Blocking of business area

Hi guru
One vendor(one time vendor) is created with purchasing organisation as MKTG.But users are posting to one business area (CORP) which we  WANT TO BLOCK.Actually it should be posted to MKTG business area.Now how to block that vendor for posting to CORP business area.
Thanks
Shivaji

Hi,
You can use User Exit in this particular case.
regards,
radhika

Similar Messages

  • Blocking of business area for further posting

    Hi
    We want to block a business area for any further posting into it.
    Pl. explain how to do that.
    Thanks
    shivaji

    Hi
    In T.Code OX03 ypu can delete the particular business area. Before deleting check whether you have the autorization for the same or not.
    If it is helpful to you plz assign points
    Regards
    Tapan Patro

  • Block from key in business area for company do not have business area

    Dear experts,
    How can I do a validation rule to block from key in business area for company do not have business area?
    Kindly advice.
    tks!

    Hi,
    One option, you can create role via Tcode PFCG for each user/company which do not have business area. You can disable the business area in authorization tab.
    One more option you can greyed or freezed the business area field for the company which do not have the business area by using Tcode OBC4. You can suppress the business area field for each GL that been used by the company code. In other words, you create special field status group for the company and suppress the business area.
    Hope this will help you.
    TQ
    Regards,
    Nazrul

  • Blocking of one business area

    Hi experts,
    My user wants to block transactions in one business area.This company code has four business areas.Out of that ,one business area to be blocked.
    Please advise.
    Regards,
    Samar

    Hi,
    Create validation at line item level.
    goto T.Code: OB28 PRESS ENTER
    CO.CODE:1000
    CALLPOINT: 2 (Line item level)
    select the above line item and double click
    click on create"validation" buttion on top
    validation name: BA
    DISCRIPTION : Business area
    then click on create step -icon
    then give the description once again
    then click on prerequisite
    then serach for co.code at table fields on right hand side
    double click on company code
    then click on" =" SYMBOL
    Then click on constant tab
    enter the company code no as 1000(give appropirate number)
    Step2:
    Then click on check below rerequisite
    again search for business area at table fields
    then double click
    then select" =" symbol
    then click on constant
    enter the business area as 1000
    Step3:
    then click on message below the prerequisite
    Message type :E
    MESSAGE NUMBER : 004
    PRESS ENTER AND SAVE
    Final output as below
    Prerequisite
    BKPF-BUKRS = '1000'
    Check
    BKPF-BUKRS = '1000'
    Message  - E
    Message number: 04 (Check the business area , is this correct?)
    Now you can start testing to check the validation
    All the best
    Prasad

  • GR blocked stock posting - Business area error

    Dear experts
    While posting of Goods receipt with movement 105 we are getting the below error:
    "Balancing field "Business Area" in line item 001 not filled.
    As we all know, this error pertains to document splitting. Based on the SDN messages I have chekced the relevant settings and possible ways but i found everything is fine. i.e, Material Master profit center maintenance, OMJ7, table entries T134G etc.,
    Kindly suggest Is this issue relevant for movement 105 or something else.
    Kindly Provide your valuable inputs to resolve this issue. 
    Thanks in advance
    Rao

    Hi Vivek
    Thanks for the quick support,
    As per your inputs i have checked the Material Master,  divison is maintained in Material master, but the same division  is not maintianed in t.code  OMJ7 for the cobmination of Plant, Division and Business area.
    Is this encountered the error message?
    Please revert with your valuable inputs,
    Thanks once again
    Rao

  • Tds details of vendor coming but not business area.

