Error while posting material  in MB1c

Hi
how to open finace period in OB52 for period for 002/2009 as am getting error while posting in MB1c the error which am getting are period 002/2009 is not open for account type s and G/L 799999.
Kindly help.
Thanx.

Hi Mukesh
In OB52, you dont specify the GL account, you just open periods for the sub modules within FI.
However, If you are getting an error while posting MB1c it must definitely be due to the MM periods not being opened
Please go to MMRV - input your co code, and execute, it will tell you the current period which is open
If your current period is not open, go to MMPV, input ur co code or codes, enter the new period and execute.
This should solve your problem
Rukshana

Similar Messages

  • Error while posting material using transaction code MB1C

    Hi Experts,
    While I am trying to post material into warehouse its giving warning message initially as : MAT  IS A MISS PART MRP CONTROLLER KNUITZ WILL BE NOTIFIED
    MESSAGE NO: M7133
    Diagnosis
    Material is a missing part of plant
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    MESSAGE NO: L9023
    All the materials that you use within a warehouse no must also be defined for this warehouse no.
    Can Any one please explain me how to resolve this error in detail.
    Thankyou
    SAHER

    Dear Siraj,
    I have extended the material to warehouse numbers as you suggested.  Then I got error as: WM MOVEMENT TYPE 561 IS NOT ALLOWED FOR WAREHOUSE NUMBER.
    then I defined moment type in Logistic Execution -->shipping ---> picking --> Lean WM ---> Define moment types
    Now its giving new error after defining the moment type for store location as: STORAGE BIN DOES NOT EXIST
    MESSAGE: L9009
    Thank you,
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  • While posting material in mb1c i am getting error message period 012/2006

    hi every one how ru n advance happy new year
    while i was posting stock in mb1c i am getting an error message period 012/2006 is not open for account type S and G/L account 799999
    so plz anyone help me in solving this error.
    thanks & regards
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    Hi Venu,
    Advance Happy New Year....
    <b>OB52</b>
    check the fiscal year variant assigned to comapny code and change the periods corresponding to account type blank, S, K to current financial year periods
    spro...img...financial accounting...global settings...document...line item...fiscal year variant...define fiscal year variant
    Also <b>MMPV</b>, Give the current date, company code and Run the transaction code and then try posting the document.
    Hope this Resolves your Issue.
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    <i><b>Mark All Usefull Answers..</b></i>

  • Exchange rate error while Uploading material in MB1C; MovType 561

    Hi Experts,
    I am trying to upload material in MB1C (movement type 561). When I am saving, system is giving following error.
    My company code currency, material master currency is EUR but still following error is occuring.
    "Enter rate EUR /  rate type M for 01.10.2010 in the system settings
    Message no. SG105
    Diagnosis
    For the conversion of an amount into another currency, an entry is missing in the currency conversion table.
    Procedure
    Add the missing entry in the currency conversion table.
    Execute function
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    Do I need to maintain exchange rate inOB08 for EUR to EUR conversion? Or is there any other setting?
    Regards
    Anand

    Hi,
    No need to maintain conversion between EUR to EUR.
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    EUR to USD
    USD to EUR
    INR to USD
    USD to INR
    May be you have to maintain like above.
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    Murali. N

  • Syntax Error while Posting Material

    Hi,
    when posting material the system is throwing a message
    Syntax error in program RGIMF000
    in Include RGIMF000
    in Line 1328
    Last changed by SAP*
    Author SAP
    The data object "GLU1" does not have a component called
    "RSPONSORED_CLASS".
    Is there anyway to solve this?
    Regards,
    Ajit

    Please look at the SAP note : 656431
    Hope this helps you ...
    Symptom
    When you post data, the system terminates with a syntax error in program RGIMF000.
    The error indicates that data object GLU1 does not have a component named RSPONSORED_CLASS.
    Reason and Prerequisites
    The cause is for this problem not completely clear yet.
    Probably program RGZZGLUX, which is to be automatically started for the postprocessing after a system copy, has not run completely or has not run at all.
    Solution
    Check your postprocessing logs to see whether or not program RGZZGLUX has run correctly.
    If the program has not run at all or with errors, inform SAP and indicate how to find the log.
    To eliminate the syntax error, call Transaction SE38 and start program RGZZGLUX for generating structure GLU1 and FI-SL programs.
    It takes a maximum of 5 minutes for the program to carry out the generations.
    Make sure that NO ONE is working in the PRODUCTION system at this time, otherwise documents posted then may disappear. If you are using a test system, this should not be a problem since it is only test data.
    If the problems are still not solved after the successful run of program RGZZGLUX, contact SAP Support again.

