Balance sheet report display month wise - F.01

Hi Experts,
We have requirement to display balance sheet report output monthwise, is any SAP Standard T.code is available.
Do we need to create new customized report, if yes from which table i can pick the values.
Please let me know the tables for F.01
Regards,
Raj.

Hi Karthik,
Thanks for reply.
The output should be period wise, when user execute the report it should display period wise in the output.
We are on 4.7 EE, so i have to go with GLT0 Table. Any other suggestions.
Thanks.
Regards,
Raj

Similar Messages

  • Difference of balance in balance sheet report & Business area wise report

    Dear Group Members!!
    In my company user wants to generate Business are wise Report
    Difference of balance in balance sheet report & Business area wise report from same t code
    Balances are different if enter business area, & if I execute the report with out entering any business area. Transaction code S_ALR_87012284 - Balance Sheet / Profit and Loss Statement.
    The difference amount to be considered as data entry made with out using business area?
    How do  I rectify this?   
    Your comment will be helpful for me
    Shamulheq

    Hi Shamulheq
    While working with business area you must first recognize that they are not company code dependent and can be used cross-company. Also depending  on the SAP release you are working with postings to Business Area may not 100% guarantee, since there are cases where rules or standard SAP is not available and line items posted  will be carried out without BA. For SAP releases not using the NEW GL, the setting up of adjustments accounts and monthly execution of adjustment programs would provide the vehicle to relate and adjust any missing BA at B/S and P/L level. If you are using NEW GL the document splitting would help to set the rules where every single line item would get a business area.
    I assume that you are using the classic GL. The execution of T code S_ALR_87012284 - Balance Sheet / Profit and Loss Statement without business area retrieves all posting entered for any given company code regardless the account was posted with or without business area, this can be clearly displayed when you select the radio button for Classic Navigation. If you filter by Business Area, then the report will isolate the output data accordingly (The balances should be smaller). When using the classic GL you have to make sure that the financial statement version you use to execute the report,  includes that the technical (Adjustment accout) account(s) that is used for the adjustment programs, so the correction to buisness areas is also included.
    In conlcusion I think you have to make all this considerations, in order to better understand where the differences come from.
    Hope this helps.
    GG

  • Balance sheet report display

    Hello Gurus,
    I have a requirement from my user to change the display of the balance sheet report. The requirement looks very simple and I tried changing the query in few different ways and I'm not able to achieve this. Can you please help me on this? If your solution works I'll assign full points.
    Present the reports looks like this: (Note: please ignore the Balances I used in this example)
    GL_ACCT (Restricted to balance sheet hier)           Company_code                      Balance
    BALANCE SHEET(level1)                                       1111                                   0
                                                                                2222                                   0
                                                                                Result                                 0
       ASSETS(level2)                                                  1111                                   200
                                                                                2222                                   200
                                                                                 Result                                0
         CURRENT ASSETS(level3)                                1111                                   50
                                                                                 2222                                  50
                                                                                 Result                                0
            Cash and Cash Equiva(level 4)                        1111                                   25
                                                                                 2222                                  25
                                                                                 Result                                0
               Petty Cash    1000/111000                           1111                                  5
                                                                                 2222                                  5                                                                               
    Result                               10
               OPERATING  1000/113000                           1111                                  5
                                                                                 2222                                  5
                                                                                 Result                               10
               PAYABLES   1000/11300                            11111                                 5
                                                                                 2222                                  5
                                                                                 Result                               10
               MTL SVCS     1000/113010                          1111                                  5
                                                                                 2222                                  5
                                                                                 Result                              10        
    Requirement:
    GL_ACCT (Restricted to balance sheet hier)           Company_code                      Balance
    BALANCE SHEET(level1)                                                                                0
       ASSETS(level2)                                                 
         CURRENT ASSETS(level3)                               
            Cash and Cash Equiva(level 4)                                                                  40
               Petty Cash    1000/111000                           1111                                  5
                                                                                 2222                                  5    
               OPERATING  1000/113000                           1111                                  5
                                                                                 2222                                  5
               PAYABLES   1000/11300                            11111                                 5
                                                                                 2222                                  5
               MTL SVCS     1000/113010                          1111                                  5
                                                                                 2222                                  5
            Accounts Receivables (level 4)                                                                  10
           Total CURRENT ASSETS                                                                          50
           Total Assets                                                                                200
                                                                                    Bottomline is the user only want to see the company code at the detailed account level but not at the other accounting hierarchy levels
    Forgive me if I confused you...
    Regards,
    Seenu

