Vendor/Customer Balance Carry forward

Hi
is it require to forward the vendor/customer balance in the year end
if no ,what is the reason?

Hello,
You don't need to post carryforward balance. But after year change you must run a report for balance carryforward. This report transaction is F.07 for customers and vendors. This report fills LFC1, LFC3, KNC1, KNC3 tables. If you don't run this report you can not get correct data from FK10N or FD10N transaction.
I hope it helps to you.
Regards,
Burak

Similar Messages

  • F.07 customer balance carry forward doubts

    Hi folks,
    i have some concerns about T-code F.07.
    1. Can we run this Tcode more than one time for a particular customer account for the same fiscal year? If it's allowed what will happen?
    2. For the record in KNC1 table, if we run the F.07 twice, what will happen? will the system created two records, or the second run will update the first run. eg. the first carry forward have the amount 400. and after carry forward this is another invoice posted wit amount 100 with the posting day in the previous fiscal year, so will this 100 carry forward automaticly? or need to run the balance carry forward again for this customer ? and what's the records looks like in table KNC1 for these three phase?
    thanks in advance

    Mr. Dave,
    If after the balance carry forward from the Previous year to the current year (whether AR/AP/GL) and an entry is passed in the previous year... if the balances are not getting updated, what could be the reason.
    For example, if a GL Account has a balance of 400 and the balance is carried forward to next year. Then another 100 is passed to the same GL Account but in the previous year. Then according to you (and as per logic), the last year closing balance and the current year opening balance shall become 500. But, after posting this new entry of 100, both the balances remain at 400. and we are again having to do a balance carry forward. What could be the reason for this and how we can avoid this.
    Regards
    Siddique

  • Customer Balance carried forward

    Hi,
    We have customer whose balance is 29000 as on 31.12.2006. The carry forward is done through F.07. But the balance as on 1.1.2007 is 10000. I dont know what has gone wrong exactly. I tried doing F.07 transaction again on Test run Mode. But know it is carrying the difference amount.
    The diifference was observed after 4 months and this with respect to only one customer. Tha balance sheet is tallied.
    I would like to know if run this transaction F.07 again will it have any adverse effects? or it will simply carry forward the difference amount.
    Appreciate your help on this. Let me know if you require any clarification.
    Regards,
    Mallikarjun

    Hi Dasa,
    I would like to come up with a view which i tested.
    I did the carry forward transaction F.07 and then passed an entry in the previous year, for my surprise i saw that it got updated automatically in the opening balance of the next year. this is the reason why i have not gone for an update run in the production server thinking that there might be a duplication of entry.
    In that case it would have got update if any changes have been made in the previous year, but it has not.
    I n common parlance the new values also get updated automatically when you make any changes after running transaction F.07
    Thanks for your insight, let me know if your further insights.
    Thanks
    Mallikarjun

  • Urgent - "Vendor balances carried forward and line items report."

    Hello,
    Is there any report which will give me the vendor balance carried forward and the line items during that period.
    ==============================================
    Format-
    eg: statement taken from 1.8.2006 to 30.9.2006 is required as
    Bal b/f …………………………… 25000 cr.
    3.8.2006 Purchase Inv XXX ……   3000 cr.
    5.9.2006 Payment Chq XX ……  26000 dr.
    Bal c/f ……………………………  2000 cr.
    ==============================================
    Please advise on this.....
    Regards,
    J

    thanks for the response, but i have already tried those transactions.
    FK10N will give me the periodic bal statements and NOT line items display which will also have balance carried forward.
    F.41 and F.43 again gives the periodic and line items...but i want the vendor balances to  be in the format given above..
    like say, account statement.
    Please advise............
    Regards,
    J

  • Customer line items with balance carry forward no opening balance

    Hello FI Experts,
    We have ticket where the user is using a Z* Report for Customer line items with balance carry forward. In 31.01.2007 user has posted some legacy data, latter he was executing this Z* report then user can see the values posted on the same day (31.01.2007) as line items. But he was executing the report on 01.02.2007 then he was not able to see the line item as well as the values posted on 31.01.2007 as opening balance as on 01.02.2007. But if we run the report as on 01.01.2008 then we are able to see the values which are carry forwarded as opening balances. Did anyone have worked on this type of scenario?
    Requirement Here Is:  The values that have been posted on 31.03.2007 which are still open line items should get displayed as opening balance as on 01.02.2007.
    Thanks for helping on this issue.

