Account is not a reconciliation account for FI-CA

Hi Experts,
During invoicing we are getting the following error:
Account 1000 xxxxxxxx is not a reconciliation account for FI-CA
Message no. >0229
Diagnosis
G/L account xxxxxxxx in company code 1000 is not classified in the master record as a reconciliation account for account type 'V'. You can only use accounts of this type for business partner items.
System Response
Error message: the posting cannot be generated.
Procedure
If the account number specified is correct, change the account master record so that the account can be used as a reconciliation account for account type 'V'.
If you do not want to use the account number specified, correct automatic account determination for receivables accounts in contract accounts receivable and payable (FI-CA).
Please suugest me the required solution for this.
thanks and regards
Deepak Rana.

Hello,
You need to attach Recon account <Type : Contract Account Receivable & Payable> in EK01 for the MT = 0100/0200/0300.
Or Alternatively you can change the existing GL account to  Recon account in FS00 as suggested by Cris. But if you already have balance in the aforesaid GL Account in FI, you cannot change it.
Hope this helps
Rgds
Rajendra

Similar Messages

  • Account 14470000 in company code 2100 is not a reconciliation account

    Dear all
    Account 14470000 in company code 2100 is not a reconciliation account
    Message no. F5355
    Diagnosis
    G/L account 14470000 in company code 2100 which is to be updated when posting to the customer or vendor is not defined as a reconciliation account.
    Procedure
    Depending on the cause of the error you can
    change the master record of the above-mentioned account and mark it as a reconciliation account
    change the customer or vendor master record and enter a different reconciliation account there
    for special G/L transactions, change the allocation of reconciliation accounts when configuring special G/L transactions.
    14470000=this G/L account is a service tax account
    am checked in customer master :there reconciliation account maintained properly
    in FS00 every think maintained properly
    Thankx in advance
    Ajeesh.s

    HI,
    What kind of transaction you are doing.
    Since it is asking to maintain reconciliation account for Service tax account then no point of making any settings in OBXR.
    Please check if there is any Substitution you have maintained.
    If you are doing Billing then Recon account is automatically pulled from the Customer master which should be maintained as Recon account.
    Also check the account determination in the Billing.
    Edited by: lolu jo on Sep 10, 2011 3:37 PM

  • Cenvat clearing account is not coming in MIRO for Basic excise

    Dear sir,
    I have created the PO  . After that  i did GR for same at that I capture excise invocie& post it.
    Accounting document is created for the same
    here is accounting enrtry
            cenvat Basic = 100 debit
            cenvat edu cess = 2 debit
           Cenvat Higher Ecess =1 debit.
       Cenvat clearing account = 103 credit
    when i go the miro
    after simulating in miro i found
    cenvat clearing account = 2 debit
    but it should be 103 debit
    why this is coming please help me...

    Hi,
    Generally it happens if CENVAT Clearing Account in not assigned in OB40 to the Tax Account Keys. But, as per you it has been maintained. So the following if you are using Tax Procedure TAXINN;
    SPRO > Logistics - General > Tax on Goods Movements > India > Basic Settings > Determination of Excise Duty > Condition-Based Excise Determination > Classify Condition Types

  • Change Normal account (having balances) to Reconciliation Account

    Hi,
    Clinet want to change the normal GL account ("27500000" which has alredy using for normal transaction and posted balance amount are exist in the system) to Reconciliation account.  How It is possible?
    It must has zero balance to change the gl to recon gl account.
    Thank you to check the new thread.
    Regards
    partha

    You can use for this:
    (SE38) RFSEPA02   Switch On Open Item Management by Changing Master Record.
    You have to make a new version so that you can run this. This is not working for new G/L. Have a look to the SAP note. You get this number when you run the program.
    Don't foget to test first the results in a test system! There are risks
    Paul

  • Photoshop launches in Admin account but not in User account??

