Cross-co-transactions

sap guru's:-
  Tell  me about cross company code transaction, can u give any example with explanation,where and what are the pre-requisites. plz help this one.......

Hi Madhu,
OBYA is the T.Code for Cross Company Postings.  Sometimes in some of the scenarios, 1 company code is purchasing the material and 2 company code is making payment, in that case, we are using the Cross Company transactions.
In OBYA screen, you have to assign Gl account of 2 company code in 1 company code like the same for other company code also.
while posting under new company code you have to select different company code.
Assign points without fail.
ALL THE BEST.

Similar Messages

  • Posting of cross company transaction with different doc types

    Hi,
    The scenario is:-
    We have two companies X and Y.
    X makes a payment to Y with the following FI entries:-
    Company Code X
    Dr Vendor Y
    Cr Bank HDFC
    Company Code Y
    Dr Bank ICICI
    Cr Customer X
    Now this needs to be a cross company transaction where the doc type for CC X should be vendor Payment 'KZ' while the doc type for CC Y should be a customer reciept with doc type 'DZ'.
    Although I am able to map the accounts in cross company code config I am not able to split the transaction of different company codes with different document types.
    Is there any way we can do this in standard SAP?
    Thanks in advance,
    Nitish

    Hi
    As per your issue ...There are no possibilities to post   in sap with different document types.
    If you want you can post cross company code transactions with one document types
    Regards
    vamsi

  • Cross company transactions customization Help - Urgent...

    Hi All,
    Can anyone tell me where I have to do the customization for cross company transactions,
    In the scenarios
    1. for materials shipped to the customer of company code BBBB, by company code AAAA on behalf of company code BBBB or vice versa
    2. For materials shipped to plant of company code BBBB from the plant of company code AAAA or vice versa.
    I would appreciate it, if you can help with customization and configuration steps involved in cross company transactions.
    Thanks in advance
    Kumar

    Hi Kumar,
    With OBYA settings, you will be able to affect cross company code transactions through FI.
    Ex. Maintenance Exp of co. code AAAA are paid by co. code BBBB. Now the affect will be as follows:
    Books of AAAA:
    Maintenance Exp A/c Dr and Cross Company code Clearing (say 'BBBB') A/c Cr
    Books of BBBB:
    Cross Company code Clearing (say 'AAAA') A/c Dr and Bank A/c Cr
    The above affect will take place in books of both the company codes, when u post the document in any one set of books by mentioning the other company code as 'new company code'.
    Hope this helps..

  • ERROR DURING T.CODE F-53 ( cross company transaction error)

    Hello ,
    I am clearing two  documents , in which one is cross company code transaction and another is vendorinvoice through t.code f-53.
    while saving the document I am gettting the following error.
    Consolidated companies 1000 and ' ' are different
    Message no. F5080
    Diagnosis
    The number of the affiliated company must be clear for the selected document type for all line items. In this case at least two different companies or a company in connection with a business partner who does not belong to a company are stated.
    Procedure
    If you selected the correct accounts, you must enter the document with a document type that allows cross-company posting. Otherwise, please correct the entered account.
    kindly help me to solve this issue
    thanks and Regards,
    muscan

    Hi,
    Please check if in the control data of the vendor master "Trading Partner" is populated.
    If yes, then if you remove the trading partner then you might not get this error.
    If a trading partner is there, the system check the document type for Intercompany posting control and if its not there then the system gives such an error.
    Changing a document type might impact all the business transactions relating to the document type that you are using.
    However this might not be required in your scenario.
    Thanks,
    Nitish

  • Cross company transaction between different operating concerns

    Dear Gurus
    we have scenario for new implementation that we have to enable Cross company code transaction between different operating concerns. Stock movements and other inter company purchases etc
    Please advise is this possible or not.

    Dear Mohsin,
    is it only for stock transactions??
    Regards,
    Raman

  • Cross Company Transaction and RFBUST10

    Hello SAP Professionals,
    I have a problem with a Cross-Company Code Transaction combined with Tax. In the case of cross-company code transactions, the whole tax amount is posted to and displayed in the first company code only. The taxes occurring in other company codes are ignored.
    But I would like to transfer and to display the right Tax amount in another Company Code at the advance Return for Tax on Sales/Purchase (TA S_ALR_87012357). I’ve found the report RFBUST10 and the Customizing view TBUVTX. With this report it should be possible to do what I want.
    When I execute it, the right amounts are posted to the other company code but it is just a 50/40 posting without any tax data. So the table BSET isn’t changing and because it’s the base for the advance Return for Tax on Sales/Purchase the Tax amounts are still incorrect there. It looks like he has a problem with postings where Tax Code A0/V0 (Input Tax / Output Tax = 0) is used. With other Tax code, where Tax > 0, he is doing it like expected.
    Does anybody have experience with the RFBUST10? How can I use the RFBUST10 to transfer amounts posted with A0/V0? Is it possible somehow?
    Thank you for your help.
    Greetings Enrico

