Documents Display Profit Center wise

Dear Seniors,
We are in ECC 6.0 now.  Users want to see the documents Profit Center wise.  Is it possible to provide the option to select the profit center in FB03 ??  or is there any alternative ??
Thanks and Regards
SAP Learner

hi
You can display report as per Profit Center wise.
Check the reports inf Profit Center Accounting by menu path
Profit Center Accounting - Information System - Reports for Profit Center Accounting
Please let me know if you need more information.
Assing points if useful.
Regards
MSReddy

Similar Messages

  • Document split profit center wise

    Hi All,
    I have a senario.
    I want to post a document were it automatically splits and post it to respect profit centers.
    Ex: Canteen expenses for Rs 1000/- my profit centers are PR01 and PR02. My cost center is CCC1.
    Entry should be:
    Dr. Canteen Exp        1000        CCC1    
    Cr. Bank                   1000
    entry should split
    Dr. canteen CCC1    PR01     600
    Dr. Canteen CCC1   PR02      400
    Cr. Bank                               1000
    this i need for two purposes,
    1) Two get the Profit center wise balance sheet
    2) two reduce the client work.
    What are the things i need to take care to get this. how can i get this
    Thanks
    murali

    Hello,
    I am not sure if you can achieve this splitting,because if you want to use document splitting functionality and the split will happen on the line items where there is no profit center  i.e in your case the cr bank will be splitted in to two if you have two debit entries on expense side.
    See for the following scenario u mentioned ;
    Entry should be:
    Dr. Canteen Exp 1000 CCC1
    Cr. Bank 1000
    entry should split
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank 1000
    its not balanced by profit center as you said/stated.
    If you have any entry like ;
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank 1000
    Document splitting can split in to following:
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank  pro1 600
    cr bank pro2 400
    where you have profit center wise  balance sheet.
    And you have to config as stated in the above post.
    Thanks,
    Sai.

  • Profit Center wise G/L Account balance Display

    Hi,
    I m unable to find Standard Report Profit Center wise G/L Account balance Display (for ref.: FS10N)...
    when i m creating it's Z report, facing some problems like period showing 16 instead of 9 and other's...
    please let me know what can i do...
    thanks...

    HI!
    Profit Center wise G/L Account balance Display
    Tcode:S_PL0_86000030 - G/L Account Balances (New)
    regards,
    Rup

  • Profit Center Wise document number ranges

    Dear friends
    At our client place ECC 6.0 is implemented. The org structure is : One Company Code and 6 profit centers.
    Now the requirement is document number ranges at profit center level and not at Company Code level.
    Can we assign the number ranges at profit center level?
    Thanks in advance.
    Regards
    Kiran A

    Hi
    If you have new GL and PCA active, it would be very difficult to have Document Types assigned at profit center level. The document types are assigned at company code level and not profit center. There would be many transactions which would have multiple profit centers. How would you seggregate them, even if you use different document types as suggested for various profit centers?? Morever, most of the posting in FI come from other modules and are posted by the system because of the transactions in other modules. So it is practically not feasible to have profit center wise document numbers.
    However, for Indian Scenario, you can have SD Tax Invoices for every plant, where billing is done. Secondly, SAP has delivered excise documents to be numbered differently for every excise registration.This is to meet the Indian Reporting requirements.
    Regards
    Sanil Bhandari

  • Profit center wise all document view

    Hi SAP,
    We can view the documents in FB03 at company code level, and we can view all the company code documents.
    But if i want to see only plant or profit center level all the documents what Tcode i must see?? from which Tcode  SAP will provide all the documents view at profit center level??
    Good Day!
    Best Regards,
    Moderator: Please, avoid asking basic questions. Search, before posting

    Hi
    If you have new GL and PCA active, it would be very difficult to have Document Types assigned at profit center level. The document types are assigned at company code level and not profit center. There would be many transactions which would have multiple profit centers. How would you seggregate them, even if you use different document types as suggested for various profit centers?? Morever, most of the posting in FI come from other modules and are posted by the system because of the transactions in other modules. So it is practically not feasible to have profit center wise document numbers.
    However, for Indian Scenario, you can have SD Tax Invoices for every plant, where billing is done. Secondly, SAP has delivered excise documents to be numbered differently for every excise registration.This is to meet the Indian Reporting requirements.
    Regards
    Sanil Bhandari

  • CUSTOMER BALANCE LINE ITEM DISPLAY WITH PROFIT CENTER WISE

    Dear Folks,
                     Please suggest whether is there any standard report related to
    customer balance report against Profit center wise or suggest the best way to create the Z  REPORT LOGIC
    Thanx In advance
    REGARDS
    ASHOK K

    Hi, Ashok 
    Welcome to SCN
    Please Don't USE ALL CAPS, it is against the Forum Rules, Check Bellow
    Please read "The Forum Rules of Engagement" before posting!  HOT NEWS!!
    Faisal

  • Profit center wise billing documents

    dear experts,
    could please let me know that is there any possibility to see the invoicing amount against the profit center wise.if there,pls provide  me the configuration settings.
    regards,
    amar.

