Asset Balances & Cost Line items Report

Hi,
I am looking for a Report which would combine Asset (S_ALR_87011963)balance report and Cost line item Report(CJi3) for Projects.

Hi,
The flow is like this ( if u r using timesheets for confirmation):
CAT2 : Timesheet: Enter Times : User enters the time.
CATS_APPR_LITE  : Approval of timesheet
CAT5  : Transfer to Projects.
This will post cost to Projects.
Another way of getting the Actual cost is Confirmation using CN25 or CN29.
Regards,

Similar Messages

  • Internal Order - KOB1 - Actual Cost Line Item Report

    Hi Friends,
    I need to understand how the KOB1 Report - Actual Cost Line Item works.
    As per my understanding when ever there is cost posted with assignment to Internal order this report should reflect the amount.
    We have a PO with account assignment to Internal order and Asset.
    When Goods Receipts is posted the with posting key 70, the report is reflecting the amount.
    When Invoice Receipt is posted KOB1 report is not reflecting this amount.
    There is one Invoice receipt posted with  entry
    31 Dr
    70 DR
    86 Dr GR/IR
    and the 70 debit amount is coming in the report.
    So can any one please tell me does this report show all the entries with IO assignment or when posting key 70, 75 ,80,81 are used.
    And also is GR considered as cost posting or IR considered.
    This issue has been pending from 3 months.
    Appreciate your help.
    Thanks
    Satish

    The KOB1 line item report will show you any expense account posted to that order.
    Basically you are the order collecting the cost. During the invoice receipt, the expense account are not involved, except in cases of a price difference.
    The vendor account credit and debit to GR/IR are not concerned with the order.

  • When the labor cost of timesheet  go to the Actual Cost Line Items report ?

    Hi ,
    when the user book the time in timesheet on Network / Activity, when this record reflect the actual cost of project ?
    After Timesheet Approve via CATS_APPR_LITE
    Or after Confirmation
    Or after transfer via CATA
    Who can tell me the relationship among these three steps ?
    Thanks and Regards
    Shubin

    Hi,
    The flow is like this ( if u r using timesheets for confirmation):
    CAT2 : Timesheet: Enter Times : User enters the time.
    CATS_APPR_LITE  : Approval of timesheet
    CAT5  : Transfer to Projects.
    This will post cost to Projects.
    Another way of getting the Actual cost is Confirmation using CN25 or CN29.
    Regards,

  • Line item report on secondary cost element (cat - 21)

    Hi Gurus,
    Secondary cost element with category 21 is used for internat settlement from order to wbs or wbs to cost center. But can we see line item report on this cost element. Or we cannot see any line item report on this cost element. it is just used for internal settlement purpose.
    Please clear this doubt. thank you

    Hi Mohit,
    I hope you can have line item report @ order and WBS element stright away...
    for orders use: KOB1 transaction code for actual line items, where you have the facility of entering CE or CE group to find the vaues related to particular cost elements in the order. If you are flexible with CEs related to 21, give there otherwise create a CE group specific to 21 category and enter the group and find the results you want.
    same way for WBS elements/projects: we have transaction code CJI3 for actual line items, here also we can enter CE or CE groups
    Not only for actual line items, we have the option of viewing plan line items, budget line items, and commitment line items @ both order and WBS level with different transaction codes other than mentioned above, like KOB2, KOB3, CJI4, CJI2 etc
    I hope it helps a lot if I understand your query right
    Regards..
    Jose

  • A Standard RRB report that shows actual project cost line items .... ?

    A Standard RRB report that shows actual project cost line items but that also shows amount/qty by rejected, billed, to be billed, postponed?
    I'm looking for something that will allow project managers to reconciile with the RRB totals and be able to dril in a see a level detail not available in RRB to decide what should be billed, what should should be deferred (postponed) and what should be rejected out of hand.
    Thanks.

    Thanks Virendra Pal but the VAx5 reports are not really the answer - maybe a custom report will be required right enough.

  • Plan cost line items for cost centers report

    Hello,
    I am displaying the report: Plan cost line items for cost centers and when I display the details of a line item it appears a document number, where could I display this document?
    I have tried to display it in FB03 transaction but it seems not to be this kind of document.
    On the other hand in the field Business transaction it appears RKP6, what is the meaning of this field?
    Thank you very much

    Hi Beatriz Amezua ,
    For displaying plan line items for cost center - KSBP and for display of individual plan document : KABP
    RKP6 means "Planning Activity Dependent Costs"
    Like in FI module, the business transaction have been codified and the list you can find in KANK transaction , mention your controlling area, menu -- Groups --  Display Groups
    Srikanth Munnaluri

