Change profit center for accounting document on item line

HI
I need to change profit center for accounting document on item line, for that purpose I have used user-exit EXIT_SAPLV60B_004, but my new profit center gets latly overwritten in FM CO_DOCUMENT_CHECK (which is called from FM AC_DOCUMENT_CREATE). It gets overwritten from COBL. Is there any way to solve this?

HI,
possible reasons are :
In GR document profit center pulled from PO Material :
If you have ordered with material code, must check profit center assigned into material by mm03/Plant Data2
If you have ordered without material code, than check cost center assigned Profit center by 1KE4

Similar Messages

  • Wrong profit center in accounting document

    Dear Experts,
    There was wrong profit center in accounting document since the user changed the profit center in material master to the correct one after posting is created.
    How to make correction in Accounting and controlling side for the wrong profit center?
    Please advice.
    Thank you in advance.

    Hi,
    If you want to make an update in FI, you will have to reverse the document and post it again. However, if it's sufficient for you to make an internal update in PCA, you can use 9KE0 transaction.
    Regards,
    Eli

  • Profit center in accounting document is differ with profit center in PO

    Dear Expert,
    I have created 2 PO. 1 PO is with material number, and  the other PO is without material number. both PO have account assignment category H ( Cost Center - COGS)
    I also have created 2 MIGO with reference to each of the PO. but when I checked the FI document in Material document I found that the profit center in accounting document is different with profit center in PO - this problem only occur for PO with material number.  Profit center displayed in accounting document is refer to ZOKB9 (user exit)
    Material ledger is active for this material number.
    My question is what may cause the different profit center in accounting document and in PO?
    How to solve it?
    Thanks
    Pauline

    HI,
    possible reasons are :
    In GR document profit center pulled from PO Material :
    If you have ordered with material code, must check profit center assigned into material by mm03/Plant Data2
    If you have ordered without material code, than check cost center assigned Profit center by 1KE4

  • Tbb1 - changing profit center in FI document account

    Dear all,
    i need to change the profit center and the movement type when i create the document account with transaction TBB1.
    movement type: I CHANGED THE METHOD  ACCIT_RMVCT_EXIT IN INTERFACE IF_EX_TPM_ACCIF_TRAC And it is ok.
    prctr : I created a new method in interface class but for changing interface i need a development key; is there something that i can do to change prctr or i need to change standard sap ?
    thanks a lot
    Elena

    Hi Elena,
    Probably the class is doing its job OK but FI is not accepting the document because some field is missing. In most  SAP implementations I have seen, the profit center is not informed directly. Instead, you inform the cost center and the system determines the profit center automatically. Can you check if the cost center field is filled in the ACCIT structure when itu2019s sent to FI? Iu2019m thinking some information needed by the CO module in order to post to a profit center is missing.
    Regards,
    Daniel
    Edited by: dmfdmf77 on Mar 30, 2011 12:43 PM

  • Problem in Updating the Profit Center in Accounting Document

    Dear CRM Experts,
             I am working in SAP CRM 5.0 and SAP R/3 4.7
    When the Billing Document is Generated in CRM It Automatically Generates the Acoounting Document in R/3.
    In CRM we do not have the Field Profit Center.So in the Accounting document it shows Profit Center as DUMMY.
    My Query is "Is there any BAdI or User Exit to change the Profit Center based on the Material?".
    It is very Urgent Please help me.
    Thanks & Regards,
    Ashok.

    I remember seeing something like this before. I think it's an Oracle specific thing maybe try doing your select like this:
    select t.* from temp t where t.AC_GL_NO='cwcf'
    I don't know why but using an alias makes it work sometimes.

