Material on document splitting pls
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Pls send me material on document splitting.
shyam6 at gmail dot com
Thanks in advance.
Hi Mahesh,
Thanks lot for ur reply.
If I am assiging zero balance account, then at the time of document splitting system will generate the additional line items.But I wan't additional line items. plz refer below expls.
Exps 1 Cost Ctr1 Rs. 5000 Dr
Exps 2 Cost Ctr2 Rs. 5000 Dr
To Cash / Bank Profit Ctr1 Rs. 10000 Cr.
When I am splitting the doc. system will show below.
Exps 1 Cost Ctr 1 Rs.5000 Dr
Exps 2 Cost Ctr 2 Rs.5000 Dr
To Cash / bank Profit Ctr1 Segment Rs. 5000 cr
To Cash / Bank Profit Ctr2 Segment Rs. 5000 Cr.
I want another information, if suppose I will activate the document splitting. is this will affect the all documents or not.
Plz guide me above issues.
Thanks
Amar
Similar Messages
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Document splitting material...
Hello ALL,
Can any one send me Document Splitting Documents to my mail id: [email protected]
Thanks in Advance and Appreciate your help.
Regards,
Sai.
Edited by: fico sap on Mar 9, 2008 12:28 AMBelow mentioned are the settings for configuring FI - Document Split.
To use document splitting, you need to make preparations and settings in Customizing.
Process Flow
Preparations: Before you can activate and use document splitting, you need to have created certain datasets for the existing documents. To do this, you need to migrate open items for document splitting. Add any missing document splitting characteristics in the documents to be split. This is obligatory if you have set these characteristics as required entry fields in document splitting
Standard Customizing Settings: You make the general settings for document splitting here.
Classify G/L Accounts for Document Splitting
You need to classify the individual document items so that the system knows how to handle them. You do this by assigning them to an item category. The item category is determined by the account number. In this IMG activity, you need to assign the appropriate accounts.
2. Classify Document Types for Document Splitting
Every business transaction that is entered is analyzed during the document splitting process. In this process, the system determines which splitting rule is applied to the document. To enable the system to determine the splitting rule, you need to assign a business transaction variant to each document type.
3. Define Zero-Balance Clearing Account
Here you define a clearing account for account assignment objects for which you want to have a zero balance setting when the balance is not zero.
4. Define Document Splitting Characteristics for General Ledger Accounting
Here you specify to which document splitting characteristics document splitting applies, for example, profit center or segment. The characteristics that you specify should be maintained in at least one of your ledgers. You determine which characteristics are maintained in your ledger by assigning scenarios or customer fields to your ledgers.
You also define how this characteristic is to be handled by specifying, for example, whether you want to apply a zero balance setting, whether the field is a required entry field, and the appropriate partner field.
5. Define Document Splitting Characteristics for Controlling
Here you specify which additional characteristics you want to apply in document splitting. The additional characteristics are not relevant for General Ledger Accounting. Instead, they are relevant for components in Controlling that use documents transferred from General Ledger Accounting.
The selected characteristics are only transferred to the specified line items when the account to which the postings are to be made can also take the characteristics.
6. Define Post-Capitalization of Cash Discount to Assets
Here you define whether the cash discount that is applied in the payment of an asset-relevant invoice should be capitalized to the asset. When you select this setting, the cash discount amount is not posted to the cash discount account in the payment document, but instead directly to the asset.
7. Edit Constants for Nonassigned Processes
Here you define default account assignments (for example, a default segment) for specific line items in processes for which it is not possible to derive the correct account assignments at the time when the document is posted. This is the case if the required information is not yet available when the posting occurs.
8. Activate Document Splitting
In this IMG activity, you activate document splitting. The splitting method used is that delivered by SAP as standard, which contains the splitting rules for the different business transactions. If this splitting method does not meet your requirements, you can first define and then select your own method in Customizing for document splitting (see the next step).
Settings for Extended Document Splitting
Here you make settings so that you can define your own splitting method if SAPs standard splitting methods are not sufficient.
9. Define Splitting Method
Here you define your own method for document splitting. A splitting method contains the rules governing how the individual item categories are dealt with.
10. Define Splitting Rule
Here you define the splitting rules for document splitting. You assign one or more business transaction variants, the account key for the zero balance setting, and the leading item categories for cross-company code transactions to a splitting method.
11. Assign Splitting Method
Here you assign the splitting method to be used for document splitting after activation. If you want to activate your own splitting method, replace the standard method with your own method.
12. Define Business Transaction Variants
Here you can define business transaction variants for the business transactions in document splitting.
Hope this helps you, if this is what you are looking for please assign points.