    Hi Experts,
    I am making a report to display vendor data with its TDS details in accounting documents.
    I am getting all the data from other tables rather 1 table BSEG, which is a cluster table. I need to retrieve business are from BSEG i.e. (BSEG-GSBER).
    I am using another select query for this, but when i put debugger at loop of business are, it is showing the data, but in alv display it is not showing business area.
    Hence i need your help on that.
    Please go through the program code given below.
    Thanks,
    Deepanshu Mathur
    TABLES: BSEG,BKPF,WITH_ITEM,T059Z,T059ZT,LFA1.
    DATA: BEGIN OF ITAB OCCURS 0,
            BELNR LIKE BKPF-BELNR,                    " Accounting Document Number
            GJAHR LIKE BKPF-GJAHR,                    " Fiscal Year
            BUKRS LIKE BKPF-BUKRS,                    " Company Code
            BLDAT LIKE BKPF-BLDAT,                    " Document Date in Document
            BUDAT LIKE BKPF-BUDAT,                    " Posting Date in the Document
            LIFNR LIKE BSEG-LIFNR,                    " Account Number of Vendor or Creditor
            GSBER LIKE BSEG-GSBER,                    " Business Area
            WT_QSSHH LIKE WITH_ITEM-WT_QSSHH,         " Withholding tax base amount (local currency)
            WT_QBSHH LIKE WITH_ITEM-WT_QBSHH,         " Withholding tax amount (in local currency)
            WITHT LIKE WITH_ITEM-WITHT,               " Indicator for withholding tax type
            WT_WITHCD LIKE WITH_ITEM-WT_WITHCD,       " Withholding tax code
            QSCOD LIKE T059Z-QSCOD,                   " Official Withholding Tax Key
            QSATZ LIKE T059Z-QSATZ,                   " Withholding tax rate
            NAME1 LIKE LFA1-NAME1,                    " vendor name
            LAND1 LIKE LFA1-LAND1,                    " Country Key
            TEXT40 LIKE T059ZT-TEXT40,                " Text, 40 Characters Long
            WAERS LIKE BKPF-WAERS,                    " Currency
            WT_ACCO LIKE WITH_ITEM-WT_ACCO,
          END OF ITAB.
    DATA: BEGIN OF LT_BSEG OCCURS 0,
            BELNR LIKE BSEG-BELNR,                    " Accounting Document Number
            GJAHR LIKE BSEG-GJAHR,                    " Fiscal Year
            BUKRS LIKE BSEG-BUKRS,                    " Company Code
            LIFNR LIKE BSEG-LIFNR,                    " Account Number of Vendor or Creditor
            GSBER LIKE BSEG-GSBER,                    " Business Area
          END OF LT_BSEG.
    SELECTION-SCREEN: BEGIN OF BLOCK FRAME WITH FRAME TITLE TEXT-001.
    SELECT-OPTIONS: COCO FOR BKPF-BUKRS,
                    DOC_DATE FOR BKPF-BLDAT,
                    POST_DAT FOR BKPF-BUDAT,
                    FIS_YEAR FOR BKPF-GJAHR.
    SELECTION-SCREEN: END OF BLOCK FRAME.
    TYPE-POOLS:slis.
    DATA: body        TYPE slis_t_fieldcat_alv,
          header      TYPE slis_fieldcat_alv,
          gd_layout   TYPE slis_layout_alv,
          gd_repid    LIKE sy-repid.
    START-OF-SELECTION.
      PERFORM FETCH.
    END-OF-SELECTION.
    *&      Form  FETCH
    *       text
    *  -->  p1        text
    *  <--  p2        text
    FORM FETCH .
    SELECT
      BKPF~BELNR BKPF~GJAHR BKPF~BUKRS BKPF~BLDAT BKPF~BUDAT BKPF~WAERS
      WITH_ITEM~BELNR WITH_ITEM~GJAHR WITH_ITEM~BUKRS WITH_ITEM~WT_QSSHH WITH_ITEM~WT_QBSHH WITH_ITEM~WITHT
      WITH_ITEM~WT_WITHCD WITH_ITEM~WT_ACCO
      LFA1~LIFNR LFA1~NAME1 LFA1~LAND1
      T059Z~WITHT T059Z~WT_WITHCD T059Z~QSCOD T059Z~QSATZ
      T059ZT~WITHT T059ZT~TEXT40 T059ZT~WT_WITHCD
      INTO CORRESPONDING FIELDS OF TABLE ITAB FROM BKPF
      JOIN WITH_ITEM ON WITH_ITEM~BELNR = BKPF~BELNR AND
                        WITH_ITEM~GJAHR = BKPF~GJAHR AND
                        WITH_ITEM~BUKRS = BKPF~BUKRS AND
                        WITH_ITEM~WT_QSSHH NE ' ' AND WITH_ITEM~WT_QBSHH NE ' '
      JOIN LFA1 ON LFA1~LIFNR = WITH_ITEM~WT_ACCO
      JOIN T059Z ON T059Z~WITHT = WITH_ITEM~WITHT AND T059Z~WT_WITHCD = WITH_ITEM~WT_WITHCD
      JOIN T059ZT ON T059ZT~WITHT = WITH_ITEM~WITHT AND T059ZT~WT_WITHCD = WITH_ITEM~WT_WITHCD
      WHERE
            BKPF~BUKRS IN COCO AND
            BKPF~BLDAT IN DOC_DATE AND
            BKPF~BUDAT IN POST_DAT AND
            BKPF~GJAHR IN FIS_YEAR.
    SELECT
      BELNR GJAHR BUKRS LIFNR GSBER
      FROM BSEG
      INTO CORRESPONDING FIELDS OF TABLE LT_BSEG
      FOR ALL ENTRIES IN ITAB
      WHERE BELNR = ITAB-BELNR AND GJAHR = ITAB-GJAHR AND BUKRS = ITAB-BUKRS AND LIFNR NE ' ' .
    IF SY-SUBRC EQ 0.
    SORT ITAB BY BLDAT BELNR.
    LOOP AT LT_BSEG WHERE BELNR = ITAB-BELNR AND GJAHR = ITAB-GJAHR AND BUKRS = ITAB-BUKRS AND LIFNR NE ' '.
    IF ( LT_BSEG-BELNR = ITAB-BELNR AND LT_BSEG-GJAHR = ITAB-GJAHR AND LT_BSEG-BUKRS = ITAB-BUKRS AND
         LT_BSEG-LIFNR NE ' ').
        MOVE LT_BSEG-GSBER TO ITAB-GSBER.
    ENDIF.
    APPEND ITAB.
    ENDLOOP.
      PERFORM BUILD_LAYOUT.
      PERFORM FIELDCATALOG.
      PERFORM ALVDISPLAY.
    ELSE.
      MESSAGE 'DATA NOT FOUND !' TYPE 'I'.
    ENDIF.
    ENDFORM.
    *&      Form  BUILD_LAYOUT
    *       text
    *  -->  p1        text
    *  <--  p2        text
    FORM BUILD_LAYOUT .
      gd_layout-no_input          = 'X'.
      gd_layout-colwidth_optimize = 'X'.
      gd_layout-info_fieldname = 'WS_COLOR'.
      gd_LAYOUT-coltab_fieldname = 'CELL_COLOR'.
    ENDFORM.                    " BUILD_LAYOUT
    *&      Form  FIELDCATALOG
    *       text
    *  -->  p1        text
    *  <--  p2        text
    FORM FIELDCATALOG .
      header-col_pos = '1'.
      header-tabname = 'ITAB'.
      header-fieldname = 'BLDAT'.
      header-seltext_l = 'Doc. Date'.
      header-just = 'C'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '2'.
      header-tabname = 'ITAB'.