    My 2007 Mac Pro is working fine. Just installed 10.6.7 on freshly wiped HD in Bay #2. Used the migration feature to bring over everything from drive in Bay #1 (which runs 10.5.8). After that: Photoshop CS5 will not launch (on either drive) under the regular user account. Throws 2 messages as follows: "Cannot find scratch disk because disk is unavailable." Then: "Cannot initialize because disk is unavailable."
    But - just logged in on my Admin account on the Snow Leopard drive. I then tried (for the first time ever, I think) to launch PS CS5 just to see what would happen. The app launched normally!
    This after:
    1. using Adobe uninstaller to remove "original" install of PS CS5 from the Snow Leopard drive. Then reinstalling. (first reinstall of THREE). This did not work to make the app launch, still got above messages.
    2. Ran permission repairs (I know - you don't have ta tell me.)
    3. Ran DiskWarrior - applied new directory to both Leopard and Snow Leopard drives.
    4. I then called Adobe support. Let the agent connect to my desktop from where he did another un-install & re-install using downloaded Adobe utility app. (A guy in India ran my Mac Pro in Michigan for 30 minutes while I sat there, entering Admin password when needed for the operations. Amazing.) He also performed Adobe diagnostics. All without success (on the User account).
    After that, he gave up and arranged for a higher level agent to call me tomorrow (Wed. 4/13).
    5. Adding: during the above Adobe effort, it came to me that I have too many versions of Photoshop. (I had CS, CS3, CS 4 and CS 5.) So - I systematically removed all versions except the original CS from both the Leopard and Snow Leopard drives. I used AppDelete for this removal, hoping to get all pref files, etc. I even deleted an old version of Acrobat - just because I no longer need it. Then I ran DiskWarrior again and used PreferentialTreatment to check for bad prefs: then again installed CS 5 again - on both drives. (Still working in my normal User account.)
    6. Adding: all along, I had no trouble launching and using Photoshop Elements 8 on either drive. I had originally set the PSE scratch disk to my RAID storage drives (Bay #3 & #4). So I was sure by then that I had forgotten to apply the same designation for scratch disk of Photoshop CS5. This was the only variable or possibility I knew of at the time. Guessing: I had set CS 5 to use the drive I wiped clean for Snow Leopard and that's why it came up with: "drive not available."
    Repeating: it was not until I logged into my Admin account on the Snow Leopard drive and found I could launch Photoshop from that account that I decided to check in here with my question:
    Q. What is the remedy for having one account which won't allow launch for some (in this case, just ONE) apps?
    Sorry to be long-winded: this was a major, day-long effort and I want to provide a complete picture of what was done to trouble shoot. Thanks in advance for any help.

    1. Standard procedure is to do all but a few operations from Standard User accounts: which I have always done. All software installations have been from my original Standard User account.
    Actually, most people use their admin accounts for things like installs, and some apps may not be installable from a standard account or may not function properly there, unless they can authenticate to admin privileges to install things in places standard users don't have access.
    several complete uninstalls followed by an equal number of reinstalls FROM the original CS 5 install disk made no difference: when in the Standard User account. CS 5 DOES work under the Admin account on the new Snow Leopard installation (on Bootable Drive #2).
    That matches with my experiences with Photoshop Elements... it only works if you've got admin privileges, unless you figure out what items are inaccessible from a standard user account and change their permissions.
    I'm sure most experienced users would say that sticking with a Regular User account for daily operations is best.
    In reality, that's not as prevalent as it probably should be. In part, that may be because of other software that similarly doesn't run on a standard account. In addition, running on an admin account really isn't as much of a risk as it might seem. I finally gave up years ago on using a standard account, and have never had a problem as a result of using an admin account for day-to-day operations. The stuff you can least afford to lose - ie, your documents - you have full access rights to in a standard account anyway, making your data no safer. It's easier to bork the system in an admin account, but the system is easily replaced.
    I have seen (here and elsewhere) that creating a new Reg User account is the remedy when something suddenly won't work
    That is true, but it's not a magic wand. In this case, though, I don't think that's likely to help. You're welcome to try it, but I highly recommend doing so in a non-destructive way, so that you can easily switch back to your regular account if it doesn't work.