  • Runtime error while posting goods in MB1C

    Hi,gurus
    When in MB1C i am trying to post goods.While saving i got message 49 number ranges should be defined.I done it clear in FBN1.So when i am saving posting goods i am getting runtime dump error.So how can i solve this problem
    Regards,
    Suresh

    Please Ensure you have Maintained No ranges in FBN1 & OMBT.
    Go to OMBT and Check whether No Ranges are assigned for Group Material Documents for Goods Movement and inv Diff.
    Regards,
    Ashok
    If the Problem Persists, Please Contact your abaper.
    Regards,
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  • Error while posting goods in MB1C

    Hi All
    I am trying post goods mvt type 561 in t-code   'mb1c'   . I am geting an error message saying:<b>Field selection for movement type 561 / acct 799999 differs for Vendor goods    
    movement (014)  Message no. M7093. </b>   I am sure that there is some FI configuration    
    is missing.  Please guide to setup FI side configuration for this issue.
    Thanks
    Prasead K

    hi prasad,
    try TCODE:OMWB
    and give material number to which u want post goods
    in movement type field give 561 and enter
    then select account assignments button
    next screen select screen layout button
    here u can find the difference field selection for the gl acc and mv type so correct them.
    definitley this will solve ur problem
    thanq
    sandhya.
    Message was edited by:
            sandhya reddy

  • Error while posting mb1c

    He seniors,
    I am getting error while posting stock in T. code- MB1C
    Error- G/L account 799999 dose not exists in company code.
    dear seniors please suggest me what is menu path or t. code and what are the settings I should maintain their
    thanks......

    Dear Sundyeep,
    As already explained,please search in google or forum before posting,you can copy paste your error massege in google,it will provide you the relative links.Read the threads at the top of forum.For your error go through this link:-
    CHART OF ACCOUNTS (MOST URGENT)
    Or use Tcode OBC4 and OBC5 to define and assign field status variant to Company Code.
    Thanks,
    Davinder
    Edited by: davinderpalsingh on Sep 5, 2011 3:04 PM

  • When i am posting material in mb1c  getting error 'posting done automatic.'

    Hi,
    when am posting material in mb1c T.code
    getting error posting can done automatically....
    so forthat we need to do that account determination...
    so i want to know the T.code
    it's asking some Bsx  and  Gbb is missing

    Hello ramesh
    When u r doing movement typp MB1C it is for initial upload of stock with movemnt type 561
    so the entry is -
    Dr Inventrory account                                               (BSX)
    Cr Initial upload of stock / historical upload of stock    (BSA)
    So u need to create Two account assignments in OBYC , one is for BSX and another for BSA
    Both the GL accounts are in assets series , goo1 , post automatically only , open item management , line item display , etc
    Create in FS00 these  two GL accounts and assign in OBYC
    your problem will be solved
    Assign  full points if answer is helpful
    Thanks and Regards
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  • Error while posting depot excise invoice

    Dear SAP Experts,
    We are continually facing the following error while posting "Depot
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    "Error in allocating Depot Invoice number interval not found Number
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    Message no is 8I336
    We have already maintained the number interval for the above object i.e
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    Here is the business process:
    1. First, we make transfer posting thr’ MB1B. We get material doc no
    2. Second, we make selection for RG23D for this material doc thr’ J1IJ.
    RG 23D register gets updated
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    Tushar

    hello,
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  • Error while creating material

    I got an error while creating material "Material does not exist or not activated". Can anybody help me.
    BR//
    Irf

    hi
    I think you have posted your question in wrong place.
    Can you please make your question more clear.
    regards!
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    Edited by: Ramesh kumar.p on Feb 22, 2010 12:48 PM
    Edited by: Ramesh kumar.p on Feb 22, 2010 12:50 PM