    Hi,
      Any report will get data from Tables. Please check whether the table you have used to develop this report has opening balance.
    Balance will be carry forwarded only when you run the balance carry forward program. Check whether this was run for the date you have specified. This can be done in the year end.
    If you are checking in the middle of the year, then the balance will not be carry forwarded.
    Regards,
    B. Radhika.

  • Vendor balance carry forward

    Hi all
    Could any one please help in finding out table for vendor balance carry forward , say in case of GL i have FAGLFLEXT the same kind of table for Vendor as well
    Ravindra kumar

    Hi
    Check FBWARI0EA & J3RFASK
    Regards
    Roobal

  • Difference in Balance carried forward

    Hi,
    The ending balance of a retained earning account is zero in 2008. The same account shows a balance carried forward (beg. amount) in worth of -100000 u20AC in 2009, which remains same till to the end of the year. But the balance carried forward of this account in 2010 is -150000u20AC.
    Can anybody help me, how it can happen??

    Hi SIM,
    Balance carryforwards is typically performed in the new fiscal year after the year end close. The cumulative balance for the Balance Sheet accounts from the previous year including activity for P 1-16  are reflected in P. 0. The IIncome Statement accounts are cleared to 0 and no value is reflected in the new year until activity is performed . The net value from the IS are moved to Retained Earnings.
    For the retained earnings account, The transaction typically nets the values from the income statement and moves it into the retained earnings cumulative balance in period 0 of the new year. The value is added to the cumulative balance of the account for the previous year. The cumulative balance for P. 16 of the previous year will not reflect the net value of the income statement.
    Other carryforward transactions are below:
    F.07 Customer and vendor c/f
    F.16 GL c/f
    GVTR Special Ledger c/f
    Edited by: Karen Fontaine on Mar 4, 2010 7:30 PM
    Edited by: Karen Fontaine on Mar 4, 2010 7:50 PM

  • Balance Carried Forward problem

    Hi Experts,
    when running the Ledger for one range of posting period, the customeru2019s line items and cumulative balances are separated into 2 different reconciliation accounts.
    While running for the next yearu2019s posting period , the Carry Forward Balances of Customers from previous year are aggregiated into one G/L account ,other account 0 balance is carried forwarded.
    My program is fetching from table KNC1 which will have Balance carry forward of the two combined accounts which is going to 1st account.
    Please let me know any table or FM where I can get Balance Carry Forward with passing Fiscal Year, Customer Code, GL Account_.( KNC1 table doesn't help in my case)_
    Please let me know.
    Thanks and Regards,
    Kiran.

    First look at [Fiscal Year Change Documents|https://websmp105.sap-ag.de/fiscalyearchange]
    Then look for those BAPI
    - BAPI_AR_ACC_GETCURRENTBALANCE  Closing balance of customer account in current fiscal year       
    - BAPI_AR_ACC_GETKEYDATEBALANCE  Customer account balance at a key date                           
    Regards