  • Vendor account group assign to Reconciliation account

    Hello Experts,
    Is it possible to customize a reconciliation account assignment to vendor account group?
    Our requirement is when you create a vendor, then select a vendor account group, the reconciliation account will automatically be proposed in the field. This is to avoid selecting wrong reconciliation account when creating a vendor.
    I had a look in SPRO but I couldn't find anything that could do that.
    Thanks in advance
    Regards,
    Catherine

    Thanks for your inputs,
    I have checked in the system if there is a user_exit. Could you please confirm me that the user_exit "GLPLAN00 - Enhanced authorization and master data validation" is the good one?
    My objective is to have the correct reconciliation account automatically populated when I am creating a customer/vendor with a specific account group.
    e.g. select account group - XXXX Non-trade customer / Reconciliation acct XXXXXX non trade customer automatically populated.
    Thanks in advance for your help.
    Catherine

  • Bank account transfer not showing bank accounts

    hi gurus,
    "bank account transfer" screen in cash management is not showing bank accounts owned by other legal entities.
    i did setup UMX security for the Bank Account Transfer module for specific Legal Entities.
    here is what i am doing-
    i am using vision R12 > Cash Management, Vision Operations (USA) > using CE:UMX security, gave access for bank account transfer for Vision leasing legal entity.
    the bank account i am trying to access is owned by legal entity Vision leasing.
    any clue?
    regards,

    Thanks Linc, I'm very new to Mac's, so please excuse the dumb questions.  I've gotten as far as running bootcamp and partitioning the drive for OSX and Windows 7.  Have some software loaded, nothing that I can't reload.  Will the erase effect both partitions on the drive or just the OSX partiton?  I'm guessing the erase and reinstall from CD are straight forward, just follow the prompts? 
    Thanks again for the help

  • Master Enable User to enable only OIM account and not the resoruce accounts

    Hi Experts -
    I have a requirement wherein when the user is rehired, only the OIM profile has to be enabled and not the resource accounts on the user profile.
    How can we acheive this?
    Thanks
    Kunal Jain

    How do you know if the person is rehired? You can create disable task on the process and have your adapter there to check if it's a rehire. If infact this is a rehire then donot enable the user else call the actual conditional enable task.
    -Bikash

  • I have icloud installed on a pc when I sign in it says I have a valid apple account but not an icloud account

    I have icloud installed on my pc,when I sign in it says that I have a valid apple account but not an icloud account

    You are getting this message because you are trying to create an iCloud account on a PC.  You can only create iCloud account on an iOS device (iPhone, iPad or iPod Touch) running iOS 5 or higher, or on a Mac running OS X Lion (10.7.5) or higher.  After creating your account on one of these devices you will then be able to sign into the account using this ID on your PC.

  • Accounting documents not generated in MIGO for Acct. ***.Category "A"

    Hi Friends,
    I have created a PO for Asset procurement. I have selected acct. ***. category as "A" in the PO. When I do the GR, the material document is getting generated but without any accounting document. Accounting docs are getting generated for other acct. ***. categories like for "F" and "K", but not in the case of "A".
    Please suggest where in the configuration should I check for this issue.
    Thanks & Regards
    Satya

    Dear Satya,
    Goto OME9, select your related AAC "A", then when you are maintaining PO with such AAC, the GR-non-valuated indicator will be set defaulted and greyed out (i.e. you can't be able to deactivate). If only GR-non-valuated indicator is set, then this indicator check box will be defaulted (but not greyed out) and therefore, you can change if you wish to. Yet, these settings are not relevant to the case of raising multi account assigned PO as in this particular case, SAP will automatically set the GR-non-valuated indicator check box regardless of if you have made any settings in OME9. Hope this could help you. TQ
    rgds,
    nanthakumar

  • Accounting Document not updated in BKPF for JV by J1IH

    Hi
    The user posted JV through transaction code J1IH.
    The document number is updated in table J_1IPART2 but when the user is trying to see the same document in FB03 we are getting the error message as "the document is not exist or not archived".
    And we have checked in tables BKPF and BSEG we did not find this document.
    Can anyone please suggest how to find the reason why the system is not updated this document?
    Regards
    RS

    Hi Hari,
    Thanks for your reply. I have checked in this transaction code also. The system is showing the message as "The document is already posted".
    But it is not updated any tables except the document number is updated in table  J_1IPART2.
    Is there any other reasons for not updating the tables.
    Regards
    RS

  • I have set up an administrator account and three separate accounts for my kids. I have loaded microsoft office 2011. i can access it from the administrator account but not my kids account. how can I give them access?

    I have set up an administrator account and loaded microsoft office mac 2011. i have now added three kids accounts but can't seem to enable them to access the office mac software...... help please.

