1KE1 in ECC 6 without activating Document Splitting.
Hi All,
Our Client is using ECC 6 without activating Document Splitting.
Now my question is whether they want to use the normal closing procedure by Executing 1KE1 for Profit Center Accounting transfer to Vendor and Customer update or it is not necessary.
To my knowledge it was working fine, now there are some duplication in KE5Z so i am raising this concern.
Thanks and regards
Praveen.J
Hi,
I am using S_ALR_87012284 to generate my financial statements. But whenever I provide a profit center value in the dynamic selection screen, i will encounter the FAGL_DB007 error.
The error message reads -->
Invalid selection when reading balances in new General Ledger Accounting
Message no. FAGL_DB007
Diagnosis
Read access to balances of New General Ledger Accounting can only be granted to selection conditions for fields in table &V1.
System Response
No balances can be read.
Procedure
Check the selection criteria by calling up the transaction.
Anyway I can overcome this error?
Rgds,
Bryan Goh
Similar Messages
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Report Profit center when active document splitting
hi all!
i have a problem, please help me!
i actived document splitting.
after that i enter an entry:
debit an customer 500
credit revenue 240 (profit center 1)
credit revenue 260 (profit center 2)
after that, use TCode fb03 to display this documnent (general ledger view). i see
debit receivable account 240 (profit center 1)
debit receivable account 260 (profit center 2)
credit revenue 240 (profit center 1)
credit revenue 260 (profit center 2)
and, when i see Profit center report (for Profit center 1), i dont see any receivable account.
so, can you help me how to display this receivable amount in profit center report
thank in advance.Hi,
using New GL and activating "old" PCA is possible, just do the settings in T-Code 1KEF.
But as PCA is an integrated functionality of NewGL why do you want to post this documents again to "old" special ledger?
Guess its more senseful to update your reporting based on the NewGL data source...
Best regards, Christian -
Document splitting in ECC 6.0
Dear Gurus.
We have activated document splitting for our company codes at Business area level. When I post document say vendor invoice, in the expert mode splitting is happening as per the settings. But in document display FB03 or in the vendor line item reports..that splitting is not visible.
Please adv what I need to do?
RegardsHi,
There are two views Entry view and general ledger view. You can see the Document splitting in General ledger view.
Thanks
Aravind
Assign points if useful -
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 with non leading ledger activation
Hi experts,
Thanks for your advance help. we have activated document splitting in my company code pofit center is deriving proprly. for below entry.
1 31 503402 Vinayaka International Ltd. 4100 3,000.00- 0.00
2 40 53080043 ELECT.CHRGS-NON PLT 4100 2,000.00 0.00 4206
3 40 53080043 ELECT.CHRGS-NON PLT 4100 1,000.00 0.00 4207
system is deriving profit center like below.
000001 31 16011002 SUNDRY CREDITORS 2,000.00- INR 4207
000002 40 53080019 BAD DEBTS WRITTEN OF 1,000.00 INR 4207
000003 40 53080043 ELECT.CHRGS-NON PLT 1,000.00 INR 4206
000004 50 19910001 INTER BRCH/DIVN A/C 1,000.00- INR 4206
000005 40 19910001 INTER BRCH/DIVN A/C 1,000.00 INR 4207
in the same way i have activated document splitting in another company code with non leading ledger activation. and posting same transation
1 31 503402 Vinayaka International Ltd. 4100 3,000.00- 0.00
2 40 53080043 ELECT.CHRGS-NON PLT 4100 2,000.00 0.00 4206
3 40 53080043 ELECT.CHRGS-NON PLT 4100 1,000.00 0.00 4207
system is not deriving pofit center and it is giving the below error.
Balancing field "Profit Center" in line item 001 not filled
please advise any configration i have missed out.
any quaries please please let me know.
RegardsHi Venkat,
Even in the first transaction, the profit center has not been determined by document splitting
if the profit center was derived by document splitting we would have seen 2 items for sundry creditors in the GL view
So check your document splitting settings for the corresponding document type, and transaction variant
the account category which includes vendor's recon accounts should be included in "item categories to be edited" list
Regards
Sach!n -
Document splitting: Items for clearing 0010/100062508/2010/001 not found
HI Gurus,
I hava issue with FC valuation. I have done configurtin for FC Valuation of GL A/c i.e, Long Term loan paybles which is created as Open Item management.
It is working fine post the entries at the end of May and reversed the same on 01.06.2010 in development system. i have moved saem request to Acceptance client and testing the same scenario. But i am getting the following error.