Saleem -
Classify G/L Accounts for Document Splitting-----urgent
Hi all
Classify G/L Accounts for Document Splitting in this step which g/l account can i assign pls suggest
Explain this account i want to post This entry
40 Purchase service 4000------profit center 1000
40 purchase servise 6000------profit center 2000
31 To vendor -
10000
pls suggest meUse the same Raw material account but when document will split line items will be assigned automatically to the different profit centers
If its a service vendor then post to same expense account
Assign points if useful
Message was edited by:
Ragini Tiwari -
Document Splitting error - only for 1 company code (out of 2 company code)
Hii
We have two company codes: 1100 and 1200. Chart of accounts, chart of depreciation, controlling area are same for both the company codes. Only profit centers are different since both company codes are in two different location.
Document splitting is active in both the company code. (I have checked that node also). Also setting in ACSET (i.e. account assignment) is done for the depreciation area
When i am posting asset acquisition (F-90) and MIGO (for assets PO), its giving me error for document splitting. This error is given only for company code 1100 and not for 1200. All other transactions (including FB60) are working properly in both the company codes.
What can be error ? Is there any error in asset master creation or vendor master.
Please help.
I CHECKED IN EXPERT MODE IN SIMULATION. THEIR PROFIT CENTER IS NOT VISIBLE IN ASSET LINE ITEM. PLEASE HELP
Edited by: Deepak Agrawal on Jul 29, 2011 4:02 PMHi,
pls. write completeley which error message you get.
Kind Regards
Tarik -
Document splitting issue while posting MIRO transaction
Hello All
I have a piculiar related to document splitting while posting MIRO entry and this issue started after defaulting the profit center
to the tax gl.
The scenario is like this
While posting a vendor invoice document where there is a difference in the invoice value and stock is allready consumedn
hence system will try to post the difference to the material difference account.
The following is the asccounting entries
01 vendor a/c cr 1000
02 gr/ir a/c dr 800 pc from po document
03 tax g/l 180 default pc
04 inventory diff 20
the error message
system is not able to determine the profit center at line item 04 and message is
Balancing field "Profit Center" in line item 004 not filled
The document splitting settings are all standards related to vendor invoice ..................
One important point to be noted here is that this issue is come after defaulting the profit center at tax gl.
But we cannot remove those default pc also.
Can be their any solution on this
Kindly suggest
ThanksHi
In addition to my previous mail i want to add that
i tried to add even expense item category to splitting rule of business transaction and transaction variant.
Even then it doers not work.
other then is as per standard document splitting rule the expense item category is not included in invoice verication buisness transaction.
Thanks
alok -
Hi experts,
I am posting vendor invoice, while saving system is giving the following error:
Doc.Type : KR ( Vendor Invoice ) Normal document
Doc. Number Company Code 6000 Fiscal Year 2010
Doc. Date 23.09.2010 Posting Date 24.09.2010 Period 06
Calculate Tax
Doc. Currency INR
Itm PK Account Account short text Assignment Tx Amount
1 31 LORD Lord India Chemical 11.025,00-
2 40 58102000 "Statnry, pr-Adm" C7 10.000,00
3 40 13113936 Input VAT Credit Non C7 1.250,00
4 50 13113942 W Tax-194C Payable 225,00-
while simulating system is showing the document correct, but while posting giving error message:
"Balancing field "Profit Center" in line item 003 not filled
Message no. GLT2201
Diagnosis
The field Profit Center marked as balancing is not filled with any value in line item 003, even after document splitting.
System Response
The document cannot be posted.
Procedure
First check your entries.
Additional causes could be:
No value can be derived for this field from the current document data.
You have entered a document type that is not designed for this business purpose.
Procedure for System Administration
Customizing"
I have checked the document splitting configuration, the GL account is assigned in "Classify G/L Accounts for Document Splitting" and other document splitting configuration has been done.
Please any one suggest, what could be the reason?
regs,
rameshyes, it is assigned:
13113800 13113899 05100 Taxes on Sales/Purchases
13113900 13113959 05100 Taxes on Sales/Purchases
also assigned to base item categories:
Splitting Method 0000000012 Splitting: Same as 0000000002 (Follow-Up
Business Transaction 0300 Vendor invoice
Business Transaction 0001 Standard
Item category 05100 Taxes on Sales/Purchases
Dependence on leading item No change
01000 Balance Sheet Account
01100 Company Code Clearing
06000 Material
07000 Fixed Assets
20000 Expense
30000 Revenue -
Business Area and Profit Center In Document Splitting
Hi,
We are using Business area and Profit Center characteristics for document splitting.
In one transaction, the Business area and profit centers are defaulted through the cost center.
The document is successfully split in respect of the business area, but the profit center is not filled, thereby giving error while posting.
Please suggest.Hi,
Actually, we have all three scenarios, profit center, segment and business area..
As suggested, we have checked all field status relevant.. profit center is optional in all cases..