    Hi Karthik,
    Thanks for reply.
    The output should be period wise, when user execute the report it should display period wise in the output.
    We are on 4.7 EE, so i have to go with GLT0 Table. Any other suggestions.
    Thanks.
    Regards,
    Raj

  • Vendor wise drill down in Trial Balance or Balance sheet report

    Dear Experts,
    Is there any report for Trial Balance or P&L/ Balance Sheet report where vendor wise drill down of amounts is possible?
    Please suggest.
    Regards
    Komal

    Hi Dear ,
    You can use F.08 for Trail Balance  and Vendor details - S_ALR_87012082 - Vendor Balances in Local Currency
    You can get cumulative balance for the vendor.
    Regards
    Radha

  • ***Balance sheet Report book got Disappeared from HFM Explorer***

    Hi All,
    Actually one of my user is able to open the balance sheet report book from hfm workspace and run the report till last month.
    No one has removed any of his access.He is able to see all the other reports except Balance sheet report this month.As this is a month end for us it is very very important for me to provide the report book.Even i refreshed his securities but no use.
    I am really battling with my head with no result.
    Am really thankful to every one please do reply me the solution.
    Regards,
    Vinod

    Can others see this report? If so, is this the same user that is having problems with smartview?
    https://forums.oracle.com/forums/message.jspa?messageID=10912726
    Do you use groups in ADF or within HFM? has any of his groups changed in provisioning?
    Do you connect to more than one AD in Shared services? If so HFM looks for IDs in each Directory in the order they are listed. If someone entered the same user ID in another domain, HFM will use that one instead of Alex's true ID and have wrong provisioning.
    Is the balance sheet report in the list and he cannot open it? Then check to see if he has the preview POV on, perhaps the POV is defaulting to an invalid setting.
    If the balance sheet is missing from the list of reports, then check the permissions for that report.

  • F.01 Balance Sheet-Report to see in company code wise

    Hi Experts
    Goodevening
    We are recently upgraded to ECC.6 version of SAP.
    The issue is, when we use Tcode F.01 relating to Balance Sheet Report it is giving the result in Business Area Wise of all the assets and liabilities.
    Is there any possiblility to see the report in company code wise and not the business area wise. since the same asset is displayed in different business area wise.
    eg.,
    21100/1011004  Gross Block - Intangible assets  647,080.00
    21100/1011004 Gross Block - Intangible assets    22,048.00
    21100/1011004 Gross Block - Intangible assets  2,847,283.25
    21100/1011004 Gross Block - Intangible assets 92,040.00 21100/1011005 Gross Block - Plant And Machin75,258,226.67 21100/1011005 Gross Block - Plant And Machin   216,968.87     
              the problem is like above
    now we want to see the report in lumsum, without business area wise.
    pls suggest me how to get the report
    thanks in advance
    warm regards
    kishore

    Dear Kishore,
    While executing in F.01 give all parameters without Business Area and Execute
    Apart from that if you need to additional thing go through dynamic selection in F.01.
    Assign point.........thanks in Advance.
    Rgds
    Madhuri

  • Displaying Cumulative Balances in BA Balance Sheet Report Painter Reports

    Dear SAP Gurus,
    The system has Business Area Balance Sheet reports created in Report Painter. But in General Data Selection when I select period as a full fiscal year then the cumulative balances are shown. But if I wish to see the reports for a period or a quarter the opening balances for that period are not shown. And only the figures pertaining to that period are shown. Can someone tell me why this is happening like this? I wish to see the cumulative balances even for these periods. Please help me.

    Hi
    You can achieve through SELECTIONS. do like this suppose you have the line item called Inventory(this inventory will capture the data from two or three GL accounts say ex: 123,456,789).you can create the selection with the name inventory and use these GLaccounts in that.when you see the report it will show
    Invantory            $1000
    Share Capital     $2000
    Deposits            $3000
    when drill down it will shoe GL account wise also.
    Regards,
    chandra.