    Refer following links for understanding/reference:
    - profit center wise balance sheet
    - FBL5N report by profit center
    Thanks & Regards
    JP

  • Clearing docs profit center wise

    Dear Expert
    We clear customer billing documents by SM35 transaction
    and billing documents are created with different profit
    centers used by differernt departments and at the time
    of clearing we need to display those profit centers but
    as profit centers cannot assign to customers and vendors,
    how to segregate billing documents profit center wise at
    the time of clearing.
    Regars VG

    Hi,
    I have some questions and suggestions
    Do you have only 1 profit centre assigned in the billing documents? in case yes the following options may work for you. If no then it may not be possible to clear by the profit centre.
    you can try substitution through SD in the customer line item through SD  using the following exits SDVFX001,SDVFX002 and  SDVFX004 to populate profit centre in assignment/reference/header fields and in clearing you can sort the clearing line items or restrict your selection based on the field and clear the line item.
    You can also in the SD module have custom invoice number maintained based on plant which can be mapped to profit centre and you can select the invoice number based on the range maintained.
    Regards
    K.R

  • Reporting - restricted for profit center-wise

    Hi
    My client has two profit centers (1000 and 2000) in one company code. Both profit centers are totally independent. Now my client requirement is that when user of profit center 1000 runs AR01 (i.e. asset balances), he should be able to see assets only for his profit centers i.e. 1000. Asset of profit center 2000 should not appear in that report.
    In EHP 4, there is provision for Profit Center-wise document posting, change and display functionality. But i want to know if this profit center-wise authorization will work for asset balances report (AR01) and other assets reports also.
    Please help.
    Edited by: Deepak Agrawal on Jan 1, 2012 5:43 PM

    K_PCA or authorization object for profit center is not check in assets report.
    In AR01 you cannot restrict the results to profit center as it is not checked in authorization . The fields which are checked are company code , Asset class and asset views.
    Hence you will have to lookup for alternatives like selection based on plant or cost center or responsible cost center etc.
    In case if the requirement is a show stopper then you will have to code the things in Enhancement points as there are no BADI or Exits available for the same .
    Cheers,
    Dewang

  • Vendor Profit Center wise balances

    Dear friends,
    Here is the requirement to provide details of vendor wise profit center wise balances. As report required to run for all vendors for a certain period it is consuming a lot time to calculate opening balances from line items.
    Is there any table like LFC3 which will store vendor wise, profit center wise balances. Kindly suggest.
    Regards,
    Praveen Lobo

    Dear
    Use T.code FBL1N - Display/Change Line Items.
    when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
    when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
    Alternately, use dynamic selections in T.code FBL1N selection screen.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Report for profit center wise transfer

    Hi Experts,
    I am searching for one report that should show the profit center wise transfer balances
    we are using the ECC 6 and profit center wise splitting when user post inter segment also the document will show 2 profit centers with inter segment clearing a/c now user wants to know that how much is actual transfer and actual posting and from which profit center that balance was appearing the report
    Please guide me is there any standard report which will meet my requirement 
    Thanks & Regards,
    Narendra.G

    please any one can help me
    Thanks in advance

  • Profit center wise customer balance Report with reference field

    Dear Experts
    I am using the report S_AC0_52000887 - Receivables: Profit Center but it does not show with reference.
    how can i see this report with reference. (e.g. reference field at the time of posting document) In the background of this report called by report painter and we can see the characteristics are there. I am not able to add the reference field in the characteristics. Can someone please give some insights.
    Regards,
    Vishal

    Hi Vishal,
    Please use FAGLL03 give the customer recon a/c you can see all the customers with profit center wise report.
    Regards,
    Raman

  • Profit center wise vendor balances

    Hi guys,
    My client want to vendor balances with profit center wise. I know t.code s_ac0_52000888 it displays reconsilation account wise balances I want to  profit center wise balances not reconsilation account wise balances its urgent please help me
    thanks
    syam

    Dear
    Use T.code FBL1N - Display/Change Line Items.
    when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
    when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
    Alternately, use dynamic selections in T.code FBL1N selection screen.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Profit center wise Balance Sheet

    Dear Experts,
    I am working in a project right now and the company requirement is to get the Balance sheet profit center Wise.
    We are implementing ECC 6 and have activated Document splitting Functionality.
    We are Considering products as Profit centers.
    My concern is if I assign profit center in Material Master, my flow from PR to MIRO is working fine, as the system is assigning profit center at line items in Accounting from Material master.
    But at the time of Sales delivery the entry in accounting is
    COGS DR.
    To Inventory Cr.
    COGS is a cost element and I cannot post it without assigning cost center
    The issue I am facing is if I fix one cost center over here, it will only pick one profit center assigned to it, but I want to have different Profit centers
    Not only in the above entry, I am facing this problem on all automatic Profit and loss entries
    How can I assign correct profit center to the line item. Please suggest me some solution.
    Thanks and Regards
    Lakhbir Singh
    Cross-Post

    You can find the detailed documentation regarding the profit center balance sheet at the following links:
    http://help.sap.com/saphelp_47x200/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    http://help.sap.com/saphelp_47x200/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    Regards,
    Suraj

  • Profit Center wise payments in F110

    Hello Gurus,
    F110 Automatic payment program error at proposal (couldnt select the documents by profit center criteria)
    ERROR is: (Company codes 4000/4000 do not appear in proposal 17.06.2010 SYR_R; correct)
    I want to make payments only  Profit Center wise by selecting in the "FREE SELECTION" tab in F110 program, is this right way?
    Reason: My company want to pay to the vendors according to profit center not with company code.
    question:  The additional selections functionality uses table BSEG but profit centre and cost centre are not populated in BSEG on the vendor line item so it will not select anything.
    any solutions please,,
    thanks in advance..

    Hi,
    As profit centers are not getting populated in Vendor Line Items, Free Selection Tab in F110 would not work.
    In case if the payment is required to be done Profit Center wise, enter profit centers in Assignment Field of the Vendor Line Item. While making the proposal, in Free Selection Tab give the value mentioned in Assignment Field.
    Even a substitution can be written to populate the Profit Center in Assignment Field.
    Hope it would work. We are making Profit Center wise payment in the same way.
    Regards,
    Jaymin R. Bhatt
    Edited by: jaymin_bhatt26 on Jun 17, 2010 1:07 PM

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