Account Assignment objects are in correct

Dear Sapgurus,
While doing in hr posting i am getting error message
account assignment objects are  incorrects, No substition is possible
message no: 3g209
Regards
Satyam

Hi,
You may find this thread helpful
[Cost Center determination during payroll posting - Eroor;
[Account assignment objects are incorrect;
[Account Assignment;
[Error while positng the payroll results;
Regards,
Jigar

Similar Messages

  • Account assignment objects are incorrect. No substitution is possible

    Account assignment objects are incorrect. No substitution is possible.
    Message no. 3G209
    Diagnosis
    The account assignment object check showed that, from the point of view of CO, the specified account assignment is not valid, and cannot be replaced by the employee's master cost center or a substitute cost center. This item cannot be posted.

    delete the previous results and run the live pay roll run and accounting run

  • Account assignment objects are incorrect

    I have assigned the Cost Center at Employee Level in IT0001.But still at the Time of posting for Expense account,it is taking Blank Cost Center  & i am getting below error.
    "Account assignment objects are incorrect. No substitution is poss
    No substitute cost center maintained
    No master cost center is possible as replacement for direct acct
    Enter a true account assignment relevant to cost accounting."
    Please help me out with this problem.
    Please tell me is thr anywhere i have to assign the Costcenters.We want that Posting should go with Employees Cost Center only for Expnse accounts.
    Thanx,
    Viru.

    System is asking alternative cost centre for your company code.
    Please create the a new cost centre, then assign to your company code in the table of TKA3G.
    Or else go to path:
    Payroll-> Payroll india or singapore or usa->Posting to financial accounting->Activities in the AC-System->Set up fixed cost postings and substitute cost centers->Set up substitute cost centers .
    For each country text will vary. but fixed substitute cost center name will be appear.
    Ask to your FI guys then they will create a new cost centre.
    For fixed cost centre assign cost centre to your cost element.(V_TKA30)

  • "Account Assignment objects have differing company codes"

    Hi,
    We have parked the document through T.Code : MIR7 & now we want to post the same using the correct GL A/c.
    When we try to post the document we are getting error like "Account Assignment Objects have differing Company Codes"
    Can you please help me
    Thanks
    Ravi kumar

    Please check in the document if it contains diferrent account assignments like both cost center and internal order. In this case both cost center and order must belong to same company code.
    If you find the document fine, then solution is to change the error to warning using T Code OBA5 and application area KI (I assume). You should be seeing application area as part of your error message number which is usually first 2 characters.
    Regards
    Sreenivas

  • The CO account assignment object belongs to company code PN10, not BN10

    Hi All, Iu2019m getting the error u201CThe CO account assignment object belongs to company code PN10, not BN10" when trying to make a payment on an invoice that was created in company code BN10.
    The error came about because, there was an exchange rate difference between the invoice value and the corresponding payment value (document currency is USD and the transaction I'm using to make payment is F-58).
    Therefore when i try to make the payment, the SAP system detects the exchange rate difference and attempts to post it to the exchange rate difference account (421020050). In OKB9, the default cost center specified for G/L account (421020050) in BN10 is (B999010). Therefore when the payment is been done, the system posts the exchange rate difference to G/L account (421020050) and assigns the cost center (B999010).
    However, upon trying to save the document, the system shows the message "Correct the marked line items" (the marked line item here is the exchange rate line item). Therefore, I double click the line item to drill down on it and see that everything seems fine. I then click the save button, on clicking it, the system shows the error "The CO account assignment object belongs to company code PN10, not BN10u201D.
    When i double click the error to read a more comprehensive explanation of the error, its content are as displayed below:
    The CO account assignment object belongs to company code PN10, not BN10
    Message no. KI100
    Diagnosis
    You want to make a posting in company code BN10.
    At the same time, a CO account assignment object was specified that is assigned to company code PN10.
    This is account assignment object with object type CTR, and object key NIG1/A999010.
    System Response
    Company code validation is active for company code BN10:
    All account assignment objects in one posting row must be assigned to the same company code.
    Procedure
    You can
    u2022     Make an assignment to company code PN10.
    u2022     Enter an account assignment object assigned to company code BN10.
    u2022     Change the assignment of object NIG1/A999010 to company code PN10. In this case, you should note the document and edit it further after changing the assignment.
    If the posting is to a balance sheet account (category 90), you may also decide whether to allow CO account assignment objects from other company codes. If this is the case, deactivate the error message with the IMG step Change message control (message ID "KI", message number 100).
    You can set the following message types:
    "-"   Message is not sent
    "W"   Message is sent as a warning message
    "E"   Message is sent as an error message
    Posting to cost elements of another category always results in the message appearing as an error message, whether it has been deactivated or not.
    Execute "Change message control"
    (NOTE: All cost centers that starts with u201CAu201D belong to company code PN10 and those that starts with u201CBu201D belong to company code BN10)
    Kindly help with the resolution of this issue. Any resolution ideas would be greatly appreciated.
    Moderator: Please, search SDN

