APC ASSET (cost, payments, debts related to asset)

Dear sap colleages
I need to know these information about an ASSET:
Purchased orders,
Items from purchase orders,
which of these items i've received, i've paid (also date), i've not paid ( amount of debt related to asset)
payments in advanced (date),
wich of these payments have been cleared (clearing date) and wich not,
who is the vendor,
other expenses (such as delivery)
the amount of taxes,
invoices related and NOT RELATED TO purchase order
payments without invoice
Which transactions do i need to follow?
or
Which document flow?
or
Which tables? Wich keys?
or
Is there a standard report that can give me such information?
Any documentation and/or code will be appreciated.
I need to program a report to integrate all these information.
Thanks and Kind Regards

Hello Lidya,
you need tons of informations.... Seems to me as a country specific request.
Have you checked the informationsystem of AM, maybe SAP offers a country-specific report.
Mainly everything depends on the modules are you using in combination with assetmanagement, i. e.
- Materialsmanagement (valuated or non-valuated goods received),
- Investment Management,
Projectsystem.
Do you need all these figures in one report?
Best regards
   Horst

Similar Messages

  • Payments and Debts about an ASSET (APC ASSET)

    Dear sap colleages
    I need to know these information about an ASSET:
    Purchased orders,
    Items from purchase orders,
    which of these items i've received, i've paid (also date), i've not paid ( amount of debt related to asset)
    payments in advanced (date),
    wich of these payments have been cleared (clearing date) and wich not,
    who is the vendor,
    other expenses (such as delivery)
    the amount of taxes,
    invoices related and NOT RELATED TO purchase order
    payments without invoice
    Which transactions do i need to follow?
    or
    Which document flow?
    or
    Which tables? Wich keys?
    or
    Is there a standard report that can give me such information?
    Any documentation and/or code will be appreciated.
    I need to program a report to integrate all these information.
    Thanks and Kind Regards

    This request needed a deep analysis. There were not any standard function.
    Thanks

  • Vendor payments and debts about an asset

    Dear sap colleages
    I need to know these information about an ASSET:
    Purchased orders,
    Items from purchase orders,
    which of these items i've received, i've paid (also date), i've not paid ( amount of debt related to asset)
    payments in advanced (date),
    wich of these payments have been cleared (clearing date) and wich not,
    who is the vendor,
    other expenses (such as delivery)
    the amount of taxes,
    invoices related and NOT RELATED TO purchase order
    payments without invoice
    Which transactions do i need to follow?
    or
    Which document flow?
    or
    Which tables? Wich keys?
    or
    Is there a standard report that can give me such information?
    Any documentation and/or code will be appreciated.
    I need to program a report to integrate all these information.
    Thanks and Kind Regards

    Hi,
    Refer to T.code AW01N - Asset Explorer .
    Additionally you cna also refer to SAP Standard reports in Asset Accounting
    Accounting - Financial Accounting - Fixed Assets - Information System - Reports on Asset Accounting
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    Sridhar M

  • Does anyone had done mass adjustment on Asset Cost to the Asset's NBV?

    Hi,
    I want to see if any one had done Asset Cost Revaluation due to acquisition; to Compliance with GAAP accounting rules related to the acquisition of our company. We want to adjust all our Asset Cost to their current NBV and adjust the current Accumulated Depreciation to $0. Then Assets will be depreciated begining on the acquisition date of the company using the existing depreciation useful lives, not the remaining useful life. All the other depreciation conventions and methods will not be changed.
    I can't use the AM Mass Revaluation process as it can only adjust cost by amount or percent. We don't want to do an IUT to the same BU with action of ADD as we don't want to generate any new asset id. Any advice or suggestion will be greatly appreciated.
    Thanks,
    Ali

    Doug,
    I had already started along that path, by removing the Microsoft mouse driver (which didn't fix the problem). However, starting the system in safe mode was a good baseline, as it went to sleep as it should - confirming a software-related issue.
    I figured it would actually be easiest to shoot this bug by starting from scratch with an erase and install. After each tweak (ie, turn firewall on), software add (ie, clamXav), or update to the system, I tested it's sleep ability. And I found the bug/issue.....checking 'enable firewall logging' under the advanced options on the firewall tab, in the sharing preferences pane. No kidding. Stealth mode and UDP can be checked, just not firewall logging. Dunno why, however, the world is now at peace, able to sleep as needed.

