Account Determination - Document Splitting

I've activated document splitting and most of the configuration has been in place.
However, during posting, I've got this error "Acct for acct determ. 01001/000 (chart of accts INT) missing", Is there any possible steps I've missed out?
Thx.

Sorry the program is just part of config. to access it go to define document splitting rule in SPRO under extended Document splitting.

Similar Messages

  • Classify G/L Accounts for Document Splitting

    hi all experts,
    could any one give me the path to Classify G/L Accounts for Document Splitting
    in sap 4.6 environment.
    kindly answer this queston urgently
    anil

    Anil:
    SAP Customizing IMG -
    > Financial Accounting ( New ) -
    >General Ledger Accounting (New)----> Business Transactions----> Document Splitting -
    > Classify GL accounts for document splitting
    Classify G/L Accounts for Document Splitting
    Each business transaction that is entered is analyzed during the document splitting procedure. In this analysis, the system determines for each line item whether it is an item that remains unchanged or an item that should be split.
    In order that document splitting recognizes how the individual document items are to be handled, you need to classify 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 following accounts in the system:
    Revenue account
    Expense account
    Bank account/cash account
    Balance sheet account
    The classification of all other accounts is known to the system, so you do not have to enter them here. You can enter an account interval since the system recognizes SAP-specific classifications and does not allow SAP settings to be overwritten by your own settings.
    Assign points if info helps
    Vj
    How to give points: Mark your thread as a question while creating it. In the answers you get, you can assign the points by clicking on the stars to the left.

  • Deletion of GL Accts in Classify G/L Accounts for Document Splitting screen

    Hi Friends,
    I am working with Document Splitting and I have assigned GL Accounts in Classify G/L Accounts for Document Splitting and also posted documents, now the functionality is working fine.
    Now due to some reason I am trying to delete all these accounts from this screen, but I am getting below 3warning messages and I can able to delete these GL Accts.
    Messages:
    "Changes to Customizing settings can affect behavior of document splitting
    Message no. GLT1414"                                                   
    "Problems may first occur in the target system after the transport
    Message no. GLT1411 "                                                  
    "Role of Current Client: SAP reference
    Message no. GLT1410"                                        
    I can able to delete these GL Accts, but before deleting I would like to know what is the impact in the system for already posted documents.
    Can any one explain me, If I delete these assigned GL Accts from the system, Is there any system inconsistency will occur.
    I would like to assign the same GL accounts again.
    Best Regards,
    Chandra

    HI,
    Document splitting is based on Item categories
    and Item categories are assigned to GL account hence if you change
    or delete any GL account or change the Item categories then document
    splitting behavior will change.
    If those Gl accounts and Item Categories is having open items then
    inconsistency will create.
    Hence before change of any setting you need think twice.
    Reg
    Madhu M

  • 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 me

    Use 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

  • Need T.Code for "Classify G/L Accounts for Document Splitting"

    Hi All,
    I need the T.Code Document Splitting "Classify G/L Accounts for Document Splitting"
    Menu Path is:
    IMG-Fin. A/c- General Ledger A/c- Business transaction - Document Splitting - Classify G/L Accounts for Document Splitting
    Thanks & Regards,
    Mohan.

    Need T.Code for "Define Document Splitting characteristics for G/L Accounting and
    Define Document Splitting method

  • ECC6.0 - Clearing account in Document Splitting

    I'm creating a clearing account for document splitting.
    How can I set up it?
    It's a balance sheet account but my doubt is:
    Can it manage Open item??? I think it isn't possible.
    Let me know
    Thanks

    Yeh it would be a balance sheet account but you dont need to make it on open itemn basis otherise the GL LINE ITEM Report will give you error log that this account is maintained on open item therefore dont need to maintain on open item.
    Am i eligble for points?
    regards,
    FICO

  • Classify accounts for document splitting

    Hi,
    I am facing a lot of trouble in deciding which accounts to put under which item category.
    My problem is, there is item category for Balance Sheet accounts and also for assets,  customer, vendor etc... which in the end are again balance sheet accounts.
    Is there a rule or guideline I can follow for completing this task effectively. The client has only 300 gl accounts.
    Thanks and Regards,
    Sailesh Sinha