    Check the following OSS notes
    1)  Note 141224 - Error message KI100 for cross company
    2)  Note 202765 - KI100 during release of intercompany billing
    thanks
    G. Lakshmipathi

  • Open and Close Posting Periods According to G/L Account Assignment Objects

    Hi,
    Can anybody please explain me how configurations related to " Open and Close Posting Periods According to G/L Account Assignment Objects " works in SAP FICO? I am confused about this config.
    Regards,
    Mandeep

    Hi Mandeep ,
    First i would like to tell about fiscal year
    fiscal year is nothing but a financial year of company in sap . it contain 12 normal periods and 4 special periods.In genaral we will call like month but that is sap that is a period. so 12 period for 12 months ok next special period will use in all companies for audit and tax adjustment purpose of previous year.
    coming to the open and close periods.in sap for security purpose we have to open one period like this month july so i opened july period only we cant post the pervious month (june)and we cant post future month lik in (Auguest)ok
    You can close and open periods by transaction ob52.
    In transaction ob52 there are account types
    + Valid for all account types
    A Assets
    D Customers
    K Vendors
    M Materials
    S G/L accounts
    V Contract accounts
    + means all types. if you want to open vendor then enter period from and to according to your fiscal year.
    you cant adjust items in closed period. if you want to then you have to open the period
    For your information.....
    posting periods also open user level tc S_ALR_87003642.
    customization levael OB52.
    Regards
    Kumar

  • Enter a true account assignment object with revenues

    Hi there,
    At my current client site we implemented COPA - Costing Based. I mapped a few revenue accounts  to COPA. Now when I try to make a posting in to COPA using FB70 . The system issues a error Message "Enter a true account assignment object with revenues" . I know  the Prof Segment is the account assignment object  its looking for and the system is not deriving it  from the information I entered in the FB70 document. Am I missing somethig here? Did anyone out there face similar issue??
    You inputs are highly appreciated!
    Regards,
    Siva Padallaparthy

    Hi Siva,
    Please check note 373823 for this error. Also please go through the long text of error message KI166. The solution of the error is mentioned in the long text itself.
    Regards,
    Abhisek

  • Enter a true account assignment object with revenues while reversing FB08

    Hi All
    When I am reversing the document through FB08 I am getting the warning messege "Enter a true account assignment object with revenues"
    Message no. KI166
    Diagnosis
    You made an account assignment for 31211100, a revenue element, in controlling area 1000 to a cost center or profit center.
    System Response
    Cost centers and profit centers can carry revenues in the SAP system as statistics only. To ensure reconciliation between FI and CO for revenue element 31211100, a CO account assignment object must record the revenues as a real value. This object type is used for updating to the reconciliation ledger.
    In principle, it is possible for the SAP system to automatically derive this CO account assignment object, the reconciliation object. However, all postings made in CO for costing-based Profitability Analysis are logged in the reconciliation ledger under "reconciliation object". In this manner, the reconciliation ledger identifies the exact values flowing into the operating profit. If you post reconciliation objects during revenue postings to cost centers or profit centers, you must do so while keeping the interpretation of the reconciliation ledger reports in mind. The sums of revenue postings to profitability segments, cost centers, and profit centers cannot be broken down further.
    Procedure
    To avoid posting to reconciliation objects, make account assignments to a real CO account assignment object.
    If you want to post to reconciliation objects, you can change this message to a warning or a note for future users, or deactivate the message entirely. Use the Implementation Guide under "Controlling: General" and choose Change message control. Enter area KI and message number 166. If you do not enter an individual user here, the change is valid for all users.
    It is not allowing me to reverse the document already posted.
    Please guide
    Thanks in Advance
    Sonal

