Accrual Engine- Open Item Gl Account

Hi
In case of Accrual engine , I am trying to post to target account which is Open item managed .
I know system will not allow to post to OI .
Is there a workaround for this ??
Regards
Ram

What would be the problem in posting to open item managed account??
Please clarify.
Regards,
Ravi

Similar Messages

  • Automatic Clearing - Open Item GL Account

    Dear Friends,
    We have created the Bank Clearing Account as an open item management account. The account would be credited while making the payment to the vendor thru automatic payment run and debited once the payment has been cleared from the Bank. We would like to do the automatic clearing of the open items like GRIR account. Could you please advise what maintenance is to be done on the Config side and which T Code is to be used.
    Thanks for the help!
    Regards

    Dear Raj,
    Bank clearing accounts is used to for Bank Reconciliation purpose . If you like to automate this process you have to configure Electronic Bank Statement process. You can check the below links
    http://wiki.sdn.sap.com/wiki/display/ERPFI/ElectronicBankStatement
    http://www.sap-img.com/financial/customizing-an-electronic-bank-reconciliation-statement.htm
    Note: There are so many posts with regards to Electronic Bank Statement process, you can search from the forum also.
    Thanks and regards
    Praveen.J

  • ICR Process 003 Open Items GL accounts

    Hello,
    I have a problem getting our open items GL accounts to be selected under Process 003 using transaction FBICS3.  I have run FBIC and included open items GL accounts in Process 003 and have run FBIC031 and have unchecked tables FBICRC003A (should I check table FBICRC001A?).  I have run FBIC004 successfully and have removed ledger 0L from process 003 in FBIC010.  I have checked the Local company field for all companies in FBIC032.  Finally, I have set up the Data Sets for our GL accounts and customers and vendors and set up the groups and sub-groups. 
    When I run the Select Documents FBICS3 I get all my IC cusotmer and vendor documents, however get an error message for the Open Item GL accounts that says the "group account could not be determined".  The long text says to "complete the assignment of the operational accounts to the group accounts".  What did I miss and where do I do this assignment?
    Gary Pajkos

    Hello Gary,
    Actually you can include GL open items in process 003 (and vice versa). In FBIC032 you create a new entry for each company and select the data source GL Open Items.
    Best regards,
    Ralph

  • Open item management accounts

    Hi
    can any one give me some example of GL accounts which will maintain open item management accounts other GR/IR and rent clearing accounts.
    ramesh

    Hi
    All Sub ledgers are 'Open Item Management'.
    Other than GR/IR, Rent clearing accounts.
    We can use 'Provision for Outstanding Expenses' a/c as 'Open Item Management', where provisional expenses are booked and cleared upon receipt of actual invoices, like electricity,rent,telephone etc.
    Laxmiprasad

  • Fagl_fc_valu for open item managed accounts

    Hi,
    I have an open item managed account and I have activated the delta posting logic.  In January, an entry was made and not cleared.  The open item managed account was valuated at month end and an entry was posted to an adjustment account and unrealized gain.
    With the delta logic, I have not adopted the monthly reversal.
    Early in February, the item is cleared.  The document created posts an amount to realized gain and an offset to the adjustment account.
    At month end February, I run fagl_fc_valu and there are two entries created.  Effectively, they reverse themselves with entries to the balance sheet adjustment account and the realized gain account.
    First question, why do I get these two entries  In the text description, one says RXDAdjustment Posting.  The other says RXDTRAAdjustment Posting.
    Second question, how do I get the January entry to unrealized gain to reverse.  Will this need to be a manual entry or is there something with configuration that can fix this.
    Thank you

    As per the New GL design it is not possible to post an entry specific to non lead ledger  to a GL which is open item managed. The reason is very clear. In non lead ledgers we do not do clearing we only do adjustments entries. Clearing can only be done in a lead ledger. Ask yourself about making a payment to a vendor from non lead ledger. It is not at all sensible.
    What you need to do to handle this scenario is to create a new GL (if it is a B/S account then mark it as line item managed and in the text you need to mention that this account is specific to non Lead ledger postings. There is no way in ECC 6.0 to flag a GL for non lead ledgers only. Once you create this account you can post an entry to this using T Code FB50L. From financials standpoint you can club this new GL in the same group or number range where you have the same account with open item managed checkbox.
    SAP is working to extend the clearing functionality to non lead ledgers but I am not sure which enhancement pack will have this feature. Till that time you need to follow the solution as described above.
    Hope this helps