      header-fieldname = 'BUDAT'.
      header-seltext_l = 'Posting Date'.
      header-just = 'C'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '3'.
      header-tabname = 'ITAB'.
      header-fieldname = 'GJAHR'.
      header-seltext_l = 'Fiscal Year'.
      header-just = 'C'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '4'.
      header-tabname = 'ITAB'.
      header-fieldname = 'BUKRS'.
      header-seltext_l = 'Company Code'.
      header-just = 'C'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '5'.
      header-tabname = 'ITAB'.
      header-fieldname = 'GSBER'.
      header-ref_tabname = 'BSEG'.
      header-ref_fieldname = 'GSBER'.
      header-just = 'L'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '6'.
      header-tabname = 'ITAB'.
      header-fieldname = 'BELNR'.
      header-seltext_l = 'Doc. No.'.
      header-ref_tabname = 'WITH_ITEM'.
      header-ref_fieldname = 'BELNR'.
      header-just = 'L'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '7'.
      header-tabname = 'ITAB'.
      header-fieldname = 'LIFNR'.
      header-seltext_l = 'Vendor'.
      header-ref_tabname = 'LFA1'.
      header-ref_fieldname = 'LIFNR'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '8'.
      header-tabname = 'ITAB'.
      header-fieldname = 'NAME1'.
      header-seltext_l = 'Vendor Name'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '9'.
      header-tabname = 'ITAB'.
      header-fieldname = 'LAND1'.
      header-seltext_l = 'Country'.
      header-ref_tabname = 'LFA1'.
      header-ref_fieldname = 'LAND1'.
      header-just = 'C'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '10'.
      header-tabname = 'ITAB'.
      header-fieldname = 'WITHT'.
      header-seltext_l = 'Withholding Tax Type'.
      header-ref_tabname = 'WITH_ITEM'.
      header-ref_fieldname = 'WITHT'.
      header-just = 'L'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '11'.
      header-tabname = 'ITAB'.
      header-fieldname = 'WT_WITHCD'.
      header-seltext_l = 'Withholding Tax Code'.
      header-ref_tabname = 'WITH_ITEM'.
      header-ref_fieldname = 'WT_WITHCD'.
      header-just = 'L'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '12'.
      header-tabname = 'ITAB'.
      header-fieldname = 'QSCOD'.
      header-seltext_l = 'Tax Key'.
      header-ref_tabname = 'T059Z'.
      header-ref_fieldname = 'QSCOD'.
      header-just = 'L'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '13'.
      header-tabname = 'ITAB'.
      header-fieldname = 'TEXT40'.
      header-seltext_l = 'Section Code'.
      header-ref_tabname = 'T059ZT'.
      header-ref_fieldname = 'TEXT40'.
      header-just = 'L'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '14'.
      header-tabname = 'ITAB'.
      header-fieldname = 'WAERS'.
      header-seltext_l = 'Currency'.
      header-just = 'C'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '15'.
      header-tabname = 'ITAB'.
      header-fieldname = 'WT_QSSHH'.
      header-seltext_l = 'TDS Base Amount'.
      header-ref_tabname = 'WITH_ITEM'.
      header-ref_fieldname = 'WT_QSSHH'.
      header-do_sum = 'X'.
      header-just = 'R'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '16'.
      header-tabname = 'ITAB'.
      header-fieldname = 'QSATZ'.
      header-seltext_l = 'TDS Tax Rate'.
      header-just = 'R'.
      APPEND header TO body.
      CLEAR header.
      header-col_pos = '17'.
      header-tabname = 'ITAB'.
      header-fieldname = 'WT_QBSHH'.
      header-seltext_l = 'TDS Amount'.
      header-ref_tabname = 'WITH_ITEM'.
      header-ref_fieldname = 'WT_QBSHH'.
      header-do_sum = 'X'.
      header-just = 'R'.
      APPEND header TO body.
      CLEAR header.
    ENDFORM.                    " FIELDCATALOG
    *&      Form  ALVDISPLAY
    *       text
    *  -->  p1        text
    *  <--  p2        text
    FORM ALVDISPLAY .
    gd_repid = sy-repid.
    CALL FUNCTION 'REUSE_ALV_GRID_DISPLAY'
    EXPORTING
       i_callback_program      = gd_repid
       I_CALLBACK_TOP_OF_PAGE            = 'TOP_OF_PAGE'
       IS_LAYOUT                         = gd_layout
       IT_FIELDCAT                       = body
      TABLES
        T_OUTTAB                          = ITAB
    EXCEPTIONS
       PROGRAM_ERROR                     = 1
       OTHERS                            = 2.
    IF SY-SUBRC <> 0.
    * MESSAGE ID SY-MSGID TYPE SY-MSGTY NUMBER SY-MSGNO
    *         WITH SY-MSGV1 SY-MSGV2 SY-MSGV3 SY-MSGV4.
    ENDIF.
    ENDFORM.                    " ALVDISPLAY
    Form TOP_OF_PAGE.
    *ALV Header declarations
      data: t_header type slis_t_listheader,
            wa_header type slis_listheader,
            t_line like wa_header-info,
            ld_lines type i,
            ld_linesc(10) type c.
    * Title
      wa_header-typ  = 'H'.     " H = Header
      wa_header-info = 'TDS Report'.
      append wa_header to t_header.
      clear wa_header.
    * Date
      wa_header-typ  = 'S'.     " S = Selection
      wa_header-key = 'Date: '.
      CONCATENATE  sy-datum+6(2) '.'
                   sy-datum+4(2) '.'
                   sy-datum(4) INTO wa_header-info.   "todays date
      append wa_header to t_header.
      clear: wa_header.
    * Total No. of Records Selected
      describe table ITAB lines ld_lines.
      ld_linesc = ld_lines.
      concatenate 'Total No. of Records Selected: ' ld_linesc
                        into t_line separated by space.
      wa_header-typ  = 'A'.     " A = Action
      wa_header-info = t_line.
      append wa_header to t_header.
      clear: wa_header, t_line.
      call function 'REUSE_ALV_COMMENTARY_WRITE'
        EXPORTING
          it_list_commentary = t_header.
    *            i_logo             = 'Z_LOGO'.
    endform.                    "top-of-page

