply soon its urgent..
    Regards
    Jahnavi

    Hi,
    Please check table SKB1 and the field name is XOPVW.
    Also you can use this report S_ALR_87012328 - G/L Account List (Select OI in dynamic field selection)
    Rgds
    Murali. N

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