  • Balance Sheet Report in SAP BW/BI

    Hi,
    I have been requested to create a Balance sheet report on FIGL Cube and I need your help as I don't have much functional knowledge in FI.
    I need your help to understand which GL accounts should we include in the balance sheet. I can see a hierarchy built on 0GL_account for balance sheet  but I have been told that I canot use the hierarchy as it is as we may need to include or exclude some GL accounts.
    I am confused as I dont know what need to be included or excluded. Will there be any list maintained in R/3 where they will have the list of GL accounts need to be used for balance sheet.
    I also need your help in reconciling the balance sheet with R/3. what is the approach to reconcile the whole balance sheet with R/3 and BW.
    Please provide your valuable information.
    Regards,
    Raghav

    HI,
    balance sheet is always combination of GL accounts. but you need the functional help for which GL accounts you can use in balcance sheet line items. ex: input material cost, utility cost these all are combination of GL accounts so functional guy will give you the list of GL accounts.
    easy way is creating the heirarchy, since you have the heirarchy copy it and do the changes as per your requirement finaly in your report you just have the heirarchy and key figures are credit and debit etc
    roconsilation alway with the combination of GL accounts. (take some GLA ccounts month wise or fiscal period wise and check in R3 and your BI data target)
    Regards,
    Chandra.

  • Balance sheet report

    Hi all,
    I have created a balance sheet report in FI using the hierarchy(based on 0GLACCEXT). The hierarchy looks as follows:
    Current Assets (Text node)
          ABC     (This is the GL account under current assets)
          DEF      (This is the GL account under current assets)
    The Query has 0balance as the key figure. Everything gets displayed on report correctly but there are 2 issues:
    1. I want to display the individual balance values (for each GL account) in one column and sum of balances of GL account (displayed for nodes) in next column.
    How can I achieve this? Right now, the summation at nodes is happening(since it is a hierarchy),
    but in the same column.
    2. How can I include a GL which does not exist in my development system but exists in production. 0GLACCEXT will only show the  GLs which are coming as master data. Users are saying that if a GL is not there in development system, it can appear in production system.
    Last question is: Is there any way to create Balance sheet reports (with a fixed layout) without using hierarchies?
    Thanks

    Hi
    You can achieve through SELECTIONS. do like this suppose you have the line item called Inventory(this inventory will capture the data from two or three GL accounts say ex: 123,456,789).you can create the selection with the name inventory and use these GLaccounts in that.when you see the report it will show
    Invantory            $1000
    Share Capital     $2000
    Deposits            $3000
    when drill down it will shoe GL account wise also.
    Regards,
    chandra.

  • Using Profit Center Accounting for balance sheet reporting on various plant

    Hi Gurus,
    Can anyone please tell me the steps I need to take to use PCA for balance sheet reporting on various plants under one company code. If there is a better way then please let me know. Thanks

    Hi,
    It depends on the organisation structure you decide on and as such PCA is recomended for your requirement.
    Cosider each plant as a Profit center and decide cost centers under each plant/profict centers.
    For all the materials under each plant assign the prfict center or that pant.
    Change the feild status groups for Profit centers as mandatory.
    If you are in 4.7EE You need to write derivaton rules & Assign dummy profit center for scenarios that overlap or for sales made by one plant of the stocks of other plant.
    Need to identify the Asset costcenter/Plant/location wise adn need to assign in ACSET.
    You need to rum F.5D , F.5E as period end process.
    Down payments need to be handled by way if user exits if you are in 4.7EE
    If you are in >= ECC5.0 then simply activating the document split will give you the PCA wise balances without much month end closing activities.
    Make Zero Balance and Profit centers as mandatory in document splitting charactersics.
    In any case you need to completely test the scenarios and how you are goinbg to get th eprofit center in all the scenarios.
    Reward if useful.
    Sarma

  • Regarding Balance sheet report

    Hello,
    I want to create a balance sheet report as on all the periods of the fiscal year.
    Like. the output should have:
    Balance sheet as on April2009,Balance sheet as on May2009,Balance sheet as on Junel2009......
    And this all should reflect in one report with different coloumns.
    So how should i achieve this.
    Regards,
    Pratighya