    Hi,
    Try Below code.
    1) your code is very bad I am not sure whether it will work or not because it has inner join queries on many tables.
    2) I made certain changes, please check the data selection part as below
    SELECT bkpf~belnr bkpf~gjahr bkpf~bukrs bkpf~bldat bkpf~budat bkpf~waers with_item~belnr
        with_item~gjahr with_item~bukrs with_item~wt_qsshh
      with_item~wt_qbshh with_item~witht with_item~wt_withcd with_item~wt_acco lfa1~lifnr
         lfa1~name1 lfa1~land1 t059z~witht t059z~wt_withcd t059z~qscod
         t059z~qsatz t059zt~witht t059zt~text40 t059zt~wt_withcd
        INTO CORRESPONDING FIELDS OF TABLE itab
         FROM bkpf
      INNER JOIN with_item ON with_item~belnr = bkpf~belnr AND with_item~gjahr = bkpf~gjahr
        AND with_item~bukrs = bkpf~bukrs AND with_item~wt_qsshh NE ' '
        AND with_item~wt_qbshh NE ' '
        INNER JOIN lfa1 ON lfa1~lifnr = with_item~wt_acco
        INNER JOIN t059z ON t059z~witht =
      with_item~witht AND t059z~wt_withcd = with_item~wt_withcd
        INNER JOIN t059zt ON t059zt~witht = with_item~witht AND t059zt~wt_withcd = with_item~wt_withcd
        WHERE bkpf~bukrs IN coco AND bkpf~bldat IN doc_date
        AND bkpf~budat IN post_dat AND bkpf~gjahr IN fis_year.
      IF itab[] IS NOT INITIAL.
        SELECT belnr gjahr bukrs lifnr gsber FROM bseg
          INTO CORRESPONDING FIELDS OF TABLE lt_bseg
          FOR ALL ENTRIES IN itab
          WHERE belnr = itab-belnr
          AND gjahr = itab-gjahr AND bukrs = itab-bukrs
          AND lifnr NE ' ' .
        IF sy-subrc EQ 0.
          SORT itab BY bldat belnr.
    *    LOOP AT lt_bseg WHERE belnr = itab-belnr AND
    *      gjahr = itab-gjahr AND bukrs = itab-bukrs AND lifnr NE ' '.
    *      IF ( lt_bseg-belnr = itab-belnr AND lt_bseg-gjahr = itab-gjahr
    *        AND lt_bseg-bukrs = itab-bukrs AND lt_bseg-lifnr NE ' ').
    *        MOVE lt_bseg-gsber TO itab-gsber.
    *      ENDIF.
    *      APPEND itab.
    *    ENDLOOP.
          LOOP AT itab.
            READ TABLE lt_bseg
            WITH KEY belnr = itab-belnr
            gjahr = itab-gjahr
             bukrs = itab-bukrs.
            MOVE lt_bseg-gsber TO itab-gsber.
            MODIFY itab.
            CLEAR :lt_bseg,itab.
          ENDLOOP.
          PERFORM build_layout. PERFORM fieldcatalog. PERFORM alvdisplay.
        ELSE.
          MESSAGE 'DATA NOT FOUND !' TYPE 'I'.
        ENDIF.
      ENDIF.