  • Financial reporting and balance carry forward at Line item level

    Hello
    We are in the process of implementing a new GL and using it to create Balance Sheet and P&L statements in BW.
    We have installed the new datasource for GL line items 0FI_GL_14 and loaded the data to a DSO. Installed the 0FI_GL_10 (totals infosource) as well.
    Also we created a custom infocube on the line items DSO and want to use it to report against a Financial Statement Version. In order to do that we created a
    virtual cube with the FM and added the necessary Financial Statement Item and other key figures in the virtual infocube.
    Now I want to know is it the correct way to create financial reports?
    Can we load totals and Line items to the same infocube? Do we have to load totals to a different DSO/Cube or same Cube?
    How do we address the Balance Carry Forward on the Line items cube? Since the balance carry forward is done on totals only, and the cube I created is a detailed cube is it possible to carry forward balances at that level?
    Also can someone let me know what is the best approach to create financial reports and give drill down capability at the document level?
    Thanks in Advance
    Raju Kosuru

    Now I want to know is it the correct way to create financial reports? 
    NO .. Its not.
    Can we load totals and Line items to the same infocube? 
    NO
    Do we have to load totals to a different DSO/Cube or same Cube?
    Yes.. SAP has delivered C10 for Totals and O14 for line items... No point in creating cube for line items i.e. on top of O14.
    Balance carry forward can be done on  totals only (that is how totals extractor _10 is designed), U can not do that on the Line items. Pls contact functional consultant for clarification
    Best approach is RRI (Jump targets) for _10 report to _14 report to give drill down capability at the document level.

  • Balance Carry Forward & Break Down Category

    Dear collegues,
    When we run Balance Carry Forward task system uses movement type default value (defined in WORKBENCH > MASTER DATA > SUBASSIGNMENTS > DEFAULT VALUES) in items to which the movement type is required in accordance with the Breakdown Category.
    Does anyone knows how is it possible to define a diferent default movement type just for this task?
    What happens now is that every time we need to carry out a balance forward we must perform a customizing change.
    Thanks
    Célia Guerra

    One suggestion is to change the movement type master data to determine the carryforward values.
    However in this case it appears that the breakdown may have been changed after some data was loaded with blank movement types before making it required. In this case I suggest you change the breakdown to required with default not allowed and execute the breakdown check in the workbench for the prior year. This will allow you to enter the desired movement type values after which you may re-execute the balance carryforward.

  • Problem after balance carry forward with t-code: FAGLGVTR

    Hi,
    I have run that t-code: FAGLGVTR for balance carry forward. Balance transferred correct according to GL Account but when I run t-code u201CS_ALR_87012082u201D for vendor balance for respective recon GL code its show difference. Please let me know how I am make it OK.
    Thanks & Regards,
    Hemant Maurya

    Hi hemant,
    There might be some differences between Recon Gl account & individual vendor balances, this is because when you do the FAGLGVTR & after dat again if u post some open invoices then in Recon.Gl account,balances will get automatically updated but not in vendor balances so what you have to do is RUN F.08 again & carry forward the vendor balances then only both these will be on same platform.
    Thanks & Regards
    Anuj Agarwal

  • Reg balance Carried forward in F.27 Accounting Statement Print

    Hi experts,
    We have generated a SAP Script for Accounting Statement print ( F.27 ) for vendors. We have used structure RF140 for
    the necessary fields. For balance carried forward, SALDO in RF140 structure( balance in document currency ) gives
    me the correct value. But i'm unable to trace whether the balance carried forward is debit or credit. How to check whether
    this balance is debit or credit.
    Thanks in Advance.
    Regards,
    Farhanaz.

    hi ,
    check tcode FK10 might help you.
    regards
    Prabhu

  • Balance Carried Forward in Document Currency

    Hi, Experts,
    In My Customer Account Statement I need the Field in
    "Balance Carried Forward in Document Currency"
    Present in my Report "Balance Carried Forward in Local Currency"
    In this field Having the table KNC1. But in this table "Balance Carried Forward in Document Currency" field is not there i need this field.
    Thanks & Regards,
    Sreedhar.