    Hi,
    Each business transaction that is entered is analyzed during the document splitting procedure. In this analysis, the system determines for each line item whether it is an item that remains unchanged or an item that should be split.
    In order that document splitting recognizes how the individual document items are to be handled, you need to classify 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 following accounts in the system:
    Revenue account
    Expense account
    Bank account/cash account
    Balance sheet account
    The classification of all other accounts is known to the system, so you do not have to enter them here. You can enter an account interval since the system recognizes SAP-specific classifications and does not allow SAP settings to be overwritten by your own settings.
    http://help.sap.com/saphelp_erp60_sp/helpdata/EN/87/3da04028f40160e10000000a1550b0/frameset.htm
    Regards
    Viswa

  • G/L Account Determination Document for SBO 2007

    I would like to find a document (word, excel or pdf) that explains the G/L Account Determination and its accounts. In which documents inside SBO are those account used? I see more accounts used in SBO 2007 and use trial and error to see these but preferred a document. I have seen the empowerment session about account determination but do not explain each of the accounts. Any help ?

    Sorry for attaching wrong thread .
    Please refer to the following information
    g/l Account Determination ---> purchase ---> Expense Account
    Define an expense account to be used as the default when a transaction of domestic purchasing is posted, for example, an A/P invoice. The system also selects this account as a default when you create new warehouses, item groups, and item master data records.
    The expense account is applicable only when you use non-inventory items.
    g/l Account Determination ---> purchase ---> Purchase Credit Account
    Define an expense account to be used as default when a credit transaction for purchasing is created, for example, an A/P credit memo.
    This account defaults for new warehouses, item groups and item master data records creation.
    The purchase credit account can be the same as the Expense Account, in case you do not wish to record credits to a separate account.
    Setup g/l Account Determination ---> inventory ---> Expense Clearing Account
    Define an offsetting G/L account to clear journal entries created by A/P invoices and goods receipt POs. This G/L account is used in journal entries when the Allocation account is also involved.
    Setup g/l Account Determination ---> inventory ---> Goods clearing Account
    When you close goods receipt POs or goods returns, this account is used as an offsetting account to the Allocation account. In this case, the system does not register an inventory transaction; however, it creates a journal entry involving this G/L account.
    Clearing account: An account to which postings are recorded temporarily because of a time gap between accounting transactions, organizational task distribution, or accounting transactions requiring clarifications.
    No matter what kinds of clearing accounts, they will be temparary accounts per se.
    Link for Archive Sessions:
    http://service.sap.com/~sapidb/011000358700000131752007E/ExpertSessions.htm
    And more information ,you can take a look at help file by hitting F1key
    Hope this helps.
    Bishal

  • Account determination for document splitting

    hi to everyone,
    When i try to clear the down payment against an invoice in F-39 its gives following error.
    "The online document splitting is active in your system. Here, each document is assigned to a accounting transaction variant and each document row to an item category.
    You determine for each business transaction variant which item categories can or must be posted here.
    A splitting rule is defined for each business transaction variant, which determines which item categories are to be split and how the splitting should be determined.
    Additional rows need to be created in a G/L account that was defined in the account determination in an account determination key.
    The following error occurred for the document you entered:
    No account has been entered for account determination key 000 in the chart of accounts".
    I had activated doc splitting and assigned std  method 0000000012 to it.i have also assign G/L accounts for document splitting. Still i am getting above error.
    Can anybody help me out.?
    its urgent
    thanks in advance
    tanuja naik

    Hi
    Account determination key 000 is for document splitting Zero balance clearing account. Create a clearing account and assign the same.
    Regards
    Venkat

  • Assign a G/L Account to a Segment for Document Splitting

    HI Experts,
    Do you know if it is possible to assign a G/L Account to a specific segment?. I know and have setup the splitting method and rules, we have created item categories and base categories and splitting method. Document split is active and working fine. We have defined all different segments (MXC000, MXC0001, etc) in the Enterprise Structure section of IMG. On the other hand, I have an account for automatic postings 7300001 for the exchange rate differences when documents are posted in foreign currency.
    Question is, is it possible to assign account 7300001 to a specific segment MXC0000 for example?. Since the postings to the 7300001 are automatic postings, is there a place in the system where I can assign my segment MXC0000 to account 7300001, thus automatic postings hit segment MXC0000 as well?
    Reward points for helpful answers, Thank you.