  • Customer & vendoar Trial balance under Business Area Wise

    Dear Experts,
                          Pls tell me the T.code for Customer & vendor Trial balance under Business Area wise.
    I am ready to assign full points.
    Thanks & Regards
    avudaiappan

    Once again test u r patiency.. ur self...
    SAP FI Transaction Code List 2
    FG99    Flexible G/L: Report Selection
    FGI0    Execute Report
    FGI1    Create Report
    FGI2    Change Report
    FGI3    Display Report
    FGI4    Create Form
    FGI5    Change Form
    FGI6    Display Form
    FGIB    Background Processing
    FGIC    Maintain Currency Translation Type
    FGIK    Maintain Key Figures
    FGIM    Report Monitor
    FGIO    Transport Reports
    FGIP    Transport Forms
    FGIQ    Import Reports from Client 000
    FGIR    Import Forms from Client 000
    FGIT    Translation Tool - Drilldown Report.
    FGIV    Maintain Global Variable
    FGIX    Reorganize Drilldown Reports
    FGIY    Reorganize Report Data
    FGIZ    Reorganize Forms
    FGM0    Special Purpose Ledger Menu
    FGRP    Report Painter
    FGRW    Report Writer Menu
    FI01    Create Bank
    FI02    Change Bank
    FI03    Display Bank
    FI04    Display Bank Changes
    FI06    Mark Bank for Deletion
    FI07    Change Current Number Range Number
    FI12    Change House Banks/Bank Accounts
    FI12CORE   Change House Banks/Bank Accounts
    FI13    Display House Banks/Bank Accounts
    FIBB    Bank chain determination
    FIBC    Scenarios for Bank Chain Determin.
    FIBD    Allocation client
    FIBF    Maintenance transaction BTE
    FIBHS   Display bank chains for house banks
    FIBHU   Maintain bank chains for house banks
    FIBL1   Control Origin Indicator
    FIBL2   Assign Origin
    FIBL3   Group of House Bank Accounts
    FIBPS   Display bank chians for partners
    FIBPU   Maintain bank chains for partner
    FIBTS   Dis. bank chains for acct carry over
    FIBTU   Main. bank chains for acctCarry over
    FIHC    Create Inhouse Cash Center
    FILAUF_WF_CUST  Store Order: Workflow Customizing
    FILE    Cross-Client File Names/Paths
    FILINV_WF_CUST  Store Inventory:Workflow Customizing
    FINA    Branch to Financial Accounting
    FINF    Info System Events
    FINP    Info System Processes
    FITP_RESPO      Contact Partner Responsibilities
    FITP_SETTINGS   Settings for Travel Planning
    FITP_SETTINGS_TREE      Tree Maintenance Current Settings
    FITVFELD        Tree
    FJA1    Inflation Adjustment of G/L Accounts
    FJA2    Reset Transaction Data G/L Acc.Infl.
    FJA3    Balance Sheet/P&L with Inflation
    FJA4    Infl. Adjustment of Open Items (FC)
    FJA5    Infl. Adj. of Open Receivables (LC)
    FJA6    Infl. Adj. of Open Payables (LC)
    FJEE    Exercise Subscription Right
    FK01    Create Vendor (Accounting)
    FK02    Change Vendor (Accounting)
    FK02CORE   Maintain vendor
    FK03    Display Vendor (Accounting)
    FK04    Vendor Changes (Accounting)
    FK05    Block Vendor (Accounting)
    FK06    Mark Vendor for Deletion (Acctng)
    FK08    Confirm Vendor Individually (Acctng)
    FK09    Confirm Vendor List (Accounting)
    FK10    Vendor Account Balance
    FK10N   Vendor Balance Display
    FK10NA  Vendor Balance Display
    FK15    Transfer vendor changes: receive
    FK16    Transfer vendor changes: receive
    FKI0    Execute Report
    FKI1    Create Report
    FKI2    Change Report
    FKI3    Display Report
    FKI4    Create Form
    FKI5    Change Form
    FKI6    Display Form
    FKIB    Background Processing
    FKIC    Maintain Currency Translation Type
    FKIK    Maintain Key Figures
    FKIM    Report Monitor
    FKIO    Transport Reports
    FKIP    Transport Forms
    FKIQ    Import Reports from Client 000
    FKIR    Import Forms from Client 000
    FKIT    Translation Tool - Drilldown Report.
    FKIV    Maintain Global Variable
    FKIX    Reorganize Drilldown Reports
    FKIY    Reorganize Report Data
    FKIZ    Reorganize Forms
    FKMN   
    FKMT    FI Acct Assignment Model Management
    FLB1    Postprocessing Lockbox Data
    FLB2    Import Lockbox File
    FLBP    Post Lockbox Data
    FLCV    Create/Edit Document Template WF
    FM+0    Display FM Main Role Definition
    FM+1    Maintain FM Main Role Definition
    FM+2    Display FM Amount Groups
    FM+3    Maintain FM Amount Groups
    FM+4    Display FM Budget Line Groups
    FM+5    Maintain FM Budget Line Groups
    FM+6    Display FM Document Classes
    FM+7    Maintain FM Document Classes
    FM+8    Display FM Activity Categories