    Hi Enrico,
    I am afraid this is the standard behaviour of the system, we may not be able to do much in this regard.
    Regards,
    Ravi

  • Cross-Company Transaction and Inter Company setting

    Dear Support Team,
         I am working a new Project , and there is a requirement of Cross company i,e , we have multiple company code & diff plants and we have a inter company transaction its a very new kind of scenario , sp pls me out by providing a usefull configuration and setting document so that I can able to do .
    Thanks & Regards
    MKS

    Hi ,
    All settings will remains same. only thing u have to do is in OBYA t code assign g/l account for inter company code clearence. and posting key will be 40 & 50.
    Regards
    Mahesh M J

  • Hide price cross all transaction

    Dear Experts
      I need to know how to hide any specific (field-column) from the SYSTEM 
    I know that i can use transaction variant SHD0 but this work for only one transaction by transaction
    i need to know how to hide this field cross transaction
    Best Reagrds

    Thanks for your quick reply This way will be headache because i will need to maintain a lot of screen layouts .. I need to know how to hide the field from all the SYSTEM .
    for example Price is displayed  in transaction ME21n,ME22N,ME23N,ME22,ME23,ME2n,ME2M,ME2L
    I need to know how to hide the price field from all the transaction .. there must be away
    Best Regards

  • Cross service transactions

    Hi,
    I'm just trying to understand the concepts of SOA.
    Coming from database development I'm maybe thinking to strong
    in transactions, but exactly at this point I missed some answers
    in the SOA world.
    I already tried to find out some things by browsing the internet,
    but that didn't really satisfy me. 2PC doesn't seem to be the
    preferred method to handle transactions in a SOA environment and I
    didn't fully understand how compensation services can fill the gap.
    Maybe somebody from this group can clarify those points to me:
    - Does every service by definition includes a "commit" at the end?
    Of course only talking about services which do some
    insert/update/delete operations on a database.
    - Or is the "calling" system (frontend, BPEL Engine ...) responsible
    to commit changes to the database - or close the transaction?
    - How can a rollback be performed ( across multiple services )
    e.g. the well know example of those 3 services:
    1. book hotel
    2. book flight
    3. book car
    assume that those service calls are done in parallel and 1. and 2.
    were working and left a committed status in different databases (or
    even tables).
    service 3 gave an error and 1. and 2. needed to be undone.
    Without any restrictions this can of course be done with
    compensation services, but what happens if anybody else in the
    meantime changes the database entry which was created in 1. -
    maybe, an hotel manager assigns this record to a work plan for the
    cleaning team or anything else ....
    If nobody didn't update anything on those new records than it won't
    be a problem, but otherwise ... ????
    How should one handle such situations in a SOA or at least service oriented environment?
    Thanks for a short answer
    Chris

    Hi Chris,
    The short answer is that the cancelBooking operations call in the compensation flows of the hotelBooking and flightBooking services will have to handle how a cancellation is done. If you just provide getter and setter operations on tables and leave it to the orchestration layer to add the business logic, I would say that your web services are too fine gained.
    Best,
    Mathias

  • Cross company transaction - STO

    Hi all,
    I want to make Inter company PO but I am not getting the Shipping Tab in item level. All Sales view is maintained in Material Master for both the Plant and Material. Could anybody help regarding the Settings of Shipping point to get Shipping tab while creating the PO.
    If any Sales module setting if required please inform.
    Already for one Plant it is getting, but same I have to maintain for another Plants.
    At backend supply plant & receiveing Plant for Doc type is maintained and checking rule is also assinged.
    I am getting error "Customer xxxxxx does not exist" while creating a cross company STO - PO".
    regards,

    have u dont the setting for shiping date for plants
    do the setting for the plant
    create a customer for a plant and assign in following
    spro-- mm-purcpur ordset up sto
    Define Shipping Data for Plants
    ur issue will be solved
    Message was edited by:
            Umakant Bhangale

  • Cross Company Transactions

    Hi,
    In our present client we have 5 company codes and there are intercompany transactions between them.
    I have made relevant settings via T-code OBYA.
    Pls adv me what are the closing activities for Intercompany transactions..Do we need to manually set off IC payable and Recv at the month end? Is there any process for this.
    Thanks

    The only thing i can think of is:
    Make sure that Sum of Inter company balances is Zero.
    I am not sure how you guys are handling the elimination entries for intercompany transactions - Do you enter it in a seperate ledger ? or a seperate co cd ? If so, make sure that all those entries are entered.
    Hope it helps..
    Thanks,
    Nandita

  • Profit center derivation in cross company transactions

    Hi
    I have following business scenario:
    we have 2 company codes A and B
    A company is there in X and Y locations
    B company is there in D and E locations
    Now we mapped locations are Profit Centers.
    Now we are transferring vendor balance   from   company A and location X to Company code B and location D.
    In this case,  how does system find profit center?
    Thanks and Regards
    Apparao