  • Depreciation Expense For Related Project Assets

    Dear All,
    I have a question, Please help.
    How can I post depreciation expense from Oracle Asset to Oracle Project Costing for assets that working and assigned to Projects like equipments and Cars that assigned to project..... and we want to post their deprecation expense as burden in oracle project costing ????
    ++Please find the below my search conclusion in past few days.++
    1- Oracle Say that "There is currently no interface between Oracle Assets and Oracle Projects which allows you to post depreciation expenses directly to projects."
    2- I have non-complete idea: I have a project Segment in AFF so I can Post depreciation expense for related project assets to GL directly, with Project segment value and create Expenditure Batch in Oracle costing to manually enter depreciation expense as lump-sum in Oracle costing but it is not preferred to create Entries in Subledger Accounting and not send it to GL so my question in this work-around, Can I Create Expenditure Batch and only create Distributions 'PRC: Distribute Labor Costs' ???
    And don't create rest steps "PRC: Generate Cost Accounting Events,PRC: Create Accounting, PRC: Transfer Journal Entries to GL"
    Please suggest best solution or help me in my work-around, its urgent
    Thanks in Advance
    I Orouk

    Kindly find the below case as example ---
    There are 5 equipment like trucks and cars that working in project X100 so I want to show depreciation expense for the mentioned assets as Burden on the X100 Project in Oracle Project Costing Module..
    Please Consider the below focal points:
    1- Regarding Oracle Assets business Cycles. Oracle Assets send depreciation expense to GL directly and there is no any impact in Oracle Project Costing about Depreciation expense(for Project related assets )
    2- Project X100
    Project Cost = 10000 $
    Depreciation Expense for the 5 equipment (Project related assets) = 1000 $
    Real Project cost = Project Cost 10000 + Depreciation Expense for the 5 equipment 1000 = 11000 $
    I want to show Real Project cost in Costing Module so I have to record Assets Depreciation Expense for the Project related assets in Oracle Project Costing .... Can you help me about what the best way to record Assets Depreciation Expense for the Project related assets in Oracle Project Costing and please review my suggestion about expenditure batch in 1st post
    Thanks in Advance
    Iorouk
    Edited by: user12255659 on Jan 23, 2012 12:56 PM

  • Asset Down Payment  for AUC

    Hi,
    I am having a query in Asset Down Payment  for AUC
    I have configured for both Acquisition: down payments and Down-payments clearing account in 'AO90' in asset module.
    But I am still not clear why Down-payments clearing account account needs to be configured.
    The entry I am getting are
    1. F-47 DP request - I enter the Asset number here. Noted item.
    2. F-48 -DP- an entry is created as follows:
    Vendor     Dr     1000
    Bank     Cr     1000
    Acquisition: down payments     Dr     1000
    Down-payments clearing account     Cr     1000
    3. Now the Down-payments clearing account shows a credit balance all the time.
    How should this be rectified
    rgds
    Vidhya

    Hi Vidya,
    Option 1: When you follow based on your example, ie., asset debited during down payment entry, asset entry will be reversed when you adjust down payment against invoice.
    Option 2: Down payment request and down payment made against AUC asset with reference to Purchase order:
    With reference to PO: Please refer sap note number 310368 valuated goods receipt paragraph and they have clearly mentioned about making down payments against asset/AUC purchase order without getting debited to asset account.
    You have to make F5 378 message number to be a warning message instead of error message and you have to suppress asset related settings in OB41 posting keys 29 and 39. Posting key 39 is useful when you have down payment request.
    If you have done this, then it will show only warning message during down payment that "purchase order is related to asset" and it will not be debited to asset account. Also after following the above steps, it is not necessary for you to give Acquisition: down payments G/L and Down payment clearing G/L in AO90 transaction code.
    Hope this helps. Assign points if useful.
    Regards,
    Dwarak.

  • Settlements from revenues/debit-side down payments to receiver fixed asset

    Hi
    while settling the WBS to AUC i am getting the below error
    settlements from revenues/debit-side down payments to receiver fixed asset  is not allowed
    please advise how to resolve the issue
    Thanks
    Rao...