    FM+9    Maintain FM Activity Categories
    FM+A    Display Doc.Class->Doc.Cat. Assgmt
    FM+B    Maintain Doc.Clase->Doc.Cat.Assgmt
    FM03    Display FM Document
    FM21    Change Original Budget
    FM22    Display Original Budget
    FM25    Change Supplement
    FM26    Display Supplement
    FM27    Change Return
    FM28    Transfer Budget
    FM29    Display Return
    FM2D    Display Funds Center Hierarchy
    FM2E    Change Budget Document
    FM2F    Display Budget Document
    FM2G    Funds Center Hierarchy
    FM2H    Maintain Funds Center Hierarchy
    FM2I    Create Funds Center
    FM2S    Display Funds Center
    FM2T    Change Releases
    FM2U    Change Funds Center
    FM2V    Display Releases
    FM3D    Display Commitment Item Hierarchy
    FM3G    Commitment Item Hierarchy
    FM3H    Maintain Commitment Item Hierarchy
    FM3I    Create Commitment Item
    FM3N    Commitment Items for G/L Accounts
    FM3S    Display Commitment Item
    FM3U    Change Commitment Item
    FM48    Change Financial Budget: Initial Scn
    FM48_1  PS-CM: Create Planning Layout
    FM48_2  PS-CM: Change Planning Layout
    FM48_3  PS-CM: Display Planning Layout
    FM49    Display Financial Budget: Init.Scrn
    FM4G    Budget Structure Element Hierarchy
    FM5I    Create Fund
    FM5S    Display Fund
    FM5U    Change Fund
    FM5_DEL    Delete fund preselection
    FM5_DISP   Display fund preselection
    FM5_SEL    Preselection Fund
    FM6I    Create Application of Funds
    FM6S    Display Application of Funds
    FM6U    Change Application of Funds
    FM71    Maintain Cover Pools
    FM72    Assign FM Acct Asst to Cover Pool
    FM78    Charact.Groups for Cover Pools
    FM79    Grouping Chars for Cover Pool
    FM7A    Display Cover Eligibility Rules
    FM7I    Create Attributes for FM Acct Asst
    FM7P    Maintain Cover Eligibility Rules
    FM7S    Display Cover Eligibility Rules
    FM7U    Maintain Cover Eligibility Rules
    FM9B    Copy Budget Version
    FM9C    Plan Data Transfer from CO
    FM9D    Lock Budget Version
    FM9E    Unlock Budget Version
    FM9F    Delete Budget Version
    FM9G    Roll Up Supplement
    FM9H    Roll up Original Budget
    FM9I    Roll Up Return
    FM9J    Roll Up Releases
    FM9K    Change Budget Structure
    FM9L    Display Budget Structure
    FM9M    Delete Budget Structure
    FM9N    Generate Budget Object
    FM9P    Reconstruct Budget Distrbtd Values
    FM9Q    Total Up Budget
    FM9W    Adjust Funds Management Budget
    FMA1    Matching: Totals and Balances (CBM)
    FMA2    Matching: CBM Line Items and Totals
    FMA3    Matching: FI Line Items (CBM)
    FMA4    Matching: FI Bank Line Items (CBM)
    FMAA    Matching: Line Items and Totals (FM)
    FMAB    Matching: FI FM Line Items
    FMAC    Leveling: FM Commitment Line Items
    FMAD    Leveling: FI-FM Totals Records
    FMAE    Display Change Documents
    FMAF    Level Line Items and Totals Items
    FMB0    CO Document Transfer
    FMB1    Display Security Prices-Collect.
    FMBI    Use Revenues to Increase Expend.Bdgt
    FMBUD005   FIFM Budget Data Export
    FMBUD006   FIFM Budget Data Import
    FMBV    Activate Availability Control
    FMC2    Customizing in Day-to-Day Business
    FMCB    Reassignment: Document Selection
    FMCC    Reassignment: FM-CO Assignment
    FMCD    Reassignment: Delete Work List
    FMCG    Reassignment: Overall Assignment
    FMCN    Reassignment: Supplement.Acct Assgt
    FMCR    Reassignment: Display Work List
    FMCT    Reassignment: Transfer
    FMD1    Change Carryforward Rules
    FMD2    Display Carryforward Rules
    FMDM    Monitor Closing Operations
    FMDS    Copy Carryforward Rules
    FMDT    Display Carryforward Rules
    FME1    Import Forms from Client 000
    FME2    Import Reports from Client 000
    FME3    Transport Forms
    FME4    Transport Reports
    FME5    Reorganize Forms
    FME6    Reorganize Drilldown Reports
    FME7    Reorganize Report Data
    FME8    Maintain Batch Variants
    FME9    Translation Tool - Drilldown
    FMEB    Structure Report Backgrnd Processing
    FMEH    SAP-EIS: Hierarchy Maintenance
    FMEK    FMCA: Create Drilldown Report
    FMEL    FMCA: Change Drilldown Report
    FMEM    FMCA: Display Drilldown Report
    FMEN    FMCA: Create Form
    FMEO    FMCA: Change Form
    FMEP    FMCA: Display Form
    FMEQ    FMCA: Run Drilldown Report
    FMER    FMCA: Drilldown Tool Test Monitor
    FMEURO1 Create Euro FM Area
    FMEURO2 Refresh Euro Master Data
    FMEURO3 Display Euro FM Areas
    FMEURO4 Deactivate Euro FM Areas