"Document splitting: Items for clearing 0010/100062508/2010/001 not found
Message no. GLT0002
Diagnosis
Document splitting cannot perform clearing because it was not possible to find complete splitting information on the items to be cleared (company code 0010, document number 100062508, fiscal year 2010, item 001).
System Response
Clearing cannot be performed and the document cannot be posted.
Procedure
Exclude the affected item from clearing.
It may be that this item was not posted with active document splitting. In this case, this item or document would have to be migrated."
I have checked the docuemnt splitting config . In two systems it was same and doc.splitting was configurated very long back.
Could any one help on the above error
Thanks in advance
PAVANHi Pavan,
Please note the following, the error GLT0002 is normally caused by a change done in your customizing for splitting. Since you mentioned that this is happening for one company code, it seems to be that one change was made only for this company code in your SPRO settings.
For example if you have activated open item managment subsequently on account or another example would be that you posted document prior to activation of document splitting.
Please see section 5 of note 891144:
Items posted while open item management was still inactive in G/L account master data cannot be cleared after open item management has been activated subequently if New G/L document splitting is active.
Therefore, if document splitting is active, open item management should never be activated subsequently on accounts to which documents had already been posted with inactive open item management.
Review note 891144 in full. I believe that this will help you resolve the issue.
Best Regards,
Vanessa. -
Seeking Solution to document splitting error once and for all
Dear Sir / Mam,
While posting with clearing or while account clearing,
Frequently an error pertaining to document splitting gets triggered.
As a result clearing cannot be performed and the document cannot be posted.
Every time we deactivate document splitting, clear the document or account and again we activate document splitting.
We wish to have a report that shows all the open items lying in the system that was not posted with active document splitting and further migrate it so that we do not get this error in future.
Please guide me as to:-
1. How to list all the open items that was not posted with active document splitting (Either through any report or table)
2. How to migrate these document.
Regards
Chirag Shah
I visited the given below threads and blogs.
http://wiki.sdn.sap.com/wiki/display/ERPFI/Document+Splitting
http://forums.sdn.sap.com/thread.jspa?threadID=1342769
http://forums.sdn.sap.com/thread.jspa?threadID=1493113
but did not serve the purpose.
Edited by: CHIRAG SHAH on Feb 8, 2012 6:01 PMDear Sir,
Please find below the error that appears.
Document splitting: Items for clearing 1000/1400000006/2010/001 not found
Message no. GLT0002
Diagnosis
Document splitting cannot perform clearing because it was not possible to
find complete splitting information on the items to be cleared (company code
1000, document number 1400000006, fiscal year 2010, item 001).
System Response
Clearing cannot be performed and the document cannot be posted.
Procedure
Exclude the affected item from clearing.
It may be that this item was not posted with active document splitting. In
this case, this item or document would have to be migrated.
Regards
Chirag -
Error in document splitting in vendor line item
Hi,
I have activated document splitting on segment and profit center level. When I am entering simple transaction through transaction code FB60, the error message is showing " Balancing field profit center in line item 001 not filled".
Details as below: Through T. Code FB 60
Expense 1 Dr 600
ExpenseHi Babji,
Check the following settings in customizing
1. Check the field status of GL. It allows the entry for Profit Center i.e optional or required.
2. Check IMG > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Classify Document Types for Document Splitting
Check whether this document type is assigned to Business transaction (0300) and Business Transaction Variant (0001)
3. Also check IMG > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Activate Document Splitting.
Check whether Inheritance is checked?
Regards,
Surya -
Document splitting not working for customer & vendor Payment
Hi,
We have actived Document splitting on profit center for segment level reporting.
In below scanario Document spliting working fine.
Vendor Invoice (Docuement type - KR)
General Ledger view
Expense Dr 1000 PC1
Vendor Cr 1000 PC1
At the time of Payment (General ledger view) (Document Type - KZ)
Vendor Dr 1000 PC1
Bank Cr 1000 PC1
In the above scanario we dont have any issue, Based on invoice profit center spliting automaticlly in bank in General Ledgerview.
How ever in the below scanario Document spliting is not working in payment
No issues in Invoice
General ledger view
Exp Dr 1000 PC1
Exp Dr 1500 PC2
Vendor Cr 1000 PC1
Vendor Cr 1500 PC2
When we make payment to vendor Document splitting is not working, it get splitting in zero balance clearing account
vendor Dr 1000 PC1
Vendor Dr 1500 PC2
Bank Cr 2500 (No profit Center)
Doc splitt A/C 1000
Doc Split A/C 1000 PC1
Doc Split A/C 1500
Doc Split A/C 1500 PC2
My Finance Team requires automatic split up in bank based on vendor profit center.
