Is it possible to see cash flow statement in sap fico ? ;How

Is it possible to see cash flow statement in sap fico ? ;How

Re: Cash Flow statement
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  • Regarding cash flow statement direct method In FSCM-LP

    Hello Every one,
      I got information form SAP japan That we can View cash flow statement direct method but as per my point of view we can see the reports in FSCM-LP of cash flow .
    Can any budy tel me is it possible to see cash flow statement direct method in FSCM-LP module if yes then please guide me how?
    Thank you
    Deepak Pawar

    Hello,
    Yes, you can get the cash flow statement (direct method) in Liquidity Planner.
    Define the liquidity items for Operating cash flows, Investing cash flows and Financing cash flows. Then, configure the assignment mechanisms for liquidity items (based on account statement, FI postings, Invoices). Then, define queries.
    Operating cash flow would include items like sales of goods and services, payments to suppliers etc. Investing cash flows would include items for sale  and purchase of property, plant and equipment, etc. Financing cash flows would include items for debt issuance, dividends etc.
    Manish

  • Cash Flow statement and Different TDS Forms

    Hi Gurus,
    Is it possible to get cash flow statement and different TDS forms (16A,27A,26Q etc)?
    If yes How?
    Thank You

    No replies

  • How to prepare Cash Flow Statement ?

    Dear All,
    I have performed these following steps to get Cash Flow Statement But not getting how to deal with step
    number 3.
    Can any one please tell me how to configure this step 3,  or what exactly to do in FSI1 ?
    I copied standard form i.e. 0SAPRATIO-04 in FSI4 and created new TEST 1 for my system.
    changed FSV to 1000 which is define in my SAP system.
    The steps I have performed :-
    1) FSI4 => Form type: Financial Statement Key Figures => Copy Form: Name and Text for the new form
    Copy from: 0SAPRATIO-04
    2 ) FSI5 => find and double click the new form just created => Edit Gen. data selection => change the FSV to what you want to use
    3 ) FSI1 => Report type: Financial Statement Key Figures  => Create Report: Name and Text for the new report With form: Name of the new form details please refer to standard SAP report 0SAPRATIO-04
    4 ) FSI3 => find and excute the new report to check if you can get the result you want
    Please help.
    Regards,
    Pankaj.

    Hi,
    I executed that said T.code it's for Cash Journal , I want Cash Flow Statement.
    I used the following T.code for Cash Flow Statement :-
    S_ALR_87012271   For  Direct Cash Flow Statement.
    S_ALR_87012272   For  Indirect Cash Flow Statement Variant 1.
    S_ALR_87012272   For  Indirect Cash Flow Statement Variant  2.
    and after inputting all details in fields and execution the result shows message line that *No records
    were selected.*
    How to deal with this ?
    Please help.
    Regards,
    Pankaj.

  • Cash & funds flow statements in sap

    hi can any one provide customisation for funds flow and cash flow statements in sap, if any one having related documents please mail me at
    [email protected]
    thank u.

    Hi,
    Fund management is a part of Public Sector Management. Here is the link to cash management:
    http://help.sap.com/erp2005_ehp_03/helpdata/EN/cf/6fee14414f11d182b10000e829fbfe/frameset.htm
    Use Search Help fucntionality to find the required topic in SAP manual.
    Regards,
    Eli

  • Cash flow statement implementation - how did you do it? GL or other modules

    I would like to see the various ways you have successfully implemented a cash flow statement in the past.
    1) So far, the only one I did involved ABAP reporting using logic to group gl accounts and filtering transactions etc.
    2) Also, I've vaguely read that standard SAP's GL Lcash flow statement involves configuring a FSV which involves proper gl account structure to differentiate non-cash and cash related gl accounts.
    3) I've heard some projects used document types or document text fields or new fields to differentiate line items (cash or non-cash)
    Let's hear how you've done it with details if possible. Thanks.