  • Archiving documents having open item managed accounts

    Hi All,
    We have a requirment to archive accounting documents older than 2 years. I would like to know if it is possible to archive those accounting documents which have postings on open item managed accounts.
    Example: If I have an accounting document for good reciept posting  as stock account to GR/IR account. can we archive this document.
    Thanks and Regards,
    Satya

    HI,
    For Archiving must full fill creteria:
    1.The docouments must no longer contain open items. The system takes into account only cleared items or those with out open item management.

  • Provision for Amortisation  as open item management account??

    Hi Friends,
    related to previous question ..what about the Provisions accounts
    for ex Provision for amortisation ..Pro.Gratuty ..Prov.Leave salary.
    Provision for Interest Tax
    Provision for Staff Remuneration A/c
    Provision for Taxation
    Provision for Wealth Tax
    Deferred Tax Liability A/c.
    Provision for DIVIDEND PAYABLE
    Provision for DIVIDEND TAX PAYABLE
    Provision for Interim Dividend A/c
    Provision for Other Financial Liabilities
    Provision for Other Payables
    Provision for Proposed Dividend
    Provision for Tax (MAT)
    For all above accounts can we manage as OPEN ITEM managed accounts???
    pls clarify me
    regards,
    shashi.

    Hi,
    Provision is expenses account, means it's P&L. so it's not advisable to use open item management due to:
    Accounts that are managed on an open item basis:
    Clearing accounts:
    Bank clearing account
    Payroll clearing account
    Cash discount clearing account
    GR/IR clearing account
    Hope this will solve ur problem.
    TQ
    Regards,
    Nazrul

  • Post open item management account into non-leading ledger independently

    I want to use FB50L to post an open item management account balance value into non-leading ledger, the system throws out an error.
    I know it can not delete the sign ---open item.
    Could anyone give some advice?
    Thank you!

    Hi,
    Open item management account  as an adjustment account.
    By your description the adjustment account for GL account is the same
    at Trx OBA1, so this is the reason for error message
    FAGL_FC_VAL does not allow Open item management account as an adjustment account
    in standard because normally there are more than one ledger set up,
    and  Open item management account must be valid for all ledgers (as the clearing can't be
    carried out by ledger). If FAGL_FC_VAL allows this and made the posting
    on one specific non-ledger, this basic rule can't be fulfilled.
    It's same as trx. FB50L that doesn't allow Open item management account to be
    entered in case of ledger-specific posting.
    FAGL_POST_SERVICE012. This is justified because open items must be
    made valid for all ledgers in the client, and even if there's only one
    ledger (0L) in your case that this is also considered as 'ledger-
    specific' posting.
    Please also check the SAP note:
    1239651 FAGL_FC_VALUATION: Posting with a ledger
    However you can apply SAP note 884639 to remove the ledger group from
    FAGL_FC_VAL posting, and this way the Open item management account can be
    used as an adjustment account. However please note that SAP note 884639
    is MODIFICATION and the coding could be overwritten by applying the
    support package or with upgrade.
    Thanks,
    Raviteja

  • TDS on Professional Fees as open item management account??

    Hi,
    Can we create all TDS Payable accounts as Open Item Managed ??
    if we dont create it as open item managed accounts what couldbe the problm??
    pls guide me?
    shashi

    Hello,
    If you maintain TDS gl as open item management active
    You can run J1INCHLN (remittance challan) in system itself. No need to pass any manual entries. For filling returns at month end it will be useful.
    If you are not maintained open item management active system will allow to create remittance challan, bank challan update and TDS certificate print outs.
    Regards,
    sankar

  • Accrual postings open item management

    Dear all,
    When I try to make accrual postings to  an account with open item management I receive the following error message:
    "Postings to G/L accounts with open item management are not permitted".
    I have found some old notes regarding this problem, but none of them are usable for release 6.04.
    I need this account to be processed with open item management. How can I fix this problem?