    Hi,
    Create a structure for all keyfigures in columns. Drag and drop the time characterstic calendar year/month above that
    structure.
    Place the G/L account characterstic in rows.
    In filter restrict the G/L account infobject to specif hierarchy nodes and restrict the calendar year/month to user entry
    mandatory variable (range).
    Let me know if you want more information.
    Regards
    Prasad

  • Balance Sheet report (tcode: F.01)

    Dear Experts,
    I would like to let Balance sheet report form  just to show the item has summarization numbers
    not want to show every detail account.  Could  I get it?
    Thanks a lot.
    Yacoa

    Hi,
    Can you please explain the requirement some more detailly.
    while running the f.01 we have three types of views.
    1) Classic list
    2) ALV Grid Control
    3) ALV Tree Control
    The 1 & 2nd will show detailly with account numbers, where as the 3rd one (ALV Tree Control) will show the nodes wise, if you want the nodes to be expanded you can or leave it.
    for example
    Sources of funds ---> you can expand it as below if you want ..
    Sources of funds
    Reserves & surplus
    P&L Account balance
                                                 --- GL Account number
    if you dont want to to view detailly like the dont expand the nodes, just expand upto your requirement and export it to excel sheet.
    thanks & regards,
    shashi kanth

  • Split balance sheet report by different business types

    Hi Expert,
    Recently, one of my entity with new business type required to setup and target live by May-2011. Currently, we are using profit center accounting for P&L report. With the new business type, they would like to split the balance sheet report by that.
    Can expert please share with me how can I achieve to split the balance sheet by different business types? Your kind help is appreciated.
    Regards,
    Kang Ring

    Dear:
                 For business area definition you have to do certain customization in SPRO In enterprise structure....definition for Financial Accounting... define business area and for enabling Business area wise balance sheets to ****(Financial Accounting Global Standard) in SPRO...Enter Global Parameters.... and enable Business area balance sheet.
    Regards
    Edited by: Atif Farooq on Mar 4, 2011 10:53 AM

  • Balance sheet reports for foriegn exchange

    hi all,
            exchange rate type M is defined for 04/01/2008 and document is posted in 04/15/08.
    when balance sheet report is taken in 05/01/2008 it should take the exchange rate from 05/01/2008
    It is still taking ERT from 04/01/2008 how can we make it work to take ERT as of 05/01/2008.
    exchange rate maintained on 05/01/2008 is the spot rate or average rate.
    B/S taken on 05/01 is based on spot rate or average/standard rate.
    Also B/S can be taken on spot rate or average/standard rate as of monthly basis.
    Thanks
    Vikram

    Hi
    What is the report you are executing and what steps did you take to convert the report to have the exhcange rate as of  05/01/2008?
    Rgds
    Nadini

  • How to get balance sheet report for profit centers

    hi
    how to get balance sheet report for profit centers, is there any transcation code to get that report or i need to create a report painter report for this

    Hi,
    You can use T. code KE5Z for actual line items.
    More to this you can use program RFBILA10 (Use T. code SE38 and program RFBILA10) for complete blance sheet.
    The transaction is for special purpose ledger but this program RFBILA10 can be used for profit center balance also.
    In selection, you can give ledger name which is generally 8A for profit center ledger.
    Reg

Maybe you are looking for

  • Error when trying to steam live

    We are currently running Windows media streaming servers and would like to start streaming live flash from these servers. I have downloaded and installed the Flash Media Development Server 3, Flash Media Live Encoder 2.5, and Flash CS3 Professional.

  • I have Design and Web Prem (Mac) I just got a new PC can I auth this too?

    I have Design and Web Prem (Mac) I just got a new PC can I auth this too?

  • Smart Objects - Save as PDF

    Good Afternoon: I've got a PSD file in which I have pasted some vector paths from Illustrator as a Smart Object. Everything works as expected. When I save the PSD as a PDF, the PDF that I receive is entirely raster based. The vector based paths are n

  • Iphone disconnection to itunes + start-up  issue

    Hello Everyone, Attempted to upgrade my iphone 4 to iOS 5 but ran into a number of headaches. The initally upgrade stalled numerous times on the "back-up portion" of the upgrade. Fearing the worst, I restored my phone which appears to have created a

  • Failure to download free apps

    Why can't install free apps on my iPad Air yet I have the Apple ID?help me please