  • How change profit center after FI document is posted

    Hello,
    is there a way to change the profit center after the FI document is posted?
    I have posted an vendor invoice and the profit center is wrong on general ledger and special ledger.
    Can I update the profit center after the posting?
    Thanks a lot,
    Cheers, Emanuela

    Hi
    If you are using EC-PCA, You can simply use 9KE0 to make the adjustment posting
    IF you are using New GL PCA - You need to reverse the posting and make a new one
    Regards
    SAPFICO
    Edited by: SAPFICO on Nov 29, 2010 6:14 PM

  • Profit center clearing accounts line item display

    Dear all,
    I have implemented  document splitting at  profit center level.
    The zero balance clearing account (profit center clearing account) is open item managed and also line item display tick is  put. eg both ticks are active.
    I am trying to see the line items in the account using fbl3n,fs10n etc but am not able to view the line items althought the balance of the account is  visible in fs10n.
    the message i get is 'no line item selected'.
    Pl suggest some way through which i can see the line items of the profit center clearing account.
    Regards,
    Rishikesh

    Dear Venkatesh
    I am also facing same problem, I am using T Code FAGLL03 to display Line Items for Zero Balance Clearing A/c but I am not getting line item display instead it is giving following error.
    =========================================================================
    “Account 141010, company code VALC is clearing account
    Message no. MSITEM111
    Diagnosis
    You have stored account 141010 in company code VALC as a clearing account. At the same time, you use line item management with this account.
    System Response
    Error message issued because line item display cannot read data for an account in a ledger if line items exist partially in the entry view together with clearing items for which there are no line items. In such cases, only the data with line items would be selected.
    Procedure
    Check the Customizing settings or account control. Change the settings so that only automatic postings without line items can be made to the account, or select a different account as the clearing account.
    =========================================================================
    Please do suggest me.
    Thanks in Advance
    Regards
    Ratnakar

  • Substitute at line item level for F-32 (or FB1D) to change profit center

    Hi I’m Liz,
    I started to write a substitution for F-32 transaction code for clearing with write off reason codes.  I trying to substitute if Profit center = 14xxx then substitute profit center 141xx for only P&L GL accounts.  If I simulate the substitution step and enter in GL account, Doc Type and profit center it selects the correct profit center.  When I try to post an entry with the trace turn on it shows the profit center field blank so no substitution is determined.  The reason for the substitution is my company is going through a reorg where certain profit center will be locked to post.  The issue is some Account Receivable posting hold the profit centers that are planning to be locked.  I have created a validation rule which will allow only certain User ID to post with the locked  profit center (to allow clearing open items posting) to balance sheet accounts.  My company has document splitting turned on. 
    Any help would be greatly appreciated. 
    Thanks

    Hi Liz,
    I´ve got the similar problem like you wrote. 
    My client had a reorg project behind and locked the old profit centers. For the reason of clearing open items and FX valuation those locked profit centers need either to be  re-locked or the posting need to be posted to the new profit centers by using substition. Could you please kindly advicehow did you solved this problem?
    OR maybe someone else can help?
    Many thanks in advance.

  • Difference in Profit center for GR/IR account in MIGO & MIRO Transaction

    1) We have created material 106267 with material type ROH. We have assigned profit center 1001052999 (common profit center) to material.
    2) We have created WBS element MUM-RIV002.SS.RC.RF with profit center 1001052002.
    3) We have created PO 4000000236 for account assignment category u2018Qu2019 for the above material with WBS element MUM-RIV002.SS.RC.RF   . After posting GRN for PO 4000000236 we have identified that for GR/IR account profit center is taken from material master & for stock account profit center is taken from WBS element.
    Please find the below Flow
    In MIGO
    Entry
    Accounting Document number in Entry View
    5000001125
    PSKY          G/L Code      Description
             Amount
         Curr.
              Profit Center
         WBS element
    89          231101     RAW MATERIAL STOCK     2,000.00     INR          1001052002     MUM-RIV002.SS.RC.RF
    96          162101     GR/IR-Material     -2,000.00     INR          1001052999     MUM-RIV002.SS.RC.RF
    Document number in Ledger View
    L.item     PK     SG     Account     Description         Amount     Curr.     Tx     Profit Ctr     WBS element
    1     89          231101     RAW MATERIAL STOCK     2,000.00     INR          1001052002     MUM-RIV002.SS.RC.RF
    2     96          162101     GR/IR-Material     -2,000.00     INR          1001052999     MUM-RIV002.SS.RC.RF
    3     50          162001     InterSegment Clrg     -2,000.00     INR          1001052002     
    4     40          162001     InterSegment Clrg     2,000.00     INR          1001052999     
      It should take profit center from WBS element for GR/IR account & Stock account but for GR/IR account profit center is taking form material master & for stock account profit center is taking from WBS element.
    MIRO
    Entry
    Accounting Document number Entry View
    5100000657
    PK     SG     Account     Description         Amount     Curr.     Tx     Profit Ctr     WBS element
    31          100000     Ambuja Cement Ltd     -1,996.00     INR     V4          
    86          162101     GR/IR-Material     2,000.00     INR     V4     1001052002     MUM-RIV002.SS.RC.RF
    40          254001     VAT Receivable     80     INR     V4          
    50          172103     TDS PAYABLE -194C     -42     INR               
    50          176101     WCT-TDS payable     -42     INR               
    Document number in Ledger View
    PK     SG     Account     Description         Amount     Curr.     Tx     Profit Ctr     WBS element
    31          160100     CRS-Domestic Supp     -1,996.00     INR     V4     1001052002     
    86          162101     GR/IR-Material     2,000.00     INR     V4     1001052002     MUM-RIV002.SS.RC.RF
    40          254001     VAT Receivable     80     INR     V4     1001052002     
    50          172103     TDS PAYABLE -194C     -42     INR          1001052002     
    50          176101     WCT-TDS payable     -42     INR          1001052002     
    In the MIRO Accounting Document profit center for [162101] GR/IR-Material A/C has taken from WBS element
    Please note that we are using document splitting with Profit center is mandatory
    We have created same scenario for Cost center. After posting the GRN profit center is taken from cost center for both GR/IR account in MIGO & MIRO accounting documents.
    Plez help