  • Error while posting FBS1 via BAPI

    Hi Experts,
    getting below error  while posting FBS1 via BAPI_ACC_DOCUMENT_POST
    TYPE ID                   NUMBER MESSAGE
    E   |RW                  |609   Error in document:  BKPF 10000022440GF3032010 TERCLNT303
    E   |RW                  |609   Error in document:  100000224 AC_DOC_NO
    FB03 Header values --
    Document Number 100000250        Company Code    40GF         Fiscal Year     2010
    Document Date   30.11.2010       Posting Date    30.11.2010   Period          11
    Currency  EUR
    FB03 Line item 1 ( posting key  40 )
    G/L Account     711014
    Company Code    40GF
    Amount          100,00  EUR
    Cost Center     40GF219001
    Quantity        0,000
    FB03 Line item 2 ( posting key  50 )
    G/L Account     167005
    Company Code    40GF
    Amount          100,00 EUR
    Assignment      20101130
    Text            ITEM TEXT 7
    Please tell me what i am missing in below code because of which i am getting  error  in return table
    FORM fill_header.
      CALL FUNCTION 'OWN_LOGICAL_SYSTEM_GET'
        IMPORTING
          own_logical_system = gd_documentheader-obj_sys.
      gd_documentheader-obj_type   = 'BKPF'.
      gd_documentheader-obj_key    = '10000022440GF3032010'.
      gd_documentheader-username   = sy-uname.
      gd_documentheader-header_txt = 'BAPI Test'.               "#EC NOTEXT
    gd_documentheader-obj_key_r  =
    GD_DOCUMENTHEADER-reason_rev =  '05' .
      gd_documentheader-comp_code  = '40GF'.
    GD_DOCUMENTHEADER-AC_DOC_NO  =  '100000224' .
      gd_documentheader-fisc_year  = '2010'.
      gd_documentheader-doc_date   = sy-datum.
      gd_documentheader-pstng_date = sy-datum.
    GD_DOCUMENTHEADER-TRANS_DATE =
    GD_DOCUMENTHEADER-VALUE_DATE =
    GD_DOCUMENTHEADER-FIS_PERIOD = '11' .
    GD_DOCUMENTHEADER-DOC_TYPE   = 'SA' .
    GD_DOCUMENTHEADER-REF_DOC_NO =
    GD_DOCUMENTHEADER-COMPO_ACC  =
      gd_documentheader-bus_act    = 'RFBU'.
    ENDFORM.                    "fill_header
    FORM fill_currencyamount.
      CLEAR T_currencyamount.
      T_currencyamount-itemno_acc   = 1.
      T_currencyamount-curr_type    = '00'.
      T_currencyamount-currency     = 'EUR'.
      T_currencyamount-amt_doccur   = -100.
      APPEND T_currencyamount.
      CLEAR T_currencyamount.
      T_currencyamount-itemno_acc   = 2.
      T_currencyamount-curr_type    = '00'.
      T_currencyamount-currency     = 'EUR'.
      T_currencyamount-amt_doccur   = '100'.
      APPEND T_currencyamount.
      CLEAR T_currencyamount.
    ENDFORM.                    "fill_currencyamount
    FORM fill_accountgl.
      CLEAR T_accountgl.
      T_accountgl-itemno_acc     = 1.
      T_accountgl-gl_account     =  '0000711014'.
      T_ACCOUNTGL-ACCT_TYPE      =  'S' .