    Hi,
    As long as both the Document and Local currencies are same, the fields
    "Balance Carried Forward in Document Currency"
    and
    "Balance Carried Forward in Local Currency"
    are same.
    So first check both the currencies are same or different.
    check for the WRBTR field in fi Tables LIKE BSID,BSAD this is the doc currency
    and the field DMBTR is the local currency field.
    reward if useful
    regards,
    Anji

  • GL balance carry forward special period 13 to new fiscal year and Rec acct

    Hi,
    would like to seek for your advice as below question/problem.
    a) User now is doing the year end closing. Normally the closing is up to the period 12 and for the purpose of track the adjustments made by the management and auditors user post to period 13 2008 from the pervious financial year. Our concern is when perform the GL Balance carry forward to new fiscal year which is 2009 does the system carry forward the GL adjustment figure from period 13 to the new fiscal year on top of that when we perform the GL balance carry forward to new fiscal year 2009 and later on find out there is an audit adjustment that need to done and user post in the period 13 fiscal year 2008 can the adjustment auto post to the new fiscal year?
    b) Can we change the Rec account in the vendor master as currently user need to change the vendor from difference Rec account which from joint venture to subsidiary account code? If involve the SPRO configuration how where should we configure? After we change the configuration does all the posting from one Rec account subsidiary will auto post to another Rec account Joint venture?
    Kindly advice.

    Hi,
    Thank you for the prompt reply.
    a)could you provide the path/T-code to view the  vendor master activity screen layout configuration field status for reconciliation account should be Optional.
    b)Beside,what the impact of change the reconciliation account from one to another? It is neccesary/must to do the balance sheet adjustment for change the reconcilation account?
    Can we post the balance through the manual JV (F.02)with the document type is ZD(Debit Note) to post the balance of old reconciliation account to the clearing account and then change of the reconciliation account to the new account then reverse the posting of the JV? By doing so what is the impact in the system? In this scenarion do we need to do the balance sheet adjustment?
    c) You mention balances from the old recon will not be posted to the new reconcilation account unless I do a balance sheet adjustment it is mean after I run the balance sheet adjustment the balance from the old reconcilation account will auto post to the new reconcilation? What other impact will effect the system?
    d) If the company never run the balance sheet adjustment before and due to the scenerion mention above they run the balance sheet adjustment for the first time what are the impact in the system for the company that only have one business area and also for the company which have more than one business area?
    e) What are the prerequisite step/configuation/setting need to be setup in order to run the balance sheet adjustment as the company perviously never run the balance sheet adjustment before? Kindly provide reference/document/guide.
    e) Change of reconcilation account does it related/impact to the account group of vendor master?
    Please help.

  • Table Balance Carry Forward per Trading Partners

    Dear all,
    Currently, I need to build a report that list detail Trading Partners per G/L Account transactions and per equity type also.
    But I have a problem in retrieving amount Balance Carry Forward per Trading Partners.
    I have checked through Table JVTO1 but it only retrieve total Balance Carry Forward and cannot be detailed per Trading Partners.
    Could you please advice me any tables for Balance Carry Forward that can be detail listed by Trading Partners (or can be linked to Trading Partners)?
    Thank you!
    Thanks,
    John

    We faced the same issues before and we had 2 environments i) still on R/3-GLT0 ii) with New GL -FAGLFLEXT . On the R/3 environment we created a new Special Purpose Ledger and activated the summary updates only key fields- sort of like an extended version of GLT0. The R/3 environment worked quite well.
    Whereas on the New GL we thought it was working but it seems we need to activate and Assign Scenarios and Customer Field to Ledgers using Scenario FIN_CONS(filed RASSC) and assign to ledger 0L.
    The problem that we had with New GL-FAGLFLEXT was that unlike Special Purpose Ledger we are not able to recalculate and repopulate the field RASSC Trading partner since it was a std table. Therefore if you want to look at historical postings then this solution will have this drawback , it can only keep track of future updates of RASSC-Trading Partner in FAGLFLEXT. 
    We tried to activate the Special Purpose Ledger in NewGL but it was not easy due to the Doc Splitting rule and a hosts of other OSS notes that need to be tested and implemented. Good luck trying to implement Special Purpose Ledger in NewGL.

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