    Hello
    ANy suggestion for question & if solved do let me know

  • Wrong Profit Center on Material document (Goods Receipt PO for Asset)

    Dear SAP Expert,
    When our company upgrade our SAP version from 4.6C to ECC6, all Profit Center on Material document (Goods Receipt on Purchase Order for Asset) is filled by profit center DUMMY.
    This condition not happend in our previous version (4.6C). Is there any new configuration on ECC6 for Asset Accounting?
    Many Thanks
    Maickel P

    Hi, Maickel:
    There is a setting for Dummy Profit Center, you can check in SPRO: Controlling->Profit Center Accounting->Master Data->Create Dummy Profit Center.
    And you can refer to the help of this IMG activity:
    Create Dummy Profit Center
    This function lets you create the dummy profit center for the current controlling area.
    The dummy profit center is updated in data transfers whenever the object to which the data was originally posted (cost center, order, and so on) is not assigned to a profit center. This ensures that the data in Profit Center Accounting is complete. You can later send the data on the dummy profit center to the other profit centers using assessment or distribution.
    You create the master record for the dummy profit center using this special transaction. To change or display it, use the normal profit center maintenance functions.
    The name of the dummy profit center is displayed in the controlling area settings for Profit Center Accounting.
    Prerequisites
    The standard hierarchy must exist for the current controlling area.
    Actions
    Enter the name of the dummy profit center. The rest of the steps are the same as when you create a normal profit center.
    Choose the function Extras -> Set controlling area first to make sure that the correct controlling area is set.
    Notes on transporting
    You can transport the Customizing settings for Profit Center Accounting under Transport Connection.

  • Profit Center Clearing Account Line Item not possible to display ?

    Hi
    All Experts ,
    I want to see the line items for Profit Center clearing account ( Zero Balancing ) in FS10N but after double clicking in system
    shows no line item possible for this account.
    Please suggest some T.codes or reports through which I can see line items for  Profit Center clearing account.
    Is there any different configurations made for Profit center clearing account ?
    Regards,
    Sharvari.
    Edited by: Sharvari Joshi on Jul 18, 2009 2:27 PM
    Edited by: Sharvari Joshi on Jul 18, 2009 2:32 PM

    Dear Sharvari,
    You are not able to see line items because "line items" field in master record must not have been selected. To check it goto
    FS00, enter your GL account. For documents which have already been posted, you will not be able to see line items even after selecting Line Item in master record.
    To veiw the line item record for this GL account use table BSEG in SE16.
    Regards,
    Chintan Joshi.