    Use Tcode FAGL3KEH and assign a default profit center such as XXXX .
    In Profit center master data you assign "MXC0000" as segment.
    System derives in this  case the segment via Priofitcenter assigned in FAGL3KEH.
    This is one way of doing.
    Revisit the classification of GL accounts for document splitting and check whether the assignment to the GL account is  "40200 - Exchange rate diff account "or not
    reward points if useful
    sarma

  • Profit center accounting in ECC 6.0 with Document Splitting

    HI
    We are working on a project in ECC 6.0 with document splitting functionality. I would like to know how to transfer Payables/Receivables, Materials, Assets in Profit center accounting. I have done necessary configuration but some how results are not getting updated in PCA. Is there any specific report required to see result or standard reports gives the results.
    I have assigned Accounts in 3KEH and their default assingment in 3KEI kindly tell me how to proceed about it.
    I have done these configuration so far
    Define Ledgers for General Ledger Accounting
    Assign Scenarios and Customer Fields to Ledgers
    Classify G/L Accounts for Document Splitting
    Classify Document Types for Document Splitting
    Define Zero-Balance Clearing Account for profit center
    Define Document Splitting Characteristics for General Ledger Accounting
    Activate Document Splitting
    Apart from these is there any other configuration kindly let me know
    Get points
    Regards
    Geeta

    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

  • Document Splitting Profit center not filled in.

    Hi All,
    I wanted to check one scenario:
    I have document splitting activated on profit center field.
    I am trying to post a document as under:
    Line items as in <<<<entry view>>>>>
    Expense    Act     Dr  100         (CC1) (assigned to PC1)
    Expense    Act     Dr   200        (CC1) (assigned to PC1)
    Expense    Act     Dr  300         (CC2) (assigned to PC2)
    Balance sht Act   Cr  400         (PC1)
    Balance sht Act   Cr   500        (PC1)
              To Vendor Act     Cr   1500
    When I am posting this transaction system is giving me a error as Balancing field PC not filled in document splitting.
    My doubt is whether this error is correct in given scenario or can we determine a different profit center for the vendor line item in GL view in the given scenario.
    I already have defined a clearing account for document splitting.
    Your comments /feedback are highly appreciated.
    Thanks
    Sameer

    i have doubt in your balance sheet items, what is that items are meant for?
    Elaborate the scenario so that help us to answer to your question.

  • NEW GL document splitting

    Some documnt types like SA will not get split by documnt splitting functionality and some document types like cash posting will  get split according to the partner line items.....What are the functional reasons for not applying document splitting to few document types like SA. Also could you please list all the docment types that will not get split by new gl document splitting. And the account category types that will not get split.
    Appreciate your response

    It all depends on the configuration in the following nodes in SPRO.
    Financial Accounting (New) -> General Ledger Accounting (New) -> Business Transactions -> Document Splitting -> Classify Document Types for Document Splitting
    Financial Accounting (New) -> General Ledger Accounting (New) -> Business Transactions -> Document Splitting -> Classify G/L Accounts for Document Splitting
    The reason (in standard config.) why document splitting does not happen for document type SA is because it is assigned to transaction 0000 (unspecified posting).  For transaction 0000, you would not see any item categories in splitting rule configuration.  That means, we are expected to give account assignment to each line item while posting using document type SA.
    Again, this is standard configuration delivered by SAP for document splitting.  If it does not suit the business requirement, it can be changed.
    Following is SAP's IMG Activity Documentation for the first node above.
    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. In order that the system can determine the splitting rule, you must assign a business transaction variant to each document type.
    To ensure that a splitting rule is used appropriately, the relevant documents must meet certain requirements. These requirements relate in particular to certain item categories that either must or must not be available. This information is specified for each business transaction variant and is checked against the current document during posting. If the document does not meet these requirements, the system rejects the posting.
    Example
    The accounting transaction 0200 (customer invoice), variant 0001 (standard), is delivered. In this accounting transaction, the following item categories are allowed: customer, value added tax, withholding tax, expense, revenue, exchange rate differences, and company code clearing.
    Standard settings
    With the document types delivered in the standard system, SAP delivers a classification for document splitting. This classification is a proposal that you need to check against how your document types are organized. You need to check whether the classification or assignment to a business transaction variant produces the desired result in document splitting.
    SAP includes business transactions in the standard system. The item categories that are allowed for each accounting transaction are also defined. Accounting transaction variants are also included. These are additional limitations of the accounting transaction.
    You cannot define additional business transactions. However, you can define your own business transaction variants to the the standard business transactions.
    Activities
    Assign your document types to an accounting transaction and a business transaction variant.
    Further notes
    Document splitting is essentially controlled by the document type. You should therefore ensure that the documents used for business transactions are assigned uniquely in document splitting to a business transaction variant and in this way to a splitting rule.
    You may therefore be required to introduce more document types.
    Example:
    The document type SA is assigned to business transaction 0000 Unspecified Posting with variant 0001.
    In the methods delivered, no splitting rules are defined for the business transaction variant Unspecified Posting (with the exception of company code clearing). If an account assignment is expected in these documents, it has to be specified for all lines. This means that the system does not project any account assignments to non-assigned lines due to the absence of a splitting rule.
    However, this document type is generally used for a large variety of business transactions that would also have to be treated differently in document splitting. In such cases, it is necessary to define additional document types and to assign them to the specific fiscal year variants.