      T_ACCOUNTGL-DOC_TYPE       =  'SA' .
    T_accountgl-DE_CRE_IND     =  'S' .
    T_accountgl-tax_code       = 'V1'.
    T_ACCOUNTGL-ACCT_KEY       =
      T_accountgl-item_text      = 'BAPI Test G/L line item'.  "#EC NOTEXT
    T_ACCOUNTGL-BUS_AREA       =
    T_accountgl-costcenter     = '40GF219001' .
    T_ACCOUNTGL-ORDERID        =
    T_ACCOUNTGL-MATERIAL       =
    T_ACCOUNTGL-QUANTITY       =
    T_ACCOUNTGL-BASE_UOM       =
    T_ACCOUNTGL-BASE_UOM_ISO   =
    T_ACCOUNTGL-PLANT          =
      T_accountgl-profIT_ctr     =  'S001'  .
    T_ACCOUNTGL-WBS_ELEMENT    =
    T_ACCOUNTGL-BILL_TYPE      =
    T_ACCOUNTGL-DISTR_CHAN     =
    T_accountgl-ac_doc_no      =
    T_accountgl-acct_type      =
    T_accountgl-doc_type       =
    T_accountgl-comp_code      =  '40GF' .
    T_accountgl-func_area      =
    T_accountgl-plant          =
    T_accountgl-fis_period     = '11' .
    T_accountgl-fisc_year      = '2010' .
    T_accountgl-pstng_date     =
    T_accountgl-value_date     =
    T_accountgl-customer       =
    T_accountgl-vendor_no      =
    T_accountgl-costobject     =
    T_accountgl-acttype        =
    T_accountgl-val_area       =
    T_accountgl-po_number      =
    T_accountgl-po_item        =
      APPEND T_accountgl  to t_accountg2 .
      CLEAR T_accountgl.
      T_accountgl-itemno_acc     = 2.
      T_accountgl-gl_account     =  '0000167005'.
    T_ACCOUNTGL-STAT_CON       =
    T_ACCOUNTGL-REF_KEY_1      =
    T_ACCOUNTGL-REF_KEY_2      =
    T_ACCOUNTGL-REF_KEY_3      =
      T_ACCOUNTGL-ACCT_TYPE      =  'S' .
      T_ACCOUNTGL-DOC_TYPE       =  'SA' .
    T_accountgl-DE_CRE_IND     =  'H' .
    T_accountgl-tax_code       = 'V1'.
    T_ACCOUNTGL-ACCT_KEY       =
      T_accountgl-item_text      = 'ITEM TEXT 7'.  "#EC NOTEXT
    T_ACCOUNTGL-BUS_AREA       =
    T_accountgl-costcenter     = '40GF219001' .
    T_ACCOUNTGL-ORDERID        =
    T_ACCOUNTGL-MATERIAL       =
    T_ACCOUNTGL-QUANTITY       =
    T_ACCOUNTGL-BASE_UOM       =
    T_ACCOUNTGL-BASE_UOM_ISO   =
    T_ACCOUNTGL-PLANT          =
    T_accountgl-profIT_ctr     =  'S001'  .
    T_ACCOUNTGL-WBS_ELEMENT    =
    T_accountgl-ac_doc_no      =
    T_accountgl-acct_type      =
    T_accountgl-doc_type       =
    T_accountgl-comp_code      =  '40GF' .
    T_accountgl-func_area      =
    T_accountgl-plant          =
    T_accountgl-fis_period     = '11' .
    T_accountgl-fisc_year      = '2010' .
    T_accountgl-pstng_date     =
    T_accountgl-value_date     =
    T_accountgl-customer       =
    T_accountgl-vendor_no      =
    T_accountgl-costobject     =
    T_accountgl-acttype        =
    T_accountgl-val_area       =
    T_accountgl-po_number      =
    T_accountgl-po_item        =
      APPEND T_accountgl  to t_accountg2 .
    ENDFORM.                    "fill_accountgl