    Hi,
    Did you find an issue of your problem?
    We have the same problem with Accrual postings and we don't use foreign currency.
    Regards,

  • Open item manage accounts clearing problem

    Dear experts,
    We have created some of the liability gl accounts master without open item management.  After a period of time we have converted the gl accounts into open item management by executing the programme RFSEPA02.  Now we are going to clear the old documents, which are posted before open item management conversion.
    Now the problem we are facing is  - document splitting for the old document.
    Kindly send your openions to clear the old documents or again we are ready to convert the open item management to non-open item management for the GL accounts.  How to do it.
    BSR

    butter to search for OSS note or write service market place

  • Parallel ledger - posting in one ledger only - Open Item managed account

    Hello all,
    We have a requirement which necessitates posting some entries in one ledger only for the purpose of complying with more than one GAAP. (US GAAP and local GAAP).  However we understand that such postings cannot be made to GL accounts which are open item managed.
    Is there any workaround for this?  How do we get around this?
    Regards
    Sukumar

    Hi Sukumar,
    According to my understanding, directly postings to GLs is possible in case of 'Open Items Managed' GLs. To ensure parallel accounting with different GAAPs, you must have defined Leading & Non-leading Ledgers. You can pass entries directly to Non-Leading Ledgers to ensure compliance with the relevant A/cing stds.
    Regards,
    Amish.

  • Data in BSIS/BSAS for a non-open item managed account

    Hi
    We have a GL account (Bank account) which does not have open item management checked in its master data,
    Still I can find line items for this account in table BSIS / BSAS
    How is this possible ? and if an account is not open item managed, how do the records move from BSIS to BSAS ?
    Regards
    Sachin

    Non Open Item Account should have entries only in Table BSIS and no entries in BSAS. Check if there was OpenItem mgmt earlier but deactivated later.

  • To switch on open item management account

    Hi all expert,
    What is the correct way of enable 'open item management' flag for GL account with posted entries? I try to duplicate program RFSEPA02 into ZFSEPA02 and execute it, but this program prompt me 'Line item total does not tally with account balance.'
    I have checked using FBL3N and FS10N to confirm that line item total is tally with account balance.
    How to turn on open item management flag and change all existing line item to open item?
    Thank you.

    you have copy RFSEPA02 to Z... and comment the following lines:
      CALL FUNCTION 'POPUP_DISPLAY_TEXT'
           EXPORTING
                POPUP_TITLE    = ' '
                TEXT_OBJECT    = 'RFSEPA02'
           EXCEPTIONS
                TEXT_NOT_FOUND = 1
                OTHERS         = 2.
      LEAVE PROGRAM.
    (right after INITIALIZATION)

  • Posting in Open item managed accounts in Non Leading ledger

    Hello,
    I would like to know how can we post into a open item managed G/L account in the non-leading ledger only.
    If it is not possible, then what could be the reason for the same?
    Regards,
    Sameer

    As per the New GL design it is not possible to post an entry specific to non lead ledger  to a GL which is open item managed. The reason is very clear. In non lead ledgers we do not do clearing we only do adjustments entries. Clearing can only be done in a lead ledger. Ask yourself about making a payment to a vendor from non lead ledger. It is not at all sensible.
    What you need to do to handle this scenario is to create a new GL (if it is a B/S account then mark it as line item managed and in the text you need to mention that this account is specific to non Lead ledger postings. There is no way in ECC 6.0 to flag a GL for non lead ledgers only. Once you create this account you can post an entry to this using T Code FB50L. From financials standpoint you can club this new GL in the same group or number range where you have the same account with open item managed checkbox.
    SAP is working to extend the clearing functionality to non lead ledgers but I am not sure which enhancement pack will have this feature. Till that time you need to follow the solution as described above.
    Hope this helps

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