Now, Pls consider the scenario without business area in document splitting characteristics..
If I post an expense, profit center is picked thru cost center and segment thru profit ctr. The vendor or bank line item inherits the characteristic values from the previous line item.
Now, in addition we have business areas in doc splitting characteristics.
Business area, again is populated thru cost centers, along with profit ctr and segment.
The business area gets correctly populated in the vendor line item.. but the profit center doesnt.
Please let us know the reason..
Edited by: Swapvik on Mar 23, 2009 4:07 PM -
Automatic creation of a Material Ledger document
Hi,
I need to automatically create a Material Ledger document with reference to a material and split valuation code, there are BAPI or Function that may I use?
Thanks
Gianmario BelottiHi,
First of all you should maintain transaction OMS2 to allow quantity & value update for the material type & valuation area
otherwise it is not relevant for material ledger.
Regarding how you have to activate the split valuation for a material, please keep in mind the following:
if no valuation category has been assigned to a material (MBEW-BWTTY is blank), and you wish to assign multiple valuation
categories (split valuation) to this material, then the material must not have linked documents and the stock must be zero for both
the current and previous periods.
If you make an attempt to assign a valuation category for this material, error message M3194 will be raised.
Please check the attached note 30656 concerning limitations associated with changing the valuation category.
Please also check note 155874, which outlines what must be performed in order to change the valuation category.
regards
Waman -
HI All,
After I activated Document Splitting, I have posted an Invoice(F-43). It has splitted correctly.
31 Vendor PC1 20,000 Dr
31 Vendor PC2 10,000 Dr
40 Exp A/c1 PC1 20,000
40 Exp A/c2 PC2 10,000
When I'm making payment through F-53, Its not splitting correctly. Below is the enry I am getting.
Its not splitting the amount made from Bank. In F-53, In Profit Center field, I gave PC2.
Pls let me know what mistake I made in Configuration.
and why Its showing Zero Balance Clearing A/c in this entry.
50 Bank A/c 30,000
25 Vendor A/c 20,000
25 Vendor A/c 10,000
50 Zero Balance clearing A/c 10,000
40Zero Balance clearing A/c 10,000
Niranjan YandamuriHi Niranjan,
Split Processor basically does two things: splitting a document line item or adding balancing entries for selected dimentions (profit center, etc). Split Processor determines whether a line needs to be split based on Split Rule. A Sprilt Rule is assigned to Business Transactions, A Business Transaction with a Variant defines which Item Categories are avalable for Split Rule to split or not split.
Here is the documentation for Item Category:
http://help.sap.com/erp2005_ehp_05/helpdata/EN/ee/79c5c00ca249b783bc74fff0e484aa/frameset.htm
Here is the concept of document splitting:
http://help.sap.com/erp2005_ehp_05/helpdata/EN/87/3da04028f40160e10000000a1550b0/frameset.htm
Here is how to configure document split process:
http://help.sap.com/erp2005_ehp_05/helpdata/EN/49/121407cbff280ee10000000a42189c/frameset.htm
Hope this is helpful.
Regards,
Ming -
F-92 asset retirement-where document splitting is active
I have a situation where I have activated document splitting for the characteristics profit centre and segment. When i post an asset retirement however that the customer and the VAT postings do not get populated with profit center and segment. The asset disposal accounts, the assets, the gain or loss on disposal do have the profit center and segment populated.
I have made FSG profit centre required for customer, not required for VAT general ledger accounts
I have made the posting key 01 and 50 FSG- profit centre required and cost centre optional
Where else can i check. as i thought the customer would inherit the profit center from the cost centre in the asset being sold.Hi,
This is surely related to Document splitting configuration
For Document type DR, what is the business trans. and trans. variant assigned ?
I think it should be 0000 (unspecified posting) and then create a new variant and assign the below categories:
Menu: Financial Accounting (New)-> General Ledger Accounting (New) - > Business Transactions -> Document Splitting -> Define Business Transaction Variants
01000 Balance Sheet Account
01100 Company Code Clearing
01300 Cash Discount Clearing
02000 Customer
02100 Customer: Special G/L Transaction
03000 Vendor
03100 Vendor: Special G/L Transaction
04000 Cash Account
05100 Taxes on Sales/Purchases
05200 Withholding Tax
06000 Material
07000 Fixed Assets
20000 Expense
30000 Revenue
40100 Cash Discount (Expense/Revenue/Loss)
40200 Exchange Rate Difference
80000 Customer-Specific Item Category
Assign the new variant to DR document under Financial Accounting (New)-> General Ledger Accounting (New) - > Business Transactions -> Document Splitting -> Classify Document Types for Document Splitting
Hope this helps
Regards
Tarek -
Document Splitting issue - Business Transaction
Hi SDN,
I would just like to seek advise on our issue for Document Splitting, specifically on the business transaction.