  • Cost element and Line item reports show different actual costs

    Hi PS experts,
    My client has an issue pertaining to actual cost reports. The cost element report shows actual costs $42,000 for one WBS and when I double click to see details the value it shows is $2100. Even when I checked line item report for this WBS the value is $2100. What could be the reason for getting different values? If some one throw some light on this it would be great helpful to me
    Regards,
    Laxminarsimha

    Laxminarsimha
    The values in CJI3 should be correct and will include all postings (e.g. Settlement values) and possibly Actual Revenues unless a filter is in place - so take this as being your correct figure to start with.
    Your drilldown will show the same value as CJI3 because it is CJI3
    Any cost element report you are using is probably correct for what you are asking - is this a Standard Cost Element Report you are using or is it bespoke
    One thing to be careful of when you drilldown on Cost Element Reports is that you do not always get the a make up of the value you have drilled down
    e.g.
    Cost Element Report was run for Period 1 to 6 2008 and shows £100.00
    You drilldown and sometimes the drilldown automatically shows ALL line items e.g £500.00 (not just the values for periods 1 to 6 of 2008 which you may expect £100.00)
    In the past I've removed the drilldown capability from bespoke cost element reports to prevent drilldown to the line item report (which is CJI3) because of this problem.
    Usually where values for a a number of periods only (not total costs) was required
    Other factors to consider
    Revenues/Settlements may be excluded from Cost Element Report but will not be excluded from CJI3 unless you specifically restrict
    You need to identify which types are postings are missing from the Cost Element Report (what is common...cost element, dr/cr indicator, business transaction)
    I've also hit the mistake in the past where I've asked for periods 1 2007 to period 3 2008 and instead of giving me just over a years worth of actual it gave me actuals for periods 1 to 3 for 2007 and 1 to 3 for 2008.
    Hope this helps
    Steve

  • Cost Center Line Item Report

    Hi All,
    Is there any BI Conent Datsource which will help costcenter line item report.
    otherwise is there any datasource which cover these tables...ADRP,COVP,CSKS,CSKU,CSKT,EKKO,EKPO,ESIL,LFA1,MSEG
    Regards

    Hello Srini,
    Take the link and see the left pane of that screen, you will get all the datasource list relavant for you requirement.
    http://help.sap.com/saphelp_nw70/helpdata/EN/13/fa383fc4805003e10000000a114084/frameset.htm
    Good day
    Regards
    Arun S

  • Transaction KSB1 - Display Actual Cost Line Items for Cost Centers

    Hi,
    When I run transaction KSB1 - Display Actual Cost Line Items for Cost Centers, all my offsetting accounts (accumulated depreciation accounts) are shown except for the ones for asset classes:
    - Buildings
    - PC & Small Applications
    On the FI side, I can see transactions being posted to their relative accumulated depreciation accounts but I do not see this on the CO side when transaction KSB1 is executed. I have checked the config and the account assignments look correct. Also, the assets created have cost centers assigned to them.
    Could you please help!
    Thanks,
    - Deki

    Hi Murali,
    I have one depreciation expense account (P/L Account) which is also a cost element.
    During depreciation run, the different asset classes are supposed to hit the depreciation account above and their corresponding accumulated depreciation accounts (These are Balance Sheet Accounts and I have separate accounts for each asset class .. ie: Accumulated Depreciation for Furniture and Fixture for asset class Furniture and Fixture).
    Now when I run transaction KSB1 - Display Actual Cost Line Items for Cost Centers, all my accumulated depreciation accounts are shown except for the ones for these asset classes:
    - Buildings
    - PC & Small Applications
    Any thoughts on why the above aren't showing?
    Thanks!  I really appreciate your help!
    - Deki

  • S_ALR_87012247 - Customer Balances and Line Items in Local Currency

    Hi All,
    This report S_ALR_87012247 - Customer Balances and Line Items in Local Currency  is not displaying line items for customers in ECC6. Is there any configuration required to get the line items? Please help
    Thanks
    Sridevi

    If you see this report S_ALR_87009950, you will get
    Opening Balance at the start of fiscal year
    Debits and Credit during the reporting period
    and the Cumulative Balance.
    Please note the above report will not give you line item details.
    S_ALR_87012247 report is specifically for poland, in the description it is mentioned that the line items will be displayed, unfortunately, for other countries, there are no line items visible. Therefore, you may explore the possibility of copying this report and changing the code in order to bring the line items along with the totals.