    Hi Rao,
    As a matter of system design revenues must not be settled to assets  under construction and/or regular assets.                              
    Please see the note #741828 which explains the problem more detailed.
    In some cases it is sufficient to maintain a "dummy" settlement rule (e.g. internal order as a receiver for the revenues) if the BALANCE of the revenue cost element in the settlement period is "0". The note #741828 advises in detail on how to proceed.                                                                               
    As a last resort the note also offers a coding change in case you do not want to follow the workaround (so that message KD561 is suppressed  during settlement). You may thus remove the coding change again after  you have successfully settled.                                         
    Regards Bernhard

  • Error While Posting the Asset Down Payment

    Dear Members,
    When I am doing Asset down payment through F-48, I am getting the following error.
    Before that I would like to inform you that I created 2 GL Accounts. i.e. Down Payments on Assets ( Recon A/c Assets )  and Second GL A/c is Asset Clearing A/c ( With out Recon A/c ).
    Further I assigned in T. Code -   AO90, I assigned the Down Payments on Assets GL A/c and In Clearing column I assigned the Asset Clearing A/c.
    Even though it is giving the following error.
    Item category 07000 not allowed in accounting transaction 1000/0001
    Message no. GLT2001
    Diagnosis
    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.
    The following error occurred for the document you entered:
    Item category 07000 in accounting transaction 1000, variant 0001 is not allowed.
    System Response
    The document cannot be posted.
    Procedure
    Check the document entered, the derivation of the business transaction variant, the derivation of the item category, and the assignment of the item categories to the business transaction variant.
    do the needful at the earliest.
    Thanking You
    Regards
    K. S. Kumar

    Hi Sai Kumar,
    Go to Document splitting node..
    And check against the doc type that you are using in F-48, what business transaction variant is assigned in Classify document types for Document Splitting.
    next go to the following node....
    Doc Splitting->Extended Doc Splitting-> Define Business Transaction variants
    and select your business transaction variant as defined above and copy that and give it a name Z001,
    now select Z001 and double click on Assigned Item categories.., then select new entries and add 07000 Asset there and save.. it will give a warning message but just go on saving.
    next go to the node Classify document types for Document Splitting again and enter this Business transaction variant againt the document type that u r using in F-48. AND it will work.
    Regards,
    SAPFICO

  • Asset Down payment reconcilation account -error

    Hi,
    My client requirement is Asset Down payment.For this i am giving Special GL account 120150 in AO90 transaction. Is is giving error.the above spl gl account was maintained in OBYR.The same why it is not accepting in AO90.
    Account 120150 not yet defined as reconciliation account in company code 3000
    Message no. AC308
    Diagnosis
    The account assigned for these circumstances (G/L account:down payments) has to be a reconciliation account. This account is not yet defined as such in company code 3000.
    Procedure
    Define the account as a reconciliation account.
    1.Why it is not accepting the Gl account which i have maintained in OBYR-specila GL for down payments?2
    2.How to solve this error?
    please help me.
    Thanks
    Kishore

    Hi Kishore..
    Please maintain your account 120150 as a recon account.
    That should solve your problem..
    In case you need further clarification, please feel free to write to me..
    Good Luck!
    Lucid-Mind...

  • Asset Down Payment - Error code: . AA 834

    Hi ,
    I am getting below error while doing F-48 Asset down payment entry.
    You cannot use this transaction type to post to this asset
    Message no. AA 834
    Diagnosis
    The transaction type entered belomgs to transaction type group 15. It has been specified for this transaction type group, that it is only allowed to post to asset classes for which it has been explicitly allowed (for example, the asset class for assets under construction). The asset to which you are posting belongs to class 16 (chart of depreciation IN). You cannot post to this asset class using the transaction type entered.
    Procedure
    Check the asset number you entered. You may want to allow posting to this asset class using this transaction type group.
    What would be the problem..?
    Regards
    Ashok

    Hi,
    Check setting in tcode OAYB. Here you have to allowed downpayment in asset class for which you want to make down payment.
    Warm Regards

  • Cost center and plant in asset master creation compulsory entry config

    where we configure that cost center and plant entry is complusory while creation of asset master.
    is it   asset accounting
                   master data
                           Define screen layout for asset master
                                     Define Screen Layout for Asset Master Data
    as in our system in config    cost center and plant is optional        but while creation of asset master it becomes compulsory field

    Hi,
    Yes, it's defined in the layouts for assets master data.
    Regards,
    Eli