    FMEV    Maintain Global Variable
    FMF0    Payment Selection
    FMF1    Revenue Transfer
    FMG1    FM: Create Commitment Item Group
    FMG2    FM: Change Commitment Item Group
    FMG3    FM: Display Commitment Item Group
    FMG4    FM: Delete Commitment Item Group
    FMG5    Generate BS Objects fr.Cmmt Item Grp
    FMHC    Check Bdgt Structure Elements in HR
    FMHG    Generate Bdgt Struc Elements in HR
    FMHGG   Generate BS Elements f. Several Fnds
    FMHH    Master Data Check
    FMHIST  Apportion Document in FM
    FMHV    Budget Memo Texts
    FMIA    Display Rules for Revs.Incr.Budget
    FMIB    Increase Budget by Revenues
    FMIC    Generate Additional Budget Incr.Data
    FMIL    Delete Rules for Revs Incr. Budget
    FMIP    Maintain Rules for Revs.Incr.Budget
    FMIS    Display Rules for Revs.Incr.Budget
    FMIU    Maintain Rules for Revs.Incr.Budget
    FMJ1    Fiscal Year Close: Select Commitment
    FMJ1_TR Settlement: Select Commitment
    FMJ2    Fiscal Year Close: Carr.Fwd Commts
    FMJ2_TR Settlement: Transfer Commitment
    FMJ3    Reverse Commitments Carryforward
    FMJA    Budget Fiscal Year Close: Prepare
    FMJA_TR Budget Settlement: Prepare
    FMJB    Determine Budget Year-End Closing
    FMJB_TR Budget Settlement: Determine
    FMJC    Budget Fiscal-Year Close: Carry Fwd
    FMJC_TR Budget Settlement: Transfer
    FMJD    Reverse Fiscal Year Close: Budget
    FMLD    Ledger Deletion
    FMLF    Classify Movement Types
    FMN0    Subsequent Posting of FI Documents
    FMN1    Subsequent Posting of MM Documents
    FMN2    Subsequent Posting of Billing Docs
    FMN3    Transfer Purchase Req. Documents
    FMN4    Transfer Purchase Order Documents
    FMN5    Transfer Funds Reservation Documents
    FMN8    Simulation Lists Debit Position
    FMN8_OLD   Simulation Lists Debit Position
    FMN9    Posted Debit Position List
    FMN9_OLD   Posted Debit Position List
    FMNA    Display CBA Rules
    FMNP    Maintain CBA Rules
    FMNR    Assign SN-BUSTL to CBA
    FMNS    Display CBA Rules
    FMNU    Maintain CBA Rules
    FMP0    Maintain Financial Budget
    FMP1    Display Financial Budget
    FMP2    Delete Financial Budget Version
    FMR0    Reconstruct Parked Documents
    FMR1    Actual/Commitment Report
    FMR2    Actual/Commitment per Company Code
    FMR3    Plan/Actual/Commitment Report
    FMR4    Plan/Commitment Report w.Hierarchy
    FMR5A   12 Period Forecast: Actual and Plan
    FMR6A   Three Period Display: Plan/Actual
    FMRA    Access Report Tree
    FMRB    Access Report Tree
    FMRE_ARCH    Archive Earmarked Funds
    FMRE_EWU01   Earmarked Funds: Euro Preprocessing
    FMRE_EWU02   Earmarked Funds: Euro Postprocessing
    FMRE_SERLK   Close Earmarked Funds
    FMRP18  Clear Subsequent Postings
    FMSS    Display Status Assignment
    FMSU    Change Assigned Status
    FMU0    Display Funds Reservation Doc.Types
    FMU1    Maintain Funds Reservation Doc.Types
    FMU2    Display Funds Reservtn Fld Variants
    FMU3    Maintain Funds Resvtn Field Variants
    FMU4    Display Funds Reservation Fld Groups
    FMU5    Maintain Funds Reservatn Fld Groups
    FMU6    Display Funds Reservtn Field Selctn
    FMU7    Maintain Funds Resvtn Field Selctn
    FMU8    Display Template Type for Fds Resvtn
    FMU9    Maintain Template Type for Fds Resvn
    FMUA    Dispay Fds Res.Template Type Fields
    FMUB    Maintain Fds Res.Template Type Flds
    FMUC    Display Funds Res. Reference Type
    FMUD    Maintain Funds Res.Reference Type
    FMUE    Display Funds Res.Ref.Type Fields
    FMUF    Maintaine Fds Rsvtn Ref.Type Fields
    FMUG    Display Reasons for Decision
    FMUH    Maintain Reasons for Decisions
    FMUI    Display Groups for Workflow Fields
    FMUJ    Maintain Groups for Workflow Fields
    FMUK    Display Fields in Groups for WF
    FMUL    Maintain Fields in Groups for WF
    FMUM    Display Field Selctn ->Variant/Group
    FMUN    Display Field Seln->Variant/Group
    FMUV    Funds Resvtn Field Status Var.Asst
    FMV1    Create Forecast of Revenue
    FMV2    Change Forecast of Revenue
    FMV3    Display Forecast of Revenue
    FMV4    Approve Forecast of Revenue
    FMV5    Change FM Acct Asst in Fcst of Rev.
    FMV6    Reduce Forecast of Revenue Manually
    FMVI    Create Summarization Item
    FMVO    Fund Balance Carryforward
    FMVS    Display Summarization Item
    FMVT    Carry Forward Fund Balance
    FMVU    Change Summarization Item
    FMW1    Create Funds Blocking
    FMW2    Change Funds Blocking
    FMW3    Display Funds Blocking
    FMW4    Approve Funds Blocking