We are using Business Transation 1000 (Payment) for document Type - KZ & DZ.
Regards,
LokeshCan you please confirm if the following settings exist in your system in various IMG nodes.
1. Bank G/L account is assigned to item category 04000 (IMG node: Classify G/L Accounts for Document Splitting).
2. Document type KZ is assigned to business transaction 1000 and transaction variant 0001 (IMG node: Classify Document Types for Document Splitting).
3. In IMG Node "Define Document Splitting Rule", under the method that is assigned to your company code, transaction 1000 and variant 0001, you see 04000 as one of the item categories to be edited.
4. If the answer for (3) above is yes, if you double-click on 04000 item category line, the processing category is set to 1 (Splitting based on base item categories).
5. Now when you double-click on 'Base item categories', you see 03000 - Vendor as one of the base item categories in the list there.
Please respond with Y / N to the above questions and we can go from there. -
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 -
Document splitting & withholding tax
Hi
Could you please help me out on the following. i have activated document splitting and am producing balance sheet per profit centre. i have also activated extended withholding tax at payment. now the getting the error message for the automatic payment program that balance field profit centre in item 2 is not filled. how do i get the gl for withholding tax to inherit the profit centre the same way that the gl outgoing payments account is inheriting?
i dont want the withholding tax line item to have the default profit centre but the diiferent profit centres of the invoice line items being paid.
thanks
StarDear Star ,
It souds like the error in customizing.
The document type used in F110 is assigned to business tran. 1000 / variant 0001. Make sure that you have item category 05200 (WHtax) included as "item categories to be edited" and include item category 03000, 04000 etc.. as "base item categories" for item cat. 05200.
If this setting is done and still getting GLT2201 error, then please create a customer message!
Kind regards, Kyoko -
New G/L document splitting
Hi All,
I have defined document splitting characteristics ( profit center and segment ) for G/L accounting
Activated document splitting for my company code.
However when i post a vendor invoice with two expense line items , i can only see the characteristics for expense line items but payables and tax are not split.
What may be the reason?
regards,
ReddyThanks Kalyan for the reply.
I am trying to post vendor invoice.
So i checked doc type KR . It is attached to transaction 0300( vendor invoice) and variant 0001 vendor invoice standard.
Let me know the changes i need to make here.
Reddy -
Document Splitting - No list generated
Hi Gurus,
I have activated document splitting in a company code which is having transaction for the purpose of Profit center,segment and Balance sheet report purpose.
System is allowing to post transaction but it is not generating zero balancing entry in general ledger view also it is not generating balance sheet either business area wise or profit center wise.
Can any body help in this regard I will allocate full points.
B.S.RaoYou may check the folllowing configuration:
IMG-> Financial Accounting (New) -> Financial Accounting Global Settings (New) -> Ledgers -> Real-Time Integration of Controlling with Financial Accounting -> Define Variants for Real-time Integration
IMG-> Financial Accounting (New) -> Financial Accounting Global Settings (New) -> Ledgers -> Real-Time Integration of Controlling with Financial Accounting -> Assign Variants for Real-time Integration to Company Codes...
also check in the tcode GSP_KD (define zero balance clearing account) whether custmization done in the for standard account for zero balance for the posting keys.
For account assignment objects for which you want to have a zero balance setting, the system checks whether the balance of account assignment object is zero after document splitting.
If this is not the case, the system generates additional clearing items. In this activity, you have to create a clearing account for these additional clearing items.
Create a clearing account for your chart of accounts. -
Inconsistency with document splitting
Dear All,
I have activated Document splitting option after posting few documents----open itmes. After document splitting is activated now i cannot clear those line items which were posted before document splitting was activated.
Is there any way to remove this inconsistency with the old documents. Any program to be run...or any other solution.
Please help to resolve the issue.
Sap Frido.hi,
Is there any program which removes this inconsistency. As we have program to run the inconsistency in witholding tax.
Thnaks and regards
Sap frido -
Document Split on Non Leading Ledger
Hi Friends,
Can we activate document split on Non leading Ledgers also?
Actually my client wants to maintain Leading ledger as per US GAAP and Non leading ledgers as per Schedule VI
So there is a requirement of activating document split on the non leading ledgers
Regards,
Ambuj Garg
+91-9739976912Ok Think I should put my question differently
I have activated document split.....
Leading and Nonleading Ledgers are also in use
Now when i post a document it is split on the basis of Profit Center on the "OL" Leading Ledger view
While in the "NL" it is not split.
Is there a seperate setting for achieving document split in the Nonleading ledgers
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