    Hi Experts,
    getting below error  while posting FBS1 via BAPI_ACC_DOCUMENT_POST
    TYPE ID                   NUMBER MESSAGE
    E   |RW                  |609   Error in document:  BKPF 10000022440GF3032010 TERCLNT303
    E   |RW                  |609   Error in document:  100000224 AC_DOC_NO
    FB03 Header values --
    Document Number 100000250          Company Code    40GF         Fiscal Year     2010
    Document Date   30.11.2010           Posting Date    30.11.2010   Period          11
    Currency  EUR
    FB03 Line item 1 ( posting key  40 )
    G/L Account     711014
    Company Code    40GF
    Amount          100,00  EUR
    Cost Center     40GF219001
    Quantity        0,000
    FB03 Line item 2 ( posting key  50 )
    G/L Account     167005
    Company Code    40GF
    Amount          100,00 EUR
    Assignment      20101130
    Text            ITEM TEXT 7
    Please tell me what i am missing in below code because of which i am getting  error  in return table
    FORM fill_header.
      CALL FUNCTION 'OWN_LOGICAL_SYSTEM_GET'
        IMPORTING
          own_logical_system = gd_documentheader-obj_sys.
      gd_documentheader-obj_type   = 'BKPF'.
      gd_documentheader-obj_key    = '10000022440GF3032010'.
      gd_documentheader-username   = sy-uname
    gd_documentheader-obj_key_r  =
    GD_DOCUMENTHEADER-reason_rev =  '05' .
      gd_documentheader-comp_code  = '40GF'.
    GD_DOCUMENTHEADER-AC_DOC_NO  =  '100000224' .
      gd_documentheader-fisc_year  = '2010'.
      gd_documentheader-doc_date   = sy-datum.
      gd_documentheader-pstng_date = sy-datum.
    GD_DOCUMENTHEADER-FIS_PERIOD = '11' .
    GD_DOCUMENTHEADER-DOC_TYPE   = 'SA' .
      gd_documentheader-bus_act    = 'RFBU'.
    ENDFORM.                    "fill_header
    FORM fill_currencyamount.
      CLEAR T_currencyamount.
      T_currencyamount-itemno_acc   = 1.
      T_currencyamount-curr_type    = '00'.
      T_currencyamount-currency     = 'EUR'.
      T_currencyamount-amt_doccur   = -100.
      APPEND T_currencyamount.
      CLEAR T_currencyamount.
      T_currencyamount-itemno_acc   = 2.
      T_currencyamount-curr_type    = '00'.
      T_currencyamount-currency     = 'EUR'.
      T_currencyamount-amt_doccur   = '100'.
      APPEND T_currencyamount.
      CLEAR T_currencyamount.
    ENDFORM.                    "fill_currencyamount
    FORM fill_accountgl.
      CLEAR T_accountgl.
      T_accountgl-itemno_acc     = 1.
      T_accountgl-gl_account     =  '0000711014'.
      T_ACCOUNTGL-ACCT_TYPE      =  'S' .
      T_ACCOUNTGL-DOC_TYPE       =  'SA' .
      T_accountgl-item_text      = 'BAPI Test 1'.
    T_accountgl-costcenter     = '40GF219001' .
      T_accountgl-profIT_ctr     =  'S001'  .
    T_accountgl-fis_period     = '11' .
    T_accountgl-fisc_year      = '2010' .
      APPEND T_accountgl  to t_accountg2 .
      CLEAR T_accountgl.
      T_accountgl-itemno_acc     = 2.
      T_accountgl-gl_account     =  '0000167005'.
      T_ACCOUNTGL-ACCT_TYPE      =  'S' .
      T_ACCOUNTGL-DOC_TYPE       =  'SA' .
      T_accountgl-item_text      = 'ITEM TEXT 7'.
    T_accountgl-comp_code      =  '40GF' .
    T_accountgl-fis_period     = '11' .
    T_accountgl-fisc_year      = '2010' .
      APPEND T_accountgl  to t_accountg2 .
    ENDFORM.                    "fill_accountgl

  • MIGO error while posting..!!!

    H Alli,
    Getting below error while posting in MIGO:
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    Hi
    Check whether profit centre is assigned to your material at sales general plant data
    If not , then give profit centre  and create a fresh cycle and see
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  • Error while posting a write up for asset belonging to affiliated company

    Hi,
    I am facing an error while posting a write up for an asset which belong to an affiliated company. Error is
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    Hi
    According to this note for document type used, we should not select the 'inter company posting' or 'enter trading partner indicator'
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  • Tax code error while posting Planned delivery costs in Import Scenario

    Hi!!!!!
    I am getting on error while posting Planned delivery costs in MIRO for Import Purchase Order with zero value tax code v0. The error is
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    For Import I defined a pricing procedure which contains all condition types for CVD, Ecess, SEcess, Additional Customs Duty and Others.
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