    Hi
    Yes it involves GL Accounts Cash flow with configuring a FSV in SAP according to business requirement direct or indirect method.
    Rgds
    vani

  • Cash flow statement s

    during executing cash flow statement in s_alr_87012271
    am getting this error
    On account of a branch in the program
    (CALL FUNCTION/DIALOG, external PERFORM, SUBMIT)
    or a transaction call, another ABAP/4 program
    is to be loaded, namely "GP49SNFFUFI1SPKG9SLN2QU13W0".
    However, program "GP49SNFFUFI1SPKG9SLN2QU13W0" does not exist in the library.
    Possible reasons:
    a) Wrong program name specified in an external PERFORM or
       SUBMIT or, when defining a new transaction, a new
       dialog module or a new function module.
    b) Transport error
    help me out in this

    Hi
    You execute T code S_ALR_87012271
    it will show you no records were selected
    Click on the forms
    edit ==> general data selection ==> general data selection
    you can see there which FS is used.
    Then click on each item to make changes
    it pulls data from the form defined
    regs
    sunoj

  • Cash Flow Statement

    Hello,
    I need a document stating the configuration of a Cash Flow Statement (Direct / Indirect).
    Also, special information on how formula components are used or configured. When i tried to create a cash flow I could see there are some defined formula components like Z001, Z116 ...etc....
    regards,
    Sameer

    Hi Sameer,
    Please find below links for your needful:
    Re: Cash Flow Statement Direct Method
    http://help.sap.com/saphelp_ides/helpdata/en/6e/1220c59f0411d189b80000e829fbbd/content.htm
    Regards,
    Santosh

  • Cash flow statement...shows zero

    Dear all,
    When i run cash flow statement report, it shows zero only. I have enabled cash flow in the GL account. What else did i miss in the configuration?
    Here attached the screen thanks.
    http://home.netvigator.com/~raylamhk/snap1.jpg

    Hi,
    It looks that there is something going wrong in designing your Cash flow Statement.
    You need to create a FORM in FSI4 and assign the same to report in FSI1.
    You can see some of the standard cash flow forms in FSI5 or FSI6.
    In your element definition, you need to pick the FS Item from Available characteristics to Selected Characteristics. FS Item is nothing but the node in your Financial Statement Version (FSV). You can see the FSV that has been created for your Chart of Accounts (COA) in OB58.
    You should have a proper format for the Cash Flow Reporting for example:
    1) Sales Revenues
    Minus
    2) Material Disbursements
    Minus
    3) Personnel Disbursements
    Minus
    4) Financial Charges
    Plus
    5) Other Incomes
    Minus
    6) Other operating disbursements
    Minus
    7) Taxes from Incomes
    =
    CASH FLOW
    Like this you design your Cash Flow reporting then you start adding / substracting the nodes. Before, starting this activity, I would recommend that you go through your FSV and make sure that it is complete in all respects.
    Regards,
    Ravi

  • Cash flow statements

    gurus,
    how to take cash flow statements for current and previous years with all schedules including supporting the all line items,request you to explain the process involved
    regards,
    rajen

    Please see the following reports:
    S_ALR_87012271
    S_ALR_87012272
    S_ALR_87012273
    Regards

  • How to prepare cash flow statement (Direct Method)?

    Dear Master,
    I go through forums I got below the some points, this point I couldnu2019t understand.
    Please explain detail how to prepare in cash flow statement (Direct Method).
    Cash flow statement ( I Got some points)
    Create a form using FSI4 - Refer standard forms available in FSI5 and FSI6.
    Create a report by using FSI1 (assign the form that you have created FSI4) - Refer standard reports available in FSI2 and FSI3.
    Please make sure that you have completed your Financial Statement Version in all respects, before designing your cash flow statement. OB58.
    0SAPRATIO-04 Cash flow (direct) Form
    0SAPRATIO-04 Cash flow (direct method)
    You should know what format you would like to see in the cash flow statement.
    You should use the FS items accordingly copy the standard forms and changed according to your format.
    You should be conversant enough to do basic report painter.
    Thanks & Regards
    Selva

