Assigning Asset Reconciliation Account

Hi Guys,
Where do we assign the Asset Reconciliation Account to an Asset?
Does it flow from the Asset Class? IF so..Where do we assign this GL account..
Thanks,
Kris..

Hi,
Asset reconcillation account  is determined based on the accoun determination assigned to the asset class and baed on the account determinaton the reconcillation account is being identified

Similar Messages

  • Vendor Reconciliation & Asset Reconciliation Account

    Dears
    I am a little confused regarding the reconciliation accounts.
    We are making for Asset Config settings for down payment posting.  I selected downpayment account for Asset Downpayment in AO90; but the system says the GL is not a reconciliation account.
    When I saw the GL account, it is created as a Vendor Reconciliation account.
    But in AO90 I think, we should give an Asset Reconciliation Account, right ?
    If that is the case, why we should have separate reconciliation account for Vendor and Asset in Downpayment posting for Assets ?
    When we post the Vendor Downpayment in F-48 using Spl. GL indicator 'A' , we are assigning the PO number also where asset is linked.
    Spl-GL 'A' is linked to a reconciliation account for vendor.
    Asset downpayment is also linked to a reconciliation account for asset.
    If that is the case, which downpayment account, the advance amount for asset is posted ?

    Hi Niki
    I personally dont like updating the Down Payments for assets in Asset Accounting.. It is inviting troubles w/o much of value-add.. If you post DP to asset, then Invoice and you dont clear the DP, the depreciation is calculated on Invoice amount + DP Amount
    Ofcourse, it gets adjusted in future depreciation runs once you clear DP. But if you clear in subsequent FY, then thats a problem
    In order to avoid updating DP in AA, follow the below steps
    1. Create a new FSG as a copy of G067 in which you will suppress the Asset Number
    2. Assign this FSG in Vendor recon accounts
    3. Do F-47 and enter the PO Number..
    4. System will give an error msg F5 378..
    5. Suppress it in OBA5, and you are done..
    I remember this till date because this was one of my initial findings / learnings in my SAP Career ;-)
    Best Regards
    Ajay M

  • How to post externally to asset reconciliation account

    Hi,
    I need to post one entry externally to asset reconciliation account & I dont want to update asset due to that entry. How to do that?
    Pl. help. I will award points for suitable answer.
    Thanks
    Veena

    You are permitted to post the recon account undercertain special circumstances :
    USe the transaction codes OAMK and OASV.
    Kindly read the SAP on line documentation before making a postings directly to the recon account.
    Definition of the Reconciliation Accounts
    You are not allowed to manually post to the reconciliation accounts for Asset Accounting in Financial Accounting. Normally, you designate the corresponding General Ledger accounts in Financial Accounting as reconciliation accounts. This change, however, can no longer be made in Financial Accounting, once these accounts already have balances from the legacy data transfer. However, you can use a special report to assign these accounts the status of reconciliation accounts in Financial Accounting (in Customizing for Asset Accounting, choose Preparing for Production Startup ® Production Startup ® Set Reconciliation Accounts).
    There is another report for removing this specification (Reset Reconciliation Accounts).
    Subsequent Correction Postings to Reconciliation Accounts
    Suppose you have already defined the asset G/L accounts in Financial Accounting as reconciliation accounts, but still need to transfer balances to these accounts, or make corrections. You can make correction postings to these reconciliation accounts with a special posting transaction in Customizing for Asset Accounting (Transfer Balances), using posting key 40 or 50. You can only postings to those accounts in a company code with implementation status (Customizing for Asset Accounting, choose Preparing for Production Startup ® Production Startup ® Activate Company Code).

  • What is asset reconciliation account.

    What is asset reconciliation account. Is this like other reconciliation accounts like A/P and A/R. How can we use it.

    Hi
    GL for Asset as Reconciliation is defined in FS00
    Account determination rule is defined under SPRO - FAg - AAg - Org structures - Asset classes
    The A/c determination is included in the Asset class
    In AO90 GL a/c is assigned to Account determination rule
    Finally, Asset master is created under a Asset class thru AS01
    Thank You,

  • Asset Reconciliation Account

    Hello Experts-
    I fell in a tricky situation at my work place. We have an asset reconciliation account which has a balance but, this balance does not correspond to any asset. When SAP Fixed assets was implemented here, they had a balance for this account and then have converted it into a reconciliation account. How do I create an asset which represents that balance as APC value? Or how would I transfer it from this reconciliation account to a clearing account so that I can create a real asset and transfer this APC to a real asset?
    Any thoughts on this issue would be really appreciated.
    Thanks in advance.
    RNarayan

    Hi,
    To post the balance values from the take over values from AS91 on the Asset Reconciliation Account
    You can use transaction:
    OASV
    ABFI (use transaction type 100 and don't fill in an asset number)
    The postings on these account are total postings by bussines area and there is no 1:1 relation with assets like with debtors and credititors. (when you run the depreciation it create total amounts

  • Tax Category Indicator on Asset Reconciliation Accounts

    Does setting the tax indicator flag to '*' have any affect on reconciliation postings to an Asset Reconciliation account?