    Hi KK
    Usually, in the vendor line you dont have the Option to enter PC
    So, ideally, your accounting entry to do the transfer will be
    1. Company A
    Vendor Dr and Clearing GL Account Cr (PC - X)
    2. Company B
    Clearing GL Account Dr and Vendor Cr (PC - D)
    When you enter the PC in the Clearing GL, the same gets passed on to Vendor line item (Either real time or @ Period end depending on you have Doc Splitting active or not)
    Br, Ajay M

  • Transfer posting of tax in a cross company code transaction thru' RFBUST10

    Hi,
    I have a doubt regarding using the program RFBUST10 transferring the tax in a cross company transaction.
    I have posted an invoice entry as below and I want to transfer the tax posting of 7.00 from company code 1 to company code 2 using the program RFBUST10.
    Cr - 31 - 3rd party vendor - total amount of invoice co code 1 - 214.00
    Dr - 40 - expense account - 100.00 co code 1 - C7 (Tax code at 7%)
    Dr - 40 - expense account - 100.00  to co code 2 C7 (Tax code at 7%)
    I have successfully posted and the tax amount of 7.00 is also transferred from company code 1 to company code2 but now I have 2  problems:
    1) The program (RFBUST10)  is permitting to transfer  tax for the same cross- company code document multiple times. Please let me know how to track whether the cross company code document is already processed for transfer posting of tax.
    2) In the transfer posting document as below ,the  tax code in the first line item (clearing account) is defaulted to C0 , I would like to know from where this tax code defaults, I have not maintained the default tax code in the GL master.
    Dr - 40 clearing Account 107 - C0 (tax code 0%)
    Cr- 50 clearing account 100 - C7(tax code at 7%)
    Cr - 50 Tax account 7  C7
    Please let me know how to resolve these issues.
    Tks
    SS

    hi venkat sri,
    gud day, did you manage to solve the transfer intercompany tax using program RFBUST10? Could you share the solution?
    Looking forward for your reply.
    Regards,
    Jay

  • Cross Company MIRO Transaction - BSEG-TXGRP Not Valued for Account Type "S"

    I am working with the ABAP group to create tax reports for audits and sales tax charged by vendor.  I am basically wanting a line item report of all purchases along with any tax applied to each line.  Therefore, I am, for the most part, using tables BKPF, BSEG, and BSET.  For our US transactions, we have one company paying the invoice on behalf of all other US companies.  Essentially, every transaction is a cross-company transaction.  The problem is I am having a hard time tying BSEG to BSET by line item.  For FB60 transactions, I can tie BSEG-TXGRP to BSET-TXGRP; however, for MIRO transactions, BSEG-TXGRP is not valued for Account Type "S" (GL Accounts).  Any ideas?  I could not find a note to capture this issue.  There was a note, but it was with regard to Account Types "D" and "K" I believe, vendor and customer accounts.
    Any help would be greatly appreciated.
    Thanks,
    Deanna

    So,
    Did you ever resolve this.  I have the EXACT problem right now.   Inter-co. MIRO documents only getting TAXGRP popuplated for Original Co. Document (not cross-co. document).
    Thanks,
    - Tim

  • FB70: Cross-company code transaction

    Hello
    In Cross-company code transaction with FB70, we use company code A and company code B for the line Items.
    In the document overview display for customer invoice, the line items long text entered appeared only in the text field for the company code B entered for the line item.
    Is there anyway to make appear line itemu2019s long text entered for company code B in the text field on the document overview display of company A?
    Thanks,
    VWA

    Hello Madhu,
    Thank you for your input. What I need is to have the text entered for the line item of Cie B on the document overview display for A.
    In cross-company transaction such as FB70, the text entered for each Cie appears only on each document but I want B to appear on A.
    Regards,

Maybe you are looking for

  • How do I sync my contacts on my MBPro to my iPad without going thru iTunes?

    I have read the responses to my previous question concerning syncing iPad 2 with MBPro but the suggestions do not work for me. When followed, I do not find a checkbox for syncing Contacts in iTunes under Info - only that they will be synced. However,

  • Photoshop crashes on startup

    Every time I open photoshop CC through the Creative Cloud, it just freezes and Windows gives me an error that reads "Adobe Photoshop CC Has Stopped Working." It happens every time I try to launch photoshop, and I have tried reinstalling twice.

  • Settings to upload Quicktime X files to YouTube

    To upload a file to YouTube, I believe that the following file settings are  best: Compression - H.264, Frame Rate - 30, Data Rate & Key Frames - automatic, Frame Reordering - unchecked, Constant Bit Rate, Audio - AAC Format, Internet streaming - Fas

  • Using Report Builder to make Letters

    I am trying to use report builder to create templates for letters and other multi-page documents, the query automatically inserts data from a database (the price of something for example). Whenever I try to fit the document in report builder it says

  • Problem with quotation marks.

    I've made an exercice 'fill in the blanks' in Captivate where children have to fill in a quotation mark. Captivate uses curley quotation marks, but when you make the exercice in a browser you only get straight quotation marks and the result is 'wrong