    Hi,
    Do you have this cost element maintained in OKB9 with a reference to an internal order or profitability segment? If yes, please look at the note 373823.
    Regards,
    Eli

  • Msg K1100 'The CO account assignment object belongs to company code X,not Y

    Hi,
    Unable to create an accounting document for a Return order.
    Message K1100 - Error:The CO account assignment object belongs to company code X,not Y
    Company Code : X
    Sales Org: X
    Plant: P
    Billing Date : IG ( Internal Credit Memo)
    The above details are from the item level- Account Assignment tab-Profitabliity Segment.
    Pl. let us know from which table these fields are picked.
    Regards
    Biju
    Edited by: Biju Mercy on Jan 7, 2010 12:58 PM

    I believe the error message number is ki100 and not  k1100  as indicated by you in which case, refer any of the following notes:-
    a)  140503
    b)  643700
    c)  420778
    d)  352261
    e)  141224
    thanks
    G. Lakshmipathi

  • The CO account assignment object belongs to company code 1000, not 1100

    Dear consultants,
    I am SAP - HR consultant.
    I have 4 company codes, under one controlling area & payroll area. I executed live Payroll & tried to run posting payroll results. System displayed folloewing error "You want to make a posting in company code 1100. At the same time, a CO account assignment object was specified that is assigned to company code 1000. This is account assignment object with object type CTR, and object key 1000/1010101400. "
    I have created similar accounts 1110101400, 1210101400 & 1310101400 for company codes 1100, 1200 & 1300.
    May I know what could be the reason?
    Regards,
    Bindumadhav

    "this is account assignment object with object type CTR, and object key 1000/1010101400" means; somethings is missing for cost center 1010101400 under the company code 1000. system tries to post and entry for company code 1100 to the cost center 1010101400 which falls under a different company code (1000).
    so it is not realted with GL accounts i believe
    you can go to KS02 and check the company code for the CCenter 1010101400 and change it to 1100.
    or you may change the cost center assigned to employer master and give a new ccenter which is under the company code 1100.
    but if i were you, before making any changes i would consult the a CO consultants first for this issue.

  • The CO account assignment object belongs to company code 2100, not 1100

    Hi All,
    My system has all different company codes assigned to one cotrolling area as a result one can change org unit and position cost center from one company code to another.
    I recently changed same position's cost center from co code 2000 to cost center in new  co code 1100 and created new personnel area to be linked to new Co code 1100. OM module doesn't moan however when I try and capture org-reassignment action to default same employee postion with new related cost center from new company code 1100 get the follwing error.
    'The CO account assignment object belongs to company code 2100, not 1100'.
    I see in IT0001 system defaults new personnel area linked to Co code 1100 however it still defaults old cost center linked to Co code 2000 instead of new cost center linked to Co code1100. How can I make the system default  new cost center?
    NB relationship for new cost center  from Co code 1100 to postion has been changed effective 01.04.2012 . The same date is used for or-reassignment action.

    Hi I had same problem can you explain me little bit more that how you will resolve this

  • Enter a true account assignment object with revenues - WARNING MESSAGE

    Hi All Experts,
    I am configuring PCA. Where my GL balances are not getting updated with having assignment of Profit Center. I am getting this below warning message :
    Enter a true account assignment object with revenues
    Message no. KI166
    Diagnosis
    You made an account assignment for 410000, a revenue element, in controlling area 8000 to a cost center or profit center.
    System Response
    Cost centers and profit centers can carry revenues in the SAP system as statistics only. To ensure reconciliation between FI and CO for revenue element 410000, a CO account assignment object must record the revenues as a real value. This object type is used for updating to the reconciliation ledger.
    In principle, it is possible for the SAP system to automatically derive this CO account assignment object, the reconciliation object. However, all postings made in CO for costing-based Profitability Analysis are logged in the reconciliation ledger under "reconciliation object". In this manner, the reconciliation ledger identifies the exact values flowing into the operating profit. If you post reconciliation objects during revenue postings to cost centers or profit centers, you must do so while keeping the interpretation of the reconciliation ledger reports in mind. The sums of revenue postings to profitability segments, cost centers, and profit centers cannot be broken down further.
    Procedure
    To avoid posting to reconciliation objects, make account assignments to a real CO account assignment object.
    If you want to post to reconciliation objects, you can change this message to a warning or a note for future users, or deactivate the message entirely. Use the Implementation Guide under "Controlling: General" and choose Change message control. Enter area KI and message number 166. If you do not enter an individual user here, the change is valid for all users.
    I dont understand when I am giving PC as CO Object assignment which is I think true assignment for revenue collecting over. Still system showing this warning message. I know this can be supressed by just pressing ENTER and I can save. By posting  in this way document even , I am not able to draw any report based on PC, neither KE5Z or F.01. All says No data found.
    What configuration piece I am missing ? Can any expert guide ?
    Regards,
    Revati Joshi.