We understand that you assign this business transaction to document types.
For our case however, we do have intercompany transactions, wherein we post to an Intercompany AP and Intercompany AR.
That means we both have AR and AP items in one document.
My question now is which business transaction should we assign to this Intercompany Document Type?
I've checked the selections and these are the only business transactions that we can use.
0000 Unspecified posting
0100 Transfer posting from P&L to B/S account
0200 Customer invoice
0300 Vendor invoice
0400 Bank account statement
0500 Advance tax return (regular tax burden)
0600 Goods Receipt for Purchase Order
1000 Payments
1010 Clearing transactions (account maint.)
1020 Resetting cleared items
I would like to seek advise from those who has implemented Document Splitting before.
Thanks!Dear,
I have never tried to consolidate both IC AR and IC AP document type.
Ideal it should be bifurcated as AP and AR because for One company it will be Sale and other will be Purchase.
Please bifurcate the same and then do the configuration related to Document Splitting.
Hope this helps!!
Br Vivek
Pls assign points for appropriately. -
Document splitting issue plz..
hi all,
i have an issue here ;
we are using document splitting based on profit centers.
I posted vendor invoice in a company code 1 and clearing the invoice using company code 2.which will create a cross company posting and in both company codes the documents are posted.
I.E CLEARING CO.CD 1 INVOICE USING CO.CD 2.
IN company code 1 all the profit center assignments are proper.But for the co cd 2 line items the profit centers are not being assigned with the right one.It is defaulting to a default profit center.All the rules are good.But i think iam missing some thing.
Did any one ran into similar situation or any special settings to take care of ???
help me with this.
Regards.
Sai.Dear,
I have never tried to consolidate both IC AR and IC AP document type.
Ideal it should be bifurcated as AP and AR because for One company it will be Sale and other will be Purchase.
Please bifurcate the same and then do the configuration related to Document Splitting.
Hope this helps!!
Br Vivek
Pls assign points for appropriately. -
Document split by profit center
Hi,
We are in a re-implementation scenario.Client is using the older version of SAP and the new version is ECC 6.0.The requirement is to activate the document splitting with profit center and segment as scenarios.(Charecteristics for splitting).As on the cutoff date we take the balances and upload the same in the ECC 6.0 system.The question is how these balances will split.How the customer and vendor line items will split.
Please clarify...let me know if you need further info.
ThanksHello Aravind
Pls check this link
http://help.sap.com/saphelp_erp2004/helpdata/EN/87/3da04028f40160e10000000a1550b0/content.htm
Maybe of some help.
Reg
suresh -
Document Splitting------------------It is very urgent
Hi all
i am woking ECC.6.0 Version
We are Splitting Profit Center wise
I want this entry
Description Profit Center Amount
Rent A/c 1000 2500
Rent A/c 2000 3000
To Vendor 5500
I done below configartion
Can any done suggest me any required configartion important or not
Frist Step
1)Classify G/L Accounts for Document Splitting
In this
i assigned G/l Accounts Like This
Account From Account To Catre
22004 22004 03000
This account my reconcilation Account categroty Vendor
71000 71999 20000
This Account Rent Account Cattegory Expenses
2) Classify Document Types for Document Splitting
I assinged Docment Type Like this
KR Vendor invoice 0300 0001 Vendor invoice Standard
SA G/L account 0000 0001 Unspecified posting Standard
3) Define Zero-Balance Clearing Account
In this step i have n'y done any configartion
4)Define Document Splitting Characteristics for General Ledger Accounting
Here
I activated
Profit Center
I selectedZero Balance Check Box
I deactivated Mandatory Feild
5) Activate Document Splitting
I selected Inactive Check box
Pls Suggests
which configration missed
Pls tell me in FB60 Eg also1. Murali Krishna Aluru
2. Sridevi
3. Suresh Upadhyayula
Pls give suggestion -
Hi ,
can some one explain me the concept of document splitting when it comes to cross company code..how does document splitting work when a document has two company codes or for a cross company document..pls give a small example..
*help me out...looking forward for some inputs and appreciate your help
Thanks in advance.
Sai.
Edited by: fico sap on Mar 3, 2008 5:52 PMHi,
Settings provided in document splitting rules are all standard sap ones.
Please use document splitting method 0000000012 and dont change any of the base item and item category.
Only make the following updations in document splitting node in SPRO:
a) Classify G/L accounts for document splitting
b) Define Zero balance clearing account
c) Define Document splitting characteristics for General Ledger Accounting and ensure to select profit center and segment as zero balance and mandatory field as ticked.
d) Activate document splitting
Apart from these, it is not necessary to change any of the document splitting details.
Assign points if useful.
Regards,
Dwarak.
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