Assignment profit center on customer

Hello,
I want to know if it's possible to assign a profit center on customer and, when I create a post in customer order, this profit center is automatically entered in field "profit center" on tab "Account assignment" of the post data.
I would therefore have the same assignment on profit center for one customer, whatever the article ordered.
Thanks.
Laurent Guilloteau

Please try through substitution. Transaction code is GGB1.
Prerequisite ===> BSEG-KUNNR = '1000036'
Substituion ====> Profit Center          Constant value    100201
Regards,
Abhijit

Similar Messages

  • Assigning profit center for vendor to vendor transfer (F-02)

    Hi,
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    Sanjay

    Hi,
    You have not mentioned teh Verison you are in.
    Assuming you are in ECC 6.0 (As the error posted seems to be more relevant for this version) and document splitting is enabled, you cannot transfer from vendor to vendor or customer as profit centres in recon accounts are not taken by system.
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    Check document type in F-02 if you are using this as document type also controls the psoting in new GL.
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    Sarma

  • Profit Center wise Customer Clearing

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  • Assignment Profit Center to Plant on material master for Production Order

    Hi Experts
    Can you help me !
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    Hello Dodo,
    1.
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  • Cost Center assign Profit Center Issues

    Hi Controlling Expert,
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    Manpower      : same like Above
    2.Energy            : same like Above
    3.Consumption   : same Like Above
    Conversion Cost (1+2+3)
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    Kind regards
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    SAP FICO Consultant.

    Hi Pranav
    You are logging same issue twice. I didnt see any difference in the two threads though.
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  • How to take Profit Center Wise (Customer Line item & fixed assets)?

    Profit Center Wise (Customer Line item & fixed assets)
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    Hi Sweta
    For obtaining profit center wise receivables/payablees and stock reports, you may need to follow these steps at every period end.
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    4. Execute 1KEH - Transfer material stocks
    5. Execute 1KEJ - Transfer Work in progress
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    http://help.sap.com/saphelp_erp60/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
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  • How to assign profit center to automatically generated line items

    Hi, Experts,
                       My problem is that I want system automatically assign profit center to automatically generated line items.
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                              Purchase                   Dr                    Rs.1000/-                           XYZ
                              Vat                             Dr                    Rs.100/-
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    Here I have to assign Profit Center in VAT G/L by double clicking on it, in reality, system should automatically assign profit center to VAT G/L same as to purchase, because this vat amount belongs to same purchase G/L.
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    Hi,
    1. In which SAP version you are working ? Are you using SAP 4.7 or ECC 6.0. ?
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    3. Segment reporting is happening with Profit Center is one of the scenario ?
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  • Region wise profitablity "Not Assigned Profit Center (s)"

    Hi,
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    Richa

    Hi Richa,
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  • How to assign profit center to Inventory accounts

    Hi
    When ever delivery happens cogs will be debited and inventory will be credited,in that case where i need to assign profit center automatically flown to all inventory accounts,at this movement it is posting to dummy profit center,can any one tell me where to assign these profit centers,i checked OKB9 and inventory accounts also not cost elements,so is there any idea how to solve this problem.
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    Lily

    Hi Lily,
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    I need to split the accounting entry in MB1A (QA to Unrestricted movement). In the entry Invenroty Dr ,COGS Credit , we need to spit the credit into two GL a/cs.
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  • How to Assign Profit Center to a Sales district

    Hi,
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    Have you checked in IMG path and observed where we assign Profit Center?  Please do some analysis before posting here.
    G. Lakshmipathi

  • Re:assign profit center to a order type

    hi gurus,
    good morning to everybody,
    i have a question i have 1000 materials in my organization using by 5 company codes in that few material i need to assign profit center so i went to mm change and assigned the profit center for sales:general/plant and plant data/stor.2, if i want to assign profit center to order type how can i assign, if i cannot assign in order type i need to assign profit center in mm change for 500 materials, so if i change manually in mm change for 500 materials is it going to effect for the other company code when they post the transactions please give me your opinions.
    thanks in advance and points will be assign for useful answers.
    kumar.

    Dear Kumar
    You cannot assign the Profit Center to Sale Order type.  Whatever you maintain in Material Master, that will flow automatically in sale order as and when you create. 
    If you want to change the profit center in material master in bulk, you can do so via MASS.  In fact for sale order also, you can achieve this via MASS but no partial delivery should have been made against that sale order.  In case, you have already made partial delivery, then the field would become grey and you cannot change the same.
    thanks
    G. Lakshmipathi

  • Re: assign profit center to order type

    hi gurus,
    good morning to everybody,
    i have a question i have 1000 materials in my organization using by 5 company codes in that few material i need to assign profit center so i went to mm change and assigned the profit center for sales:general/plant and plant data/stor.2, if i want to assign profit center to order type how can i assign, if i cannot assign in order type i need to assign profit center in mm change for 500 materials, so if i change manually in mm change for 500 materials is it going to effect for the other company code when they post the transactions please give me your opinions.
    thanks in advance and points will be assign for useful answers.
    kumar.

    Dear Kumar
    Go to VA02, input the sale order reference and execute.  There double click on the line item and select the tab "Account Assignment".   There you can see the field "Profit Center". 
    As I said in your other thread, if you have generated subsequent documents like delivery or billing, you cannot change this for that line item.  You have to close this line item by assigning "Reason for Rejection",  and create a new line item but then, b4 doing this, you should have changed the profit center in material master.
    Alternatively, if you want to update in bulk, go to T.Code MASS, input "BUS2032"  in Object Type and execute.  There select "Sales Order Item Data" and click on "Fields". 
    Select the field name "MASSVBAP-PRCTR" and execute.  Either you can input the sale order references for which you would like to change or just execute.
    Now you will have a screen "New Values" on top and below the existing sale orders listed.  Give the new profit center against the field "New Values" and execute.
    thanks
    G. Lakshmipathi

  • Profit center  in Customer Line item display FBL5N

    Hi All,
    when we post to the customer, at the customer line item we cant enter any profit center (as there is no field to input). But at the postig to GL (line item 2) we have the profit center to key in .
    But when using the standard report FBL1N, we have the field Profit center In the change layout.... Why is this provided. Does when we post to the GL line item with  profit center , is it copied to the filed ?
    Is there any configuration missing or need to be done.
    Please advise .........
    Best Regards
    st

    Hi ,
    When you use PCA the idea is to capture revenues and profits on P&L accounts and by assigning some balance sheet accounts in config.
    subsequently for AR and AP accounts you do the periodic transfer and that is when you assign the Profit Center based on the ofsetting entry.
    As per SAP you cannot have a profit center at that point of time since a billing document can have multiple lines/multiple profit centers where as on line to the vendor/customer.
    Let me know if you need further explanation.
    Thanks,
    Praveen

  • Profit Center in Customer Line Item

    Hi SDN,
    We have created a validation during posting of Sp Gl transactions for both Vendor or Customer. This validation mandates the profit center in the Vendor/Customer line item to ensure that a profit center will be derived even for documents with purely balance sheet items (e.g. Dr AR     Cr Bank Inc Clearing)
    We were successfull in bringing out the profit center in the vendor line item (for Special GL transactions)
    However, for customer special GL transactions, we did the same settings as with the vendor settings (updated FSG and posting key to activate profit center)  but system does not show profit center field for customer sp GL transactions.
    Any idea as to why only customer line item does not reflect the profit center while the vendor line item shows it?
    Thanks

    Hi,
    What is the special GL indicator account  type?
    Have you changed the FSG settings for special GL account?
    Rgds
    Murali. N

  • Profit center wise customer balance Report with reference field

    Dear Experts
    I am using the report S_AC0_52000887 - Receivables: Profit Center but it does not show with reference.
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    Regards,
    Vishal

    Hi Vishal,
    Please use FAGLL03 give the customer recon a/c you can see all the customers with profit center wise report.
    Regards,
    Raman

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