    Just go to OKB9 and check the Cost Element, whether any default cost center or Profitability segment have been been assigned or
    not.
    If not, check if the Cost element is Revenue related, assign Profitability analisys. If not, check with settings of PCA.
    You shoukd never assign PC to a cost element ntil unless it is a Revenue element.
    Hope it helps
    Thanks

  • Assigning Asset Number as Account Assignment Object in Depreciation Run

    Hi,
    We want to assign Asset Number along with Cost Center as an additional Account Assignment Object in our Depreciation Run. For this we have maintained Asset as an active object and assigned it to the Depreciation Area 01 and activated it for all Transaction type "*".
    However, when we see the FI Document Posting, we get Cost Center number from the Asset Master record posted to Depreciation account but a "*" comes in the field of Asset Number in the FI Document? Is it possible to have asset number also in the FI document?
    regards,
    Chintan Shah

    Hi
    Thats standard behaviour
    Its not possible because, one consolidated document is posted in FI for lots of assets.. The posting happens in a batch mode.. thats why, the Asset No is displayed as *
    For Asset wise depreciation reports, you can see reports like S_P99_41000192 - Posted depreciation by asset and posting period  and S_ALR_87010175 - Posted depreciation, related to cost centers
    Br, Ajay M

  • Error:Enter a true account assignment object with revenues

    Hi expert,
    Pl advise it is coming at the time of making entry through F-02.I have selected GL for sales.Then this error comes.
    Regards,
    Samar

    Hi Experts,
    When i do entry in F-02,following error comes:
    Enter a true account assignment object with revenues
    Message no. KI166
    Diagnosis
    You made an account assignment for 700000, a revenue element, in controlling area 1000 to a cost center or profit center.
    System Response
    Cost centers and profit centers can carry revenues in the R/3 System as statistics only. To ensure reconciliation between FI and CO for revenue element 700000, a CO account assignment object must record the revenues as a real value. This object type is used for updating to the reconciliation ledger.
    In principle, it's possible for the R/3 System to automatically derive this CO account assignment object, the reconciliation object. However, all postings made in CO for costing-based Profitability Analysis are logged in the reconciliation ledger under "reconciliation object". In this manner, the reconcilation ledger identifies the exact values flowing into the operating profit. If you post reconciliation objects during revenue postings to cost centers or profit centers, you must do so while keeping the interpretation of the reconciliation ledger reports in mind. The sums of revenue postings to profitability segments, cost centers, and profit centers cannot be broken down further.
    Procedure
    To avoid posting to reconciliation objects, make account assignments to a real CO account assignment object.
    If you want to post to reconciliation objects, you can change this message to a caution or a note for future users, or deactivate the message entirely. Use the Implementation Guide under "Controlling: General" and choose Change message control. Enter area KI and message number 166. If you do not enter an individual user here, the change is valid for all users.
    Pl advise.
    Regards,
    Samar

  • Account Assignment Object

    Dear All,
    When we are doing any transactions with revenues its showing a warning message.
    Message:  " Enter a true Account Assignment Object"
    Even we have assigned Cost Center & Profit Center to that revenue account.
    Would Appreciate early reply.
    Thanks
    Srinu

    Revenues cannot be posted to cost centres.
    Profit Centres are not account assignment objects.
    You either need an internal order/ Wbs with revenue enabled, or you need to post into COPA.
    Alternatively you can disable the cost element (i.e. GL only), or you can make it a category 1 cost element.
    Lastly, but not recommended, you can switch the message off. But it means that CO and FI will be out of sync.

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