  • WBS Element on AR/AP Line Item Report

    Hi All
    When I run the FBL1n report for a vendor who has a PO which has a WBS element - I dont see the WBS element coming up on the line item report(s).
    Although the field is there on the layout - it is not picking the WBS Element into the report - can anyone please tell me why this is and how I can get this field to fill with values...
    Thank you
    Rukshana

    hi,
    If you had activated Project Cash Management, you can try report CJIA which can substitute the report line item wise list for a particular project or for a Particular Vendor.
    Why the standard system is not showing WBS because, a single Vendor line can be posted against multiple expense so system cannot determine which WBS to be shown in the report so it is left blank in reports, this will be applicable for Purchase order no, Cost Centers, WBS etc.
    As suggested by Suresh you can use the BTE 1650, but it will keep one WBS in the line even you have multiple WBS elements used for the document posting.
    For Ex
    Expense 1 Dr  1000- WBS 1
    Expense 2 Dr  1000- WBS 2
    Expense 3 Dr  1000- WBS 3
    Vendor A Cr    3000
    Against Vendor line item A - it will show WBS 1 alone.As there is no standard solution you can use BTE if your are satisfied with the above example or you have to activate Project Cash management to find the exact reporting but in different reporting structure.
    Thanks and regards
    Praveen.J

  • Profit center line item report

    Hello All,
    A sales order is created with reference to a service order, now when I see Profit center line items, the function area available in Service order is differ from the function area displaying with sales document number in profit center line item report. Can anyone please tell me where could be the problem.
    Full points will be awarded for the answer.
    Thanks & Regards
    Srini

    Hi,
    what SAP release do you have ?
    Normally the derivation of the functional area is made with the following logic:
    1) manually entered
    2) FI-Substitution (calling point 5 or 6 since ERP2004)
    3) cost center
    4) cost element
    Please see also SAP note 106180 of how to correct wrong functional areas in PCA.
    Best regards,
    Andreas

  • FM for Actual cost line items for orders.

    HI EXPERTS,
    I was working on Actual cost line items for orders / Internal orders of an employee.
    standard program RKAEP000 is present through TCODE KOB1.
    I want some customization of report, so debugged the program and found that its using a FM 'K_LINE_ITEMS_SELECT_AND_LIST' to calculate internal orders.
    But the FM has used REUSE_ALV_* and displaying output itself.
    the requirement is to customize the output display .
    I searched with K_LINE_* and found some other function modules too.
    K_LINE_ITEM_CHECK                                                                               
    K_LINE_ITEM_APC_SIGN_GET                                         
    K_LINE_ITEM_GET_CONTEXT_MENU                                     
    K_LINE_ITEM_GET_TOOLBAR                                          
    K_LINE_ITEM_LOGICAL_KEY_GET                                      
    K_LINE_ITEM_TECH_SETTINGS_SET                                    
    K_LINE_ITEM_VALUE_TYPES_GET                                      
    K_LINE_ITEM_VALUE_TYPES_SET                                                                               
    K_LINE_ITEMS_ACT_GRID                                            
    K_LINE_ITEMS_SELECT                                              
    K_LINE_ITEMS_SELECT_AND_LIST                                     
    K_LINE_ITEM_ACT_CALL_WITH_DATA                                   
    K_LINE_ITEM_ACT_DATA_GET                                         
    K_LINE_ITEM_CM_CALL_WITH_DATA                                    
    K_LINE_ITEM_DEV_CALL_WITH_DATA                                   
    K_LINE_ITEM_PLN_CALL_WITH_DATA                                   
    K_LINE_ITEM_PROCESS_UCOMM_ACT                                    
    K_LINE_ITEM_STEERING_GET                                                                               
    Can anybody tell which FM should i use so that result i will get in an internal table?
    or suggest any other methods
    Thanks in Advance.
    Lucky

    I also had the same requirement and used function module K_LINE_ITEM_ACT_DATA_GET
    this function is calling K_LINE_ITEMS_SELECT_AND_LIST function with  I_NO_DISPLAY parameter
    and returning the result.
    Already they are in same function group,
    I wrote this for future requirements of people  after 4 years of this thread

  • Customer and vendor line item report FBL5N/FBL1N

    Dear all,
    Could you please let me know, whether there is any way that we can get cost center ans wbs element in customer and vendor line item report FBL1N/FBL5N.
    REgards,
    Suresh Patipati.

    Hi Suresh
    Through BTE1650 you can fetch it . for this you have to  do some development.
    You can add additonal field to FBL*N reports with using BTE exit.
    Regards
    SAP student

  • KOB1 - Display Actual cost line items for Orders

    Hi All
    A production order has been settled. When the actual cost line items are displayed for the said production order in KOB1, there are multiple line items related to the production order that gets displayed.
    The issue we are facing is, in one of the line item, the accounting document has one credit (Consumption a/c) and two debits (one debit is to inventory a/c and another debit is to price difference a/c). However in the report, in the offsetting GL column only one GL code (price difference gl account a/c) but appears with the entire amount.
    Ideally two separate line items needs to be displayed with respective line items. Is this a flaw in SAP.
    Can anybody throw some light on this and help me.
    Regards
    Prasanna

    this is may be config issue.
    can you explain with accounting entries for said line items and offsetting GL for each line?
    regards.
    ashok

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