  • Down payment (F-48)   for Asset Purchase Order

    Dear Experts,
    Please guide me,   i  am getting one error while doing down payment to  vendor through F-48 ,    I created one asset purchase order,  against purchase order making down payment that time  i am getting this  error message
    "You cannot use this transaction type to post to this asset
    Message no. AA834
    Diagnosis
    The transaction type entered belongs to transaction type group 15. According to the specifications for this transaction type group, posting with transactions types belonging to this group are only allowed in specific asset classes (for example, asset classes for assets under construction).
    The asset to which you are posting belongs to class 401006 (chart of depreciation WCCD). You cannot post to this class using the transaction type you have entered.
    Procedure
    Check the asset number entered. You may want to allow posting with this transaction type group for the asset class of the asset.  "
    my asset is plant and machinery, any configuration is required.
    as per my knowledge i checked in T.code : OAYB   transaction type groups   15  only assign AUC asset class and  Capital  Advance.    In account determination  balance sheet  accounts   there is  Acquistion : Down payment   and  Clearin G/lL for Down payment   g/l a/c  not assign .
    SAP F1 help  in that field (above said)  is saying that only for AUC.
    Please guid me ,   What to do.
    Thanks & Regards
    Chandu

    Hi Chandu,
    Can youplease confirm the the Asset Class (the one linked to the asset you are using for carrying out down payment with T.Code F-48) has been set-up in configuration as an AUC asset class. Check on T.Code OAOA for the radio button selected for Status of AUC.
    In case your Asset Class - which is Plant & Machinery - has been set up as "No AuC or summary management of AuC" i.e. has been set-up as a final asset class then you will get the error.
    Solution Options:
    (1) Either change the Asset Class set-up (using T.Code OAOA).
    Please note - you might not be permitted/able to do this if the system already has posted transactions for this asset class.
    (2) Carry out the downpayment for an AUC Asset (create an AUC Asset using T.Code AS01). Carry out F-48 for this. Later settle this AUC asset to the required/relevant final asset (using T.Codes AIAB and AIBU).
    (3) Specify your Asset Class as available for carrying out DownPayment transaction. Use T.Code OAYB and for Transaction Type Group 15, include/add a new entry for your asset class.
    (4) Ensure that the Account Determination linked to you asset class (check this in T.Code OAOA) has been correctly and adequately set-up for GL account determination (use T.Code AO90).
    Hope this helps.
    Regards,
    Ruchi

  • APC Value and Plan Value for an Asset.

    HI Gurus,
                      I am developing a report where I have to display the APC value and Plan value of an Asset.Can anyone pls give an insight how to find this for the Asset.

    Hi,
    why don´t you use the logical database ADA which most of the FI-AA standard reports do? The logical database is a service to get this information without developing all the READ information and translation by yourself, especially when talking about mid-year-reporting, consistence checks, etc..
    If you decide to use ADA, then the events GET ANLA0, GET ANLAV and GET ANLCV are from interest for you for information about APC and planned/posted depreciation value.
    Regards,
    Markus

  • Cost center change in the Asset master record

    Hi
    When ever cost center changed in the Asset master record, can it possible what ever the dep that is posted to previous cost center,that will automatically transfers to the new cost center,is there any programme for this,i can use repost functionality in controlling,some time many copst centers changes will happen in
    our system,so can any tell me how to automate this.
    Thanks
    Lily

    Hi,
    Automatic transfer to new cost center is not possible.
    You need to use Distribution or assessment to re allocate the expenses to new cost center.
    Regards,
    Murali
    If it is useful, award points

  • Any standard report to show WBS,settlement, asset no and asset cost/value

    Hi All,
    Please advice . Is there any standard report to show WBS,settlement, asset no and asset cost/value ? I tried tcode kosrlist_pr but it does not show asset cost/value.. it shows only WBS,settlement and asset no.
    Thank you.
    Best Regards,
    Nies

    Dear,
    der is no such standard report to show WBS,settlement, asset no and asset cost/value as perv my knowlwdge. so do one thing select one standard report which is more similar to standard report to show WBS,settlement, asset no and asset cost/value but some of like asset no or asset cost or some other values not reflecting in that std report. den u take the Table name and field name of that particular fields which u wann reflect in the report. use the logic of STD TC of SAp which more similar to which u wanna preapre the New TC. tae help of Abaper. tell ur querry and content of ur report . he will definately do it
    if ur get my ans reward with points
    Regards
    Rakesh

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