Pulling data Information from Financial reports- Balance Sheet

Hi,
Our users have generated Balance Sheet reports  in Oracle 11.5.10 and want to know how Finished Goods data is pulled into the Balance sheet. Could anyone guide me as to how I could find this information?
Thanks in advance,
Vasu

Hi Vasu,
>How do i find out what transactions are affecting their balances and thereby affect balance sheet?
Well, as i do not have the Purchasing module, i cannot guarantee but in general you can access GL, navigate to Account/Inquiry, query the desired account and you should have a button that will let you dilldown to que transaction itself.
>In general, Purchase, sales will affect inventory. But, is there a way to see what transactions hit the inventory account ?
Use the same method.
>GL balances will only flow into Balance sheet right? So if the inventory account has any balance in GL that will only come in Balance sheet right?
All natural account balances, no matter their origin, must appers on Balance Sheet. Otherwise it will not match.
Octavio

Similar Messages

  • Pull backend information from Financial Statement Generated Report

    My users created a Balance Sheet report and are asking me how some of the data is calculated by Oracle since they are wanting to match it to another system that is mirrored to Oracle. I am actually looking to see how a certain column set is put together. In our system the column set is Balance Sheet External and when you click "Define Columns" the Amount Type under Balance Control is BAL-Actual(FY Start). How do I find where this is pulling it's data from?
    We are using 11.5.10.2
    Thanks,
    Jon

    Hello.
    Without knowing exactly which information you want to retrieve is difficult to give you an example. Are you searching for the balances of a certain account in a certain period? Beggining balance? Period balance?
    Octavio

  • How can I print Essbase database notes information in Financial reports?

    How can I print Essbase database notes information in Financial reports? As a requirements, I need to print certain database information in reports such as application refresh date/time and data source - from where my database is updated from.
    Edited by: 872346 on Jul 13, 2011 1:50 PM

    Unfortunately, none of those text functions are going to pull the database note. Hardly anything does other than the add-in.
    Maybe the OP could stick that information into an LRO? Then he could use CellText to get the info out.
    Regards,
    Cameron Lackpour

  • China cashflow report/balance sheet available as Smartforms/Sapscript?

    Hi Gurus,
    We have EHP6. There are the following PDF Forms available for China local requirement
    Cashflow report/Balance sheet/Voucher print/Ledger print
    IDCN_CASHFLOW, IDCN_ACC_BAL, IDCN_ACC_DOC, IDCN_BSAIS
    The issue is, we do not have ADS installed, so we are looking if these forms are
    available for Sapscript or Smartforms. Are they?
    Rgds
    Dieter

    However just to clarify
    You created a multiprovider based on the virtual provider?
    The use of the baldep flag is used to move debit liabilities to assets etc and it does this via a virtual cube
    The virtual cube has a function module which reads the base GL cube then in memory and in abap plays aroudn with the data moving the values between FSV nodes and then throws it at the users
    You cannot do this in query desginer without doing a IF statement hardcoded for every entry in the FSV (ie not practical)
    the function module hanging of the virtual cube is hard coded with the cube name in the import/export parameters of the function module and the code itself has hard coded field names in it!
    So my advice - try and feed the standard FIGL cube with your data - thn use the std virtual cube on top of that
    Otherwise you are going to spend the next 3 months deep inside the virtual cube function module trying to copy to z version and changing all the code line by line
    (he says from personal experience of trying to get this to work with a bespoke cube - I gave up!)

  • Can I recover my data information from excel file?

    For any reason I already lost (clear all) my data information, have any option where import the data information from excel file to view responses sheet? or , how, can I recover my data information?
    Antonio

    If you had saved your Excel file, then you may revert the Excel file to the last saved version. Follow below steps to do this:
    On the File tab, click Open.
    Double-click the name of the file that you have open in Excel.
    Click Yes to reopen the Excel file.
    If you had not saved Excel file, then follow below steps to recover your file.
    Click the File tab.
    Click Recent.
    Click Recover Unsaved Workbooks.

  • "iTunes was unable to load class data information from sync services"

    I own iTunes 10.5 beta 3 64-bit for my 64-bit windows 7 pc, and it gives me this message whenever I try to sync ANY of my devices: "iTunes was unable to load class data information from Sync Services". I own an old iPod video and an iPhone 4 with iOS 5 beta 3. I've tried uninstalling all Apple products, searching through my hard drive and deleting everything Apple, cleaning the registry, EVERYTHING. I've reinstalled at least 4 times now. The problem refuses to become fixed. I've searched every article online possible, and none of the solutions have worked. Is there anything I can do to get my stuff back on to my devices???