    Hi,
    Generally tax indicator "-" (Only input tax allowed) is set in Asset Reconciliation accounts.
    Setting * for the same will also suffice.
    The tax indicator setting is required as the asset acqusition process is done through asset purchase in MM. for that purpose the  input taxes will be calculated.
    I hope this answers your query.
    Regards,
    Ashutosh

  • APC Posting to Assets Reconciliation Account

    Hi Experts,
    We are currently working with AS91 and AS94 legcay data Transfer. The acquisition is completed, we gave acquisition values in Dep Area 01 (Book Depreciation Area), Do we also need to reset the Assets reconciliation account and post the APC values to them? Or the 01 acquistion values will automatically post to Assets reconciliation accounts and how?
    What is to be done?
    Please guide.
    Best Regards
    VK

    Thanks Krishna,
    OASV does not provide the option of document and local curreny. We would like to force the values from Local currency to group currency disregarding the exchange rates.
    So after restetting the reconciliation account we will post using F-02.
    Any negative impact?
    Best Regards
    VK

  • 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

  • Assigning Asset Recon GL Account

    Hi Guys,
    Where do we assign the Asset Reconciliation Account to an Asset?
    Does it flow from the Asset Class? IF so..Where do we assign this GL account..
    Thanks,
    Kris..

    You assign asset GL accounts in AO90 like acquisition, accumulated dep, dep expense, loss on disposal etc.... it's per account determination which is assigned to your asset class.

  • Link Asset class to an Asset Reconciliation GL Account

    Hi Everyone,
                      i want to specify a new Asset Class to a Particular Asset Reconciliation Account, which i have created in FS00 and also mentioned as a Reconciliation account in OAMK. can anyone help me where  can i go and do this ?I am using ECC 6
    Thanks & Regards,
    Guru

    Account determination key is maintained in asset class. Using AO90 transaction code you need to maintain GL Accounts for Acquisition as well as other accouonts against account determination.

  • Manual posting to reconciliation account under asset account group

    We need to maintain Asset Group (G007) to allow manual input in order to post a period end-closing adjustment as required by our external auditors. ( i.e in the reconciliation account under the asset account group, we need to check the 'allow manual input' option so as to do posting to this account manually).
    Under normal circumstances, the posting should have been from WBS Element, to AUC, then to Fixed Assets.  However, since all the procedures have been completed until Depreciation Run, we have no option but to input this manually.
    Similar Recon accounts which allow manual inputs are Accounts Receivable (GL Code 115000) and Accounts Payable (GL 210000). 
    My intention is to have this captured in the system as of Dec. 31, 2008; Reversed the same transaction on 01-Jan-09 and process it normally as mentioned above.
    Valuable assistance will be highly appreciated.
    Best regards,

    You can make manual postings on the asset reconciliation account with the transaction ABF1
    Use PK 70 or 75 , G/L account and transaction type 100.
    The result is that asset accounting is no longer in line with your G/L accounts.
    Put this transaction in your authorization make the posting and reverse and take the transaction out off the authorization!

  • Reconciliation Account change to GL.

    Hi
    I have a reconciliation account, I Viewed this on FS00. Now the balance carryforward to account AB1 cannot be transferred to AB2 due to wrong setting of account AB1 as "Asset" Reconciliation account.
    Heres the problem,
    When I tried to change the Reconciliation account type to 'blank' their was an error "Modifications to reconciliation account AB1 is not permitted"
    Thanks,
    John

    The rule is that you cannot change the reconciliation accounts for vendor and customers, if the date is there.
    You can reset the asset reconciliation accounts to non reconciliation accounts in OAMK. Note that this only done at the initial stages, before uploading the initial uploading of asset. I would recommend not to change these accounts in between.
    I would suggest to block the current account and create a new account.
    Regards,
    Ravi

  • Change Customers Reconciliation Account

    Hello:
    I have a request from the accounting user to change the reconciliation account for several customers.
    The thing is that these customers have several open items, and we're looking for a way to transfer the open items to a "temporary" account, change the reconciliation account and then post open items from the "temporary" account to the original customers accounts.
    It is possible to do this using any SAP functionality? or I need to do it manually reversing the open items and the create them again?
    Thanks a lot for your help.
    Paola

    Hi Sara
    You can change reconciliation account of customer master (XD02) but after assigning new reconciliation account only new posting are transferred to that new reconciliation account.Old balances cannot comes under this new account.
    In second case you can reverse your open item and correct it again if that posting were posted in FI only.If transactions were posted through SD cycle then you have to reverse all related documents i.e. billing invoice, delivery and sales order and material movements in SD module.If you are working on production client do the things carefully.
    Hope this helps you and if found useful then reward
    Let me know if you need more information.
    Regards,
    Nilesh

  • Using Reconciliation account in Miro

    Hi,
    I would like to know is it possible to include new tab in Miro for reconciliation account or it can be done only with using access key for table SKB1. What are the customizing steps for this. I need of this function to deduct down payment to vendor in invoice receipt. When I use f-54 the system made :
    Dt Vendors (Recons Acc)
         Ct Vendor advance payment
         Ct Tax acc for purchasing
    It is not allowed from our legislation.
    I have to made following postings:
    1/ Posting Invoice for vendor down payment:
    Dt Vendor Down payment (Reconcilliation Acc)    5000
    Dt Tax acc for purchasing                                  1000
            Ct Vendor Acc (Reconciliation Acc)            6000
    2/ Posting Payment (This is clear. Only for example) 
    Dt Vendor Acc (Reconciliation Acc)                    6000
            Ct Bank Acc                                             6000
    3/ Posting final invoice:
    Dt Materials/Stocks                                          15000
    Dt Vendor down payment(negative posting)          -5000
    Dt Tax Acc                                                        2000
            Ct Vendor Acc                                          12000
    4/ Posting payment:
    Dt Vendor Acc                                                 12000
            Ct Bank Acc                                            12000
    Thanks in advance:
    Daniela

    Hi Kuntal,
    you can define per reconciliation account 1 - n alternative reconciliation accounts.
    (SPRO: Financial Accounting (New) - Accounts Receivable and Accounts Payable - Business Transactions - Postings with Alternative Reconciliation Account - Define Alternative Reconciliation Accounts.)
    Only those defined accounts can be used for customers / vendors with this default rec.account.
    The master data of all reconciliation accounts must be similiar and marked  in field
    KNB1-XMITK for "Reconcil.acct ready for input" (FS00 Create/Bank/Interest), both the default and the alternative rec.accounts.
    There is no programming to do.
    Coming from SD there is a special menu in customizing to assign alternative
    rec.accounts:
    Sales and Distribution - Basic Functions - Account Assignment/Costing - Reconciliation Account Determination
    Prerequisite is the FI definition as described above for FI.
    Then you have to define a determination procedure ex. KOFIAB with a account determination ex. KOAB.
    The procedure has to be assigned to the billing types you want to work on.
    Further you need a decision table and rules to assign finally the reconciliation accounts for the determination (KOAB) and the rules given.
    Hope I could help you.
    Kind regards,
    Theresia

  • Reconciliation account issue

    Hi
        We have assigned a reconciliation account 555555 in the vendor master and there are lot of invoices being posted under it. Now we came to know that this is wrong assignment and we have changed the reconciliation account to 555000 in the vendor master. But when we are doing the Payment run -- F110, still it is picking the reconciliation account as 555555 instead of 555000 in the payment document for all those invoices which posted with old account.
    Is there any adjustment so that invoice posted to one reconciliation account can be paid in another reconciliation account or how can we solve this.
    Regards,

    hi
    At the time of Vendor invocie posting ur reconcilation account in vendor master is 555555, befor run F110 u change the reconcilation account in Vendor master 555000.and if u run the F110 , the system pick up the vendor reconcilation account of 555555.its right
    Becaue at the time of posting vendor invoice teh data goes to 555555 Vendor reconcilation acccounts.thats why.
    U can do one thing, u run the Automatic payment F110 , related to 555555 vendor reconcilation account.then u transfer the total baalnce of 555555 to 555000 account. then u change the reconciltion account in vendor master, post new inoice related to new reconcilation account
    If any query feel free ask me
    Regards
    Roobal

Maybe you are looking for

  • How do I move my photo library to a different disk partition?

    How do I move my iPhoto library to a different disk partition?

  • WHY CAN'T I JUST CLOSE 1 EMAIL INSTEAD OF CLOSING THE E MAIL AND THE WHOLE PROGRAM?

    OK! I HAVE AN E-MAIL OPEN. I HAVE READ IT AND I WANT TO CLOSE IT. I LEFT CLICK ON THE X OF THE E MAIL. NOT ONLY DOES THE E-MAIL CLOSE, BUT THE WHOLE THUNDERBIRD PROGRAM CLOSES TOO. ALL I WANT IS JUST TO CLOSE THE E MAIL -- NOTHING ELSE. HOW DO I DO T

  • What can i EXPECT?? What would YOU do?

    I've been working with a mac g4 500 for a few years now and run logic pretty well. Obviously it doesn't do too well with virtual instruments, especially synthesiser plugs. I'm ready to upgrade. I'm debating these two choices... -Dual Core 2.0 for 180

  • Mac OSX-up-to-date

    I just noticed that Apple is letting anyone who purchased their Mac after October 1st to upgrade to Leopard for $9.95. This is great but I bought my Mac in August. Is the penalty I have to pay for buying a Mac two month too soon?? And now I have to p

  • How can I create a custom pattern halftone

    Looking how to create a halftone pattern in a logo shape. Instead of the typical circular pattern that is used I am looking to create a halftone pattern using a logo. I don't know if this is possible thought I would ask and maybe someone knows how.