    Where did you install Office?
    If you installed it to the Applications folder in the admin account that ie reason why only you can access it.
    If you want everyone to be able to access it then you should install it in the Applications folder at root level.
    Allan

  • Multiple users in household, how do I simply sign out of an account and not delete the account?

    I just got an iPad and am still figuring out its quirks. One thing that is completely frustrating me is that I am being told that I have to delete accounts instead of simply being able to sign out? I don't get it? For instance the Gmail app lets you switch between accounts but both are always signed in. Same with iCloud and Appleid's. I don't get it? I have multiple users at my house that use the same apps but we can't sign in and out as our respective selves? Is this an Apple thing? I haven't used Apple products since the mid 90's so I could just be out of the loop? Not being able to Sign in and out doesn't seem very logical to me so it makes me think that I must be missing a step because why on Earth would you not have that function? Help me understand. Please and thank you.

    You are not going to like the answer, but no you cannot sign out of email accounts on the iPad. The iPad was originally designed to be a single user device that was to be used in conjunction with one's own iTunes library. That was back in 2010 when the first iPad was released. many things about the way you can use an iPad have changed, but it still designed to be a single user device.
    Anybody can check email in a web browser on the iPad, just like one can check ther email on any computer by signing into their account, but the built in Mail app does not have separate user accounts. You can sign into and out of Apple ID's on the iPad but that is where Family Sharing comes into play.
    https://www.apple.com/ios/whats-new/family-sharing/

  • Handling Unprocessed items- G/L account and not A/R account

    Good Morning SAP Guru's,
    I have a problem. When using FLB1, if I have an item that does not belong in the subledger but needs to be booked to a general ledger, I double click on the unprocessed item, change the account type from D for customers to S for general ledger and input my g/l in the account field, I get an error message that says:
    Payment advice 010013149700014 does not exist for account * 1134.
    What does this mean? I am currently testing and although I am able to assign a customer to this payment advice, it doesn't work for g/l. Any thoughts?
    Points promised!
    Many thanks!!

    no reply

  • GL accounts incorrectly marked as reconciliation accounts.

    Hi All,
    We have a few accounts in test environment that are incorrectly marked as recon accounts. These accounts are supposed to get manual postings which is not possibe. I am thinking about the options: 1) Reverese the postings? 2) Any program that allows you to automactically reset recon account field so that mass changes can be made to many accounts?
    Appreciate your inputs!

    Dear Vj,
    Please try to make the balance to zero for all currency existed in this account of your Company code.
    you could check it in FS10N via document currency button. If the balance is zero, then the Master data of this account can be changed.
    Addition,in case, you meet any error message, please try to change this message's status to warning or
    information message.
    For the functionality of changing the account master data massly, I feel very regret that as far as I know
    there is not standard functionality existed unless create a little ABAP PRG by yourself.
    With Best Regards,
    Gladys Xing

Maybe you are looking for

  • Satellite A300 thinks button is held down and won't start up (long)

    Hey sorry this is so long but I would really love some help, Ok so I was just wondering if there is a way to fix this... I was on my Satellite A300 (just over a year old) last night playing the Left 4 Dead 2 Demo using the Stream network and all of a

  • OBIEE Answers Direct Database Request

    The issue is that I want to link two reports created using Direct Database Request. i.e. when I click on a column of Report A I should be directed to Report B with the filter passed from Report A. The issue that we are facing is that we can access th

  • Batch Derivation in 4.6C

    Dear Gurus, Please guide if any one has implemented the functionality of Batch Derivation in 4.6c version. SAP provides this as a hidden fuctinality for this version. I have referred the related notes regarding it but would like to know more about ho

  • HELP! -- Slideshow ****

    I have tried many programs to create a QuickTime movie of my narrated slideshow, to no avail... I have a bunch of 1024 x 768 slides, which I want to stay at that resolution in a final QT movie which is 1024x768 sized. I have a narration soundtrack, a

  • Can't find NXT functions in Function Palette

    I'm trying to setup the NXT Toolkit in LabVIEW 8.2. I downloaded it, installed it, and then mass compiled with no error. When I start up LabView, I have everything I'm supposed to (for example the Tools->NXTModule menu option) but no new functions in