  • Change in Profit center of Material Document

    Dear SAP
    I have made a outbond delivery with movement 601 and corresponding material document is being created with accounting entries. but here profit center got wrong and when I am changing profit center through SAP Edit (Changed in MSEG,LIKP,BSEG).
    But the the MIGO Display and MB5B report are showing the earlier profit center.
    How and where we can change the profit center so that it gets corrected

    Hello
    As per standards, you can't change account assignment for a document after you have posted the material document. It is advised to reverse the material document and then do the neccessary corrections in the preceeding documents and then post the material document again. So, even though you have changed same may not help.
    If you still want further information, consult FICO consultant on this.
    Thanks & Regards
    JP

  • Profit Center for Vendor/Customer line item in F-02

    hi all,
    We have implemented SAP ECC 6.
    At the time of vendor line item posting, there is no input field for profit center.
    Can anyone please tell the way out for Profit Center field pop up in case of t-code like f-02 for vendors & customers
    Abhishek

    Please note the following:
    - On FBL5N and alike customer/vendor line item reports you won't find
    the field profit center filled; hence you can't directly input it during document entry (as pre-mentioned)
    and the profit center for customer/vendor gets inherited (as of document splitting functionality) from the document other line item(s) (according to the defined document splitting rules...)
    - Yet you can use the below reports (with New G/L.) to get the customer/vendor line items wise reporting over a profit center (i.e. unlike FBL5N & showing the inherited customer/vendor profit center in the G/L. view)
    S_AC0_52000887 - Line Items->Open Items->Receivables: Profit Center
    S_AC0_52000888- Line Items->Open Items->Payables: Profit Center
    In both reports you can use:
    "Custom Selections" -Dynamic Selections Icon- enabling you to filter the output according to
    a. Customer line items specific data entered within the posted document(s)
    b. General ledger items of the G/L. view of the posted document(s)
    & the "Output type" includes like most of the New G/L. Reports:
    - Graphical report output
    - Classical drill-down report
    - Object list (more than one lead column)

  • Default of Profit Center in the Documents on the Basis of GL Accounts

    Hoe to default the profit center in the Documents on the basis of the GL Accounts.

    In 3KEH set up a default profit center for a particular account. If a company break down is needed, set up the account first to dummy. Then select Prctdet. There you assign the GL account to the profit center and company.
    pls assign points if helpful as a way to say thanks.

  • Default Profit Center for Retained Earnings Account

    Hi,
    We wish to default a profit center for our retained earnings account. Currently, the system carries forward P/L balance to Retained Earnings Account Profit Center wise.
    Kindly advise on how we can default a particular PC for retained earnings account. Also in case it is possble, does the system balance the PC wise trial balance by changing balances in Inter PC Balancing account (Zero Balance Clearing)?
    Thanks!

    Dear,
    You can default through 3KEH in classic GL and through FAGL3KEH in New GL
    Br, Vivek

Maybe you are looking for

  • Aio remote doesn't work on windows 8.1, can't findprinter

    hp aio remote on windows cannot find my printer.  i could tell it its ip #, but software disallows this, apparently assuming that sw is perfect and users are incompetent, where the opposite is usu true.  similarly, hp has no feedback mechanism and wo

  • Portal Runtime Error --- Portal content is not opening

    Hello Experts, While logging to the system we are getting this message Portal Runtime Error An exception occurred while processing a request for : iView : pcd:portal_content/every_user/general/defaultDesktop/frameworkPages/frameworkpage/com.sap.porta

  • Apple's response to my whiney MBP

    Hey fellas. I just got off the phone with Apple and I thought I would relay the fruits of my experience with my MBP. I bought a 1.83 (week 12) that has the whine under the keyboard that goes away by launching photobooth. I took it in to an Apple stor

  • Screen capturing in Premiere Pro 2.0?

    I'm looking to create a video presentation of my company's proprietary web applications and would like to capture my screen as I navigate through the pages and narrate.  I have seen other recently released video editing software that enables users to

  • Fnd_web_sec.validate_login returns ORA-29540

    Hi guys, when i'am executing select fnd_web_sec.validate_login('user123', 'pass123') from dual; with 'apps' DB user every thing works well and i get 'Y' as a result for the query. now i have new DB user 'XX' when i login using user 'XX and executing