    FMW5    Change FM Acct Asst in Funds Blkg
    FMWA    Create Funds Transfer
    FMWAZ   Payment Transfer
    FMWB    Change Funds Transfer
    FMWC    Display Funds Transfer
    FMWD    Approve Funds Transfer
    FMWE    Change FM Acct Asst in Funds Trsfr
    FMX1    Create Funds Reservation
    FMX2    Change Funds Reservation
    FMX3    Display Funds Reservation
    FMX4    Approve Funds Reservation
    FMX5    Change FM Acct Asst in Funds Resvn
    FMX6    Funds Reservation: Manual Reduction
    FMY1    Create Funds Commitment
    FMY2    Change Funds Commitment
    FMY3    Display Funds Precommitment
    FMY4    Approve Funds Precommitment
    FMY5    Change FM Acct Asst in Funds Prcmmt
    FMY6    Reduce Funds Precommitment Manually
    FMZ1    Create Funds Commitment
    FMZ2    Change Funds Commitment
    FMZ3    Display Funds Commitment
    FMZ4    Approve Funds Commitment
    FMZ5    Change FM Acct Asst in Funds Commt
    FMZ6    Reduce Funds Commitment Manually
    FMZBVT  Carry Forward Balance
    FMZZ    Revalue Funds Commitments
    FM_DL07    Delete Worklist
    FM_DLFI    Deletes FI Documnts Transferred from
    FM_DLFM    Deletes all FM Data (fast)
    FM_DLOI    Deletes Cmmts Transferred from FM
    FM_EURO_M  Parameter maintenance for euro conv.
    FM_RC06    Reconcile FI Paymts-> FM Totals Itms
    FM_RC07    Reconcile FI Paymts-> FM Line Items
    FM_RC08    Reconcile FM Paymts -> FM Line Items
    FM_RC11    Select Old Payments
    FM_S123    GR/IR: Post OIs to FM Again
    FM_S201    Post Payments on Account to FIFM
    FM_SD07    Display Worklist
    FN-1    No.range: FVVD_RANL (Loan number)
    FN-4    Number range maintenance: FVVD_PNNR
    FN-5    Number range maintenance: FVVD_SNBNR
    FN-6    Number range maintenance: FVVD_RPNR
    FN09    Create Borrower's Note Order
    FN11    Change borrower's note order
    FN12    Display borrower's note order
    FN13    Delete borrower's note order
    FN15    Create borrower's note contract
    FN16    Change borrower's note contract
    FN17    Display borrower's note contract
    FN18    Payoff borrower's note contract
    FN19    Reverse borrower's note contract
    FN1A    Create other loan contract
    FN1V    Create other loan contract
    FN20    Create borrower's note offer
    FN21    Change borrower's note offer
    FN22    Display borrower's note offer
    FN23    Delete borrower's note offer
    FN24    Activate borrower's note offer
    FN2A    Change other loan application
    FN2V    Change other loan contract
    FN30    Create policy interested party
    FN31    Change policy interested party
    FN32    Display policy interested party
    FN33    Delete policy interested party
    FN34    Policy interested party in applic.
    FN35    Policy interested party in contract
    FN37    Loan Reversal Chain
    FN3A    Display other loan application
    FN3V    Display other loan contract
    FN40    Create other loan interested party
    FN41    Change other loan interested party
    FN42    Display other loan interested party
    FN43    Delete other loan interested party
    FN44    Other loan interest.party in applic.
    FN45    Other loan interested prty in cntrct
    FN4A    Delete other loan application
    FN4V    Delete other loan contract
    FN5A    Other loan application in contract
    FN5V    Payoff other loan contract
    FN61    Create collateral value
    FN62    Change collateral value
    FN63    Display collateral value
    FN70    List 25
    FN72    List 54
    FN80    Enter manual debit position
    FN81    Change manual debit position
    FN82    Display manual debit position
    FN83    Create waiver
    FN84    Change waiver
    FN85    Display waiver
    FN86    Enter debit position depreciation
    FN87    Change debit position depreciation
    FN88    Display debit position depreciation
    FN8A    Manual Entry: Unsched. Repayment
    FN8B    Manual Entry: Other Bus. Operations
    FN8C    Manual Entry: Charges
    FN8D    Post Planned Records
    FNA0    Policy application in contract
    FNA1    Create mortgage application
    FNA2    Change mortgage application
    FNA3    Display mortgage application
    FNA4    Complete mortgage application
    FNA5    Mortgage application in contract
    FNA6    Create policy application
    FNA7    Change policy application
    FNA8    Display policy application
    FNA9    Delete policy application
    FNAA    Reactivate deleted mortgage applic.
    FNAB    Reactivate deleted mortg. int.party
    FNAC    Reactivate deleted mortgage contract
    FNAD    Reactivate deleted policy applