Balance sheet and schedules

I have to develop Balance sheet , P&L , All the schedules , Funds Flow , Cash Flow , Working capital statement , Ratio Analysi in BI.
I believe I can use 0FIGL_C10 to develop BS , PL , Funds Flow and Cash Flow.
Can anyone suggest me how I can develop Ratio Analysis , Schedules and Working capital statement. Is there any content I can use or I will have to develop generic datasources.
Thanks

Normally you would use BCS to create measure hierarchies to do this
But you can do this the hard way usin the C10 cube and write loads of RKFs based on nodes of the gl account hierarcy (ie the R3 FSV)
In addition you can use the asset histroy sheet from the asset cube for the asset breakdowns (ie acquisitions for asset classes and asset history sheet groups)
You may also need to incorporate some AR and AP reports if the working capital splits are greater in detail than the GL accounts (ie complex aging buckets)
You may need the help of a BW FI consultant!

Similar Messages

  • P&L A/c and Balance Sheet according Schedule VI in PCA

    Dear SAP Gurus,
       My cleint needs to see his P&L A/c and Balance Sheet according Schedule VI in Profit Center Accounting. Because all Branches are Profit Centers. So he need to see his Branches P&L and BS by Schedule VI.
    How can I acheive this in Profit Center Accounting.
    Kindly assist me reg this....
    Thanks in advance,
    Regards,
    Balaji Bhonsle

    Hi Balaji bhau
    You can copy your schedule VI financial statement version (FSV) from FI to PCA using KE5B
    I hope you would be having FSV in your FI... Once you copy this, you can view your balances in schedule VI formats using EC-PCA reports
    If you are on ECC 6.0 and use New GL - then you can use reports in FGI3 or prepare your own report painter reports using LIbrary 0FL
    Regards
    Ajay M

  • Profit Center wise balance sheet and Profit and Loss account

    Hi Experts,
    I will explain my scenario
    The is cleint having Head Office for handling procurement of goods for all branches(8) and the physical delivery happens for goods at the requested branch and GR and IR also makin at the branch level.
    And we are treated each branch as profit center apart from HO(profit center).But the vendor payment should be happen from HO(prfoit center) so and they are not using automatic payment programme.
    My question is
    1.While doing the vendor (Branch)payment from Cash/Bank GL (HO) how the balances will be tallied ?
    2.If I am using the document splitting and zero balance document clearing will it tally at the profit center level ?
    3.At the period end if I will do the 1KEK T Code to transfer the payables to the profit center which profit center system will take for posting ?
    Please advice me in this and I will give good points with correct answer.

    Hi Edukondalu Garu,
    Please find answers to your questions below:
    1.While doing the vendor (Branch)payment from Cash/Bank GL (HO) how the balances will be tallied ?
    Answer: The Profit Center balances will get automatically tallied due to document splitting and Zero balance account being defined properly.  The automatically identifies it
    2.If I am using the document splitting and zero balance document clearing will it tally at the profit center level ? 
    Answer: Yes that is the main criteria to get full fledged Balance sheet and P&L account by Profit Center
    3.At the period end if I will do the 1KEK T Code to transfer the payables to the profit center which profit center system will take for posting ?
    Anwer: With Document Splitting, you don't have to do the period end transaction in PC to transfer the account payables, accouts receivables and fixed assets.  The transfer is online and real time basis.
    I hope i answered all your questions.
    Please feel free to get in touch with me if you need futher clarifications
    Best Regards
    Surya

  • What are the data sources for 0FIGL_V10 cube Balance Sheet and Profit& Loss

    What are the data sources for 0FIGL_V10 (G/L (New): Balance Sheet and Profit and Loss) cube. and whether we can install business content regarding this.
    Please help me out.
    thanks,
    sapsdnhelp

    Hi,
    Check this:-------
    Urgent: Relevant Master Data Data Sources for FI-GL  & FI-AP
    http://help.sap.com/saphelp_nw04/helpdata/en/04/47a46e4e81ab4281bfb3bbd14825ca/frameset.htm
    Regards,
    Suman
    Edited by: Suman Chakravarthy on Sep 28, 2011 7:33 AM

  • BEST Practice for Balance sheet and Investment Planning

    hi all
       I need the Best Practice guides for Balance sheet and Investment Planning
    where can i get it ?
    if someone has them please could you mail them to [email protected]
       also if someone has documentation regarding these please forward them also
    Points assured
    Thanks in advance
    Nidhi

    Hi Nidhi,
    Refer to the below link for the available scenarios
    http://help.sap.com/bp_biv335/BI_EN/html/Bw.htm

  • Profit center group wise balance sheet and trading account report req

    Hi.
    We are using Profit ceter accounting for one of our clients.its ECC 6.0 therefore New GL is activated. FSV is not configured.
    Now I want to get the reports - Profit center group wise balance sheet and trading a/c.
    Can anyone help me in this regard.
    Thanks in advance.
    Regards,
    Padmavathi

    Hi Padma
    the std reports S_PL0_***** serve the purpose... You can browse SAP easy access menu under FI
    you can input PC or a group of PC as additional selection criteria
    Ajay M

  • Configration steps for business area wise balance sheet and p&L accounts

    dear all
    sinario is two business areas say A and B for diffternt two products in one company code which is already running with different business .
    please any one tell me what are the configrations for business area wise balance sheet and profit and loss account.
    what are the steps required and for configration and when enduser come into picture  acceptance test is reqired.
    plese inform me which are the steps required to test enduser test for business area wise balance sheet and profit and loss account
    regards
    babu

    Hello
    No seperate screen available for BA set up.
    Follow the IMG, enterprsie structure, define and assign set ups.
    Assign to SO / Plant /
    Create cost elements and assign cost centers for each business areas.
    Create clearing accounts for readjustments in BS and PL, and execute BA pl and bs adjustment programs for taxes, GRIR and some accounts, where BA is not populated.
    Now you would get seperate BS for each BA
    Reg
    assign points if useful
    dear all
    sinario is two business areas say A and B for diffternt two products in one company code which is already running with different business .
    please any one tell me what are the configrations for business area wise balance sheet and profit and loss account.
    what are the steps required and for configration and when enduser come into picture acceptance test is reqired.
    plese inform me which are the steps required to test enduser test for business area wise balance sheet and profit and loss account
    regards
    babu

  • Business Area wise Balance sheet and P&L display

    Hello SAP Gurus
    Can anybody tell me how to configure to view, balance sheet and Profit & Loss  as per business area?
    Regards,
    Abhijit Walke

    It is a misconception that Business Areas are not recommended by SAP.
    Business Areas and Profit Centres serve two different purposes and Profit Centres are NOT a replacement for BAs nor vice-versa.
    We have just implemented ECC 6.0 using Business Areas and there was no indication at any stage neither from SAP nor its consultants that BAs will not be supported. There is no SAP written document that these will not be supported and if there is, I would be interested to look at it.
    As for config, you may want to follow this link for details:
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/5f/1fb0274aee11d189740000e8322d00/frameset.htm
    Cheers.

  • Discrepancy between Balance sheet and Aging report

    HI Experts,
    I have a client who run the AR Aging and Balance sheet monthly for as their month end procedures.
    They have found the following:
    When the Balance Sheet and Aging report is run on the same day this shows the same on the Accounts Receivable and the Aging report.
    When the Aging is run a few days after the month end, and the Aging Date is selected as 05/01/2010, the Posting Date untill is also 05/01/2010, the Balance Sheet To date is 05/01/2010 I get discrepancies between the 2 amounts.
    I looked for documents with later Posting/Document dates but could not find any in the aging report.
    Any help would be welcome.
    Marli

    Hi Marli,
    You may check these threads:
    Re: Mismatch in  Accounts Receivable Balance and A/R Aging Balance due
    Re: customer aging query - show balance as of a specific date
    Thanks,
    Gordon

  • Hi Balance sheet and P&L project wise in case of joint venture.

    Hi Gurus,
    One of my client undertakes different projects like roads, building, bridge etc. with joint venture agreement.
    Now he wants balance sheet and P&L with each project wise in case of joint venture.
    In sap which module fulfill this requirement or Project systems will fulfill this requirement or not.
    suggest me.
    Regards
    Sreenivas.P

    Hi,
    Joint Venture Accounting is used when you have atleast two partners - one is Operating and another is Not Operating. They share the risk and revenues. You can then create a JV Agreement using GJAA and Joint Venture Partners under this agreement using GJVV. Further you need to create Equity Group defining their profit sharing ratio.
    JVA could be a solution for you since here you can get a report for each JV serparately. You can also use Cutback procedure to claim expenses from the non-operating partners.
    However Project System is used for monitoring and executing projects with Budget controls and so on. You can integrate both PS and JVA for your solution.
    Regards,
    Sanjay

  • Regarding Balance Sheet and P+L

    Can anyone please tell me the technical reason why we use a virtual cube 0FIGL_V10 which takes data from 0FIGL_C10 in Balance Sheet and P+L for FI Domain.
    http://help.sap.com/saphelp_nw70/helpdata/en/bd/e16840b151181ce10000000a1550b0/frameset.htm

    Hi Gunjan,
    That virtual cube gets data using some function modules like RS_BCT_FIGL_DATA_GET, RS_BCT_FIGL_GLACCEXT_TRANSFORM to populate values based on Financial statement Item 0GLACCEXT.
    Assign points pls.........
    Best Regards,
    SG

  • Can we take Balance sheet and profit & Loss account as per plant & Sales

    Hi Team,
    Can we take Balance sheet and profit & Loss account as per plant wise & sales office wise also.
    Regards
    JKM

    hi jkm
    Hi
    This can solve your issue could be helpful to you.
    Go to this menu path for report painter
    Accounting - Financial Accounting -Special Purpose Ledger - Tools - Report Painter - Report Writer - Report Group - Display
    T code GR53, GR55
    Enter the report group you want for b/s and p/l statement and choose execute and give the report group again and choose execute.
    After that give the year, period from to, company code, fiscal year, ledger and plan version 01 and choose execute
    Choose in front of the item Production Variances. The system displays the account to which the line items were posted. Material consumption is posted to account OEM Products Consumed.
    To call up detailed data, double-click on account
    In the dialog box, choose Actual Line Items for Table GLFUNCT, and then choose
    To display the original document, simply double-click on it to call up the detailed data. In this case, the original document is a Materials Management document.
    You document is listed under the FI-SL document number that you noted in the step Display Goods Issue Document. Select the Doc. info tab and simulate .
    Select one of the items relevant for material consumption by double-clicking it. This should be item 002, 004, or 006.
    Choose enter go back and cost of sales appear now switch to your first session.
    kind regards
    Arman
    sap fico

  • Balance sheet and Profit & Loss reports

    Hi all
    I need some help with the Balance sheet and Profit and Loss statement, I created new fields on both repors to hide the "ZAR" and round the amount fields to 2 decimal places.
    But when ever I print preview the report I get this error :-
    23/03/2010  10:47:19: Printing Error:This operation is not supported for this data type (RPT -6716) (Field: F_104) Method: Amount DataType: Variant  [Message 200-38]
    Thanks
    Bongani Dlamini

    Hi All
    The report is not underlining the sub totals and totals like it was before on the original system report.
    Is there a way of making it underline?
    Rgds
    Bongani Dlamini

  • Balance Sheet and Income Statement for Plan data

    Hi Everyone,
    in our Company  we maintain Plan in COPA for next year that is for 2009 , we have finished all the Planing activities and now (users asked me), they want to have Balance Sheet and Income Statement for the data we have in Plan version , I am not sure what they are Talking about, please help me ,
    where can I set up that requirement ?  and what is actually Balance Sheet and Income Statement for Plan data?
    Thx
    Niki

    Is the issue resolved?
    What did you do?
    Thanks
    Naveen

  • Urgent......BALANCE SHEET AND P&L REPORT...........urgent

    Hi experts,
    I have to create the balance sheet report,for this i have to use datasource 0FI_GL_10 according to SAP but there is no data coming from R3 to this datasource , hence i am using 0FI_GL_6 ,for GL transaction data.
      for GL line item data i am using 0FI_GL_4.
       Is it possible to create Balance sheet and P&L reports using these datasources?
      <b>How can i create Balance sheet and P&L report based on these datasources.</b>
    In Business Content there are virtual cubes 0FIGL_VC1 and 0FIGL_VC2 how can i use these cubes as i am not using standard basic cubes 0FIGL_C10 AND 0FIGL_C01 and i am also not using the datasource 0FI_GL_10.
    I need this very urgently to get this report.
    regrds.
    Message was edited by:
            man man

    http://help.sap.com/saphelp_nw04/helpdata/en/57/dd153c4eb5d82ce10000000a114084/frameset.htm
    Steps-1)Load 0FI_GL_C10 cube from R/3
    2)R-Click cube 0FI_GL_R10 and select option "Activate direct access" since its remote cube as otherwise you wont be able to receive data in to this cube
    After loading 0FIGL_C10 goto 0FI_GL_V11 to check if you see data in this cube and then start building queries .
    No physical loading of data in 0FI_GL_R10 and 0FI_GL_V11 cube as its Remote cube and Virtual cube.
    I followed these steps. According to your datasources try following these steps and make sure you create a Virtual cube. The above link shows the standard query for Balance P&L. I have done for 0FI_GL_1 datasource. For this infosource i created standard cube and virtual cube. I guess in virtual cube you should get the data 0GL_ACCOUNT,  Key figues 0VAL_FLOW & 0VAL_STOCK . Please go through the below link for more information regarding these objects.
    Re: 0GLACCEXT vs 0GL_ACCOUNT - How it is USED?
    Regards
    Naga

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