  • Document Splitting Rule

    hi all
    What is Document Splitting Rule?
    regards
    ch.suresh

    Document splitting allows to display documents using a differentiated representation. In the representation, line items are split according to selected dimensions. In this way, one can draw up complete financial statements for the selected dimensions at any time.
    Using the document splitting procedure, one can also create a segmented display of a (partial) balance sheet according to a set of legal requirements (for example, IAS) or according to areas of responsibility.
    In addition, one can allocate at the time of posting additional costs (such as realized or valuated exchange rate differences) to the CO account assignment objects to which the costs relate. Assets can also be subsequently capitalized at the time of posting.
    Document splitting has an effect on subsequent processes, such as closing operations, and on processes in Controlling (CO). One can use the document splitting procedure to split up line items for selected dimensions (such as receivable lines by profit center) or to effect a zero balance setting in the document for selected dimensions (such as segment). This generates additional clearing lines in the document.
    For document splitting to be possible, the system classifies the individual line items as well as the documents. This takes place using settings in Customizing. Depending on how a document is classified, the splitting rule selected for a document specifies how the document is split and for which line items.
    In the Implementation Guide, choose Financial Accounting (New) ® General Ledger Accounting (New) ® Business Transactions ® Document Splitting.
    For more information on all the Customizing settings, see also the IMG documentation of the relevant IMG activity.
    1. Classify G/L Accounts for Document Splitting
    One needs to classify the individual document items so that the system knows how to handle them. One can do this by assigning them to an item category. The item category is determined by the account number. In this IMG activity, one needs 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, one needs to assign a business transaction variant to each document type.
    3. Define Zero-Balance Clearing Account
    Here one defines 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 specify to which document splitting characteristics document splitting applies, for example, profit center or segment. The characteristics that are specified should be maintained in at least one of the ledgers. one determines which characteristics are maintained in ledger by assigning scenarios or customer fields to ledgers.
    5. Define Document Splitting Characteristics for Controlling
    Here specify which additional characteristics are required to be applied 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 define whether the cash discount that is applied in the payment of an asset-relevant invoice should be capitalized to the asset. When one selects 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 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, 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 requirements,first define and then select own method in Customizing for document splitting
    9. Settings for Extended Document Splitting
    Here define own rules for document splitting and make the necessary settings so that the system applies the rules defined and not the SAP standard rules.
    9. Define Splitting Method
    Here define 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 define the splitting rules for document splitting.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 assign the splitting method to be used for document splitting after activation. If one wants to activate own splitting method, replace the standard method with own method.
    12. Define Business Transaction Variants
    Here one can define business transaction variants for the business transactions in document splitting

  • Sample for account determination bonds

    I want to set up account determination for treasury using following update types (related to regular bonds)
    SAM1105 Installment/repayment
    SAM5000 nominal interest
    SAM5013 Dividend
    SAM6104 Final repayment
    SE1000 Purchase
    Can somebody send me sample contents for following tables that can be found under
    FSCM -- TRM -- Transaction Manager -- General Settings -- Accounting -- Link to other accounting components -- Define Account Determination
    TRAC_ACCSYMB_T Definition of account symbols
    TRACV_POSTRULE Definition of posting specs
    RACV_DFTRULE1 Assignment of update types to posting specs
    TRACV_DFTRULE2 Assignment of update types to posting specs
    TRACV_ACCSYMREP Assignment of GL accounts to account symbols
    kr
    Arjan

    Hi
    Go to
    Img -
    >Financial Accounting(new) -
    >General Ledger Accounting(new) -
    >Business Transactions ---> Document Splitting -
    >Classify g/l accounts for Document Splitting
    Here you assign the g/l account to Item Category.
    Regards
    Venkat

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