    Selva,
    The tool you are looking for is SAP Liquidity Planner. We have succesfully implemented direct cash flows in SAP ECC 6.0 with this tool and it works like a charm. Cash flow calculation is done in SAP ECC and reports in BW (optional). You may also complement your cash flow model by using BW-BPS for future cash flow planning and forecasts.
    Please refer to SAP Help Online Documentation link regarding the Liquidity Planner (LP is part of SAP Financial Supply Chain Management - FSCM):
    http://help.sap.com/erp2005_ehp_04/helpdata/EN/47/f23d4050d89523e10000000a1550b0/frameset.htm
    Direct Cash Flow calculation had long  been a lagging issue in SAP R/3 until the arrival of the Liquidity Planner. As far as I know, before this there was no straight-forward solution for the direct method. You might be going down the wrong path by asuming that building a Direct Cash Flow is just a "reporting  issue". I strongly suggest you take a look at the Liquidity Planner before anything else.
    Let me know how it goes.
    Regards,
    Rodolfo Bermúdez Neubauer

  • Generating cash flow statement

    Dear friends
    We need to generate cash flow statement as per the accounting standard.How to get that.
    Again if it is not possible to generate as per accounting standard then pl. tell in the normal way.
    Thanks
    Shivaji

    Dear Shivaji,
    You can check the following SAP standard reports: S_ALR_87012271
    S_ALR_87012272
    S_ALR_87012273
    but in order to use it, you need to first define your own form and  program as well through t code FSI4 & FSI2 & map your GL account accordingly.
    Regards
    Anuj Agarwal

  • Cash Flow Statement - Opening and Closing balances!

    Dear Friends,
    I have created cash flow statement (Indirect Method) using T code FSI1 and FSI4 (Form)..........but i am not able
    Why wouldnu2019t Cash and Cash Equivalents at the End of the Year (Fiscal 2008) be EXACTLY equal to Cash and Cash Equivalents at the Beginning of Year (Fiscal 2009)...?
    How do we need to set up for Cash for Current year closing balances and Next year's opening balances....?
    Thanks,
    Elan N.

    Hi,
    I tested in ECC6.0 and i could able to do so, you try as mentioned below.
    In the output screen of MB5B, goto menu details > click on list > select save > select file > select spreadsheet. Here you can save tthe output in excel format.
    Regards,
    Prabu

  • SAP Reporting on Cash flow statement

    Hi all,
    in SAP, how can we configure / set up Cash flow statement report, especially for China?  How?
    Thanks in advance.

    Hi Suma,
    No, you dont need to have cash management active in your system to get cash flow and funds flow statements.
    Cash flow report defenition / design would depends on company to company.
    Please go thru the below link to understand basic concept.
    [Cash Flow Statement Example|https://www.zionsbank.com/pdfs/biz_resources_book-4.pdf]
    Hope you must be fully aware of the above concept.
    You can design your own cash flow statement using the financial statement items of your balance sheet in report painter/writer itself.
    But you may need to fully acquainted with the report painter tool first.
    Regardz,
    Srinu

  • Cash Flow Statement - Average Delay Field Effects

    Hi Everyone,
    Can somebody please explain exactly how the average delay on the business partner record affects the cash flow statement?
    I ran a cash flow statement for 7/01/2008 thru 7/31/2008.  I then found an invoice that was to be paid the week of 7/28/2008 (it hasn't been paid yet), and opened up the corresponding business partner record and changed the average delay from 0 to 10.  I then re-ran the aging and nothing has changed.  The invoice still appears in teh 7/28/2008 week to be paid.  Am I missing a step or something?  If I understand correctly, the invoice should have moved into the next week on the cash flow statement as this is when the customer will be paying it according to past payment schedules.
    Thank you for your help.
    Amanda

    Hi Amanda
    I just tested on 2007A PL37 and it worked fine. Moved to week based on due date + average delay. Are you sure you ticked the "Consider Delays in Payment" box? Also check again if the master record was updated with the average delay value you gave it. Let me know what version of SAP Business One you are running.
    Kind regards
    Peter Juby

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