    In the course of your troubleshooting to date, have you worked through the following document?
    iTunes for Windows: "Unable to load data class" or "Unable to load provider data" sync services alert

  • Oracle Financial Services Balance Sheet Planning Installables

    Hi Everyone
    Can anyone let me know where can we find Oracle Financial Services Balance Sheet Planning Installables (Software to install)
    I am not able to find in
    Oracle e delivery -> Oracle enterprise management
    Can you please navigate me to that software
    Thanks in advance

    Hi John,
    Thanks for the quick reply
    I have gone through the guide
    BSP will not work in Windows Environment ?
    I have installed and configured Hyperion Planning 11.1..2.3 .500 , But not able to find Hyperion PS3 bundles BSP 6.1 files
    In guide its mentioned like this
    Installation of BSP 6.1 on Hyperion Planning PS3
    Hyperion PS3 bundles BSP 6.1 files. Installing Hyperion will only deploy the
    BSP files. BSP needs to be subsequently “initialized” in order to access it.
    If CAPEX and/or WORKFORCE applications are required, initialize CAPEX and/or
    WORKFORCE after BSP initialization is complete.
    Note: For PS3, sequence of initialization to be BSP, CAPEX, and then
    WORKFORCE.
    Thanks

  • Meta data information from dynamic web page

    Dear all,
    for website searching, we should put the meta data in every page, in my case
    i have to get the data from dynamic page(data are coming from database).
    So, how can i meta data information from dynamic web page
    kindly suggest.
    thanx,
    R. Ramasubramanaim.

    Build your web application with BSP, that's all I can say...

  • How do I fix 'iTunes was unable to load data information from Sync Servises'?

    when I try to Sync my iPod touch 4 I have a error 'iTunes was unable to load data information from Sync Servises.Reconnect or try again later' or 'iTnes could not back up the iPod becouse the backup sesion failed' how to fix it? please help...

    What i found with this error was i was running MS office 2010 64 bit. i had the exact same error and spent days trying to resolve this issue.
    I found that other people were haveing the ssame trouble and they suggested to uninstall itunes and reinstall itunes whichdidnt work.
    The problem i had was that i had several conflicting tool bars installed. I uninstalled all of these toolbars and everything was running fine again. all syncing and data was working fine.

  • XL Reporter Balance Sheet UK

    Hi all,
    The XL Reporting Balance Sheet that we have in our business in SBO doesnt seem to do what we need it to do. Does anybody have a different version either purchased or created that they can share?
    Regards,
    Gerry Porter

    Hi Garry,
    Which part of the report you don't like?
    Thanks,
    Gordon

  • VBA to pull from Financial Reporting Studio/Reporting and Analysis Framework

    Hi all,
    I just started using Financial Reporting Studio, and I did a lot of research online to try to answer the questions I have below but to no avail, so I'm hoping I can get answers from the experts here.
    1. I was wondering if it's possible to use SmartView VBA to pull a report from the "Reporting and Analysis Framework" onto Excel? If yes, how?
    2. When I tried to pull lots of data from "Reporting and Analysis Framework" onto Excel using SmartView, it keeps getting the error message "New report failed to insert properly". Is there a way around this? Essentially, what I'm trying to do is pull the Expense data (Actuals, Budget, Forecast) from year 2011 to 2015 (by month) for every department (with each department being on its own worksheet using the split feature). If I reduce the number of departments or columns, it'll work, but when I try to keep everything, it fails.
    Thanks for your guys' help!

    Hi there,
    There is VBA manual for smartiview application however I am not sure that you will be able to automate the retrieve of a report.
    Check chapter 19 of http://docs.oracle.com/cd/E12825_01/epm.111/sv_user.pdf
    Regards,
    Thanos

  • Financial Template Reports (Balance Sheet) - Auto appearance of running profit figure

    Dear Experts,
    I am working on SAP 9 Business One.
    I have prepared a Customized Balance Sheet through the Financial Report Templates for presentation purposes. But when I run the balance sheet using the Financial Template Report, the balance sheet doesn't match.
    I have found out the reason i.e. The running profit figure doesn't appear automatically.
    Someone please guide me on how to bring the profit figure automatically in the Balance Sheet, prepared through the Financial Report Templates, without running a period end closing as it shows in the balance sheet run with the 'Chart of Accounts'.
    Regards,
    Dharmik Kara

    hi Prasadbabu,
    Try it out this way. Create a new line called "Total Sales" below export sales and local sales and Subtotal" check it. In case, you cannot see the active accounts defined for export sales and local sales, then create dummy titles as parent levels and create the "Total Sales" at the same level as the export sales and local sales. In the subtotal formula, you can select the two sales accounts. After the total sales sub-total, you can go ahead with the other sales accounts.
    Bharath S

  • Intercompany Matching report from Financial Report Studio

    Hello all,
    Im trying to create an Intercompany matching report with Financial Reporting (Hyperion Reports), I've used two grids with identical selections but swapped entity and icp dimensions.
    With a function I can retrieve this data into one grid and calculate the mismatch, but my question is do I need first to create a System-defined member list for my ICP members?
    As a result of my current report (without the system defined member list) i'm getting half report correct and half incorrect..
    Does anybody else face this problem before? Any comments and help will be highly appreciated.
    Best Regards,
    Jorge

    I've created 2 Member List, both identical either for ICP and Entities, using scripts... and it works well....
    I've Build up the report in this way:
    Grid1 Acct Pay Acct Rec Matching Difference
    ICP / Entity XXX Grid2. Column[A] [A]-
    Grid 2 (Hide) Acct Rec
    Entity / ICP XXX
    Note that the Grid1 is getting the information from Grid2 and doing the matching difference. As a result I'm getting a bit list with about 210K lines, that brings to me all possible combinations with all entities. Basically the final report should have about 1K lines for every month, it means that there is a lot of Zero's on the rows. The solution I've found is use the suppress option, but as a result I've got a new problem!!
    The Fist(Acct Pay) and the 3rd (Matching Difference) Column Looks fine, but the 2nd column that is "linked' with the grid 2 becomes 0.
    And I'm struggling myself to get it done !! eheh If someone know how to get it fix please let me know!!
    Best Regards,
    Jorge

  • Financial Statement / Balance sheet in Periodic Display

    Sirs,
      We want to create a balance sheet with all period amounts displayed in different colums (tcode F.01 , RFBILA00). Can we do this with report writer or do we need to fully create a customized abap report for this.
       output should be
                     Period1     Period2     Period3  ...
       Assets
       GL xxx
       GL xxxx
    thank you in advance

    Hi
    I feel it is better to do using Report Painter or Report writer provided you have knowledge on them
    see the links on them and do accordingly
    Report Writer functions can be accessed from within the Report Painter.
    The difference lies in the GUI of the report painter.
    For Report Painter
    http://help.sap.com/saphelp_47x200/helpdata/en/66/bc7d2543c211d182b30000e829fbfe/content.htm
    For Report Writer
    http://help.sap.com/saphelp_47x200/helpdata/en/66/bc7dc143c211d182b30000e829fbfe/content.htm
    Refer the following links :
    http://www.virtuosollc.com/PDF/Get_Reporter.pdf
    http://sap.ittoolbox.com/groups/technical-functional/sap-r3-other/accessing-tables-using-report-painterwriter-98766
    http://help.sap.com/saphelp_47x200/helpdata/en/da/6ada3889432f48e10000000a114084/frameset.htm
    http://help.sap.com/saphelp_bw31/helpdata/en/66/bc7d2543c211d182b30000e829fbfe/frameset.htm
    Reward points for useful Answers
    Regards
    Anji

  • Financial statement- Balance sheet accounts

    Hi friends,
    In our SAP system there are some interim asset acquisition accounts added to balance sheet which should not have been there. I  removed them by editing the account-> financial statement version.  But still the same accounts are displayed in unassigned accounts section of the balance sheet.
    Please suggest me how can I remove them from the financial statement forever.
    Thanks
    Ramana

    Hi Srikant,
    Thanks for your response, we can exclude those accounts and save as a variant.  But I am wondering if there is a way by which we can eliminate them from the structure.
    Thanks again, Points assigned.
    Ramana

Maybe you are looking for

  • Decimal places in quantity depending on currency

    hi i m doing an alv list display in which i need to display a quantity field with 3 decimal places for some currencies, but for one particular currency such as 'AED' that field should display only 2 decimal places in the output. regards Zarina

  • I created a sync account in 2012 and synced it periodically. In January 2014, my hardrive was reset- how do I pull in my synced info/acct on reset pc?

    I created a sync account in June 2012 and synced it periodically. In early January 2014, I was having some pc issues so I backed up all my data on my pc and dropped it off to Best Buy/Geek Squads. My pc has been repaired and returned back to me today

  • Batch determination & Batch Management

    Hi Gurus, Can anyone plz send me the batch determination screen shots in SD point of view urgent to my mail [email protected] Thanks

  • IBooks to iPhone

    I have successfully updated my 3G iPhone to OS4 - finally. I have installed iBooks. I have told both my iPad and iPhone to store books in iTunes to sync. Both apps asked me if I wanted to do that when I opened them. My question is how do I get the bo

  • Mailsession Multicast Error!!

              I need to use the javax.mail.Session class to send mail.           It works on a normal WL server, but not on a clustered server.           On the bottom of my cluster weblogic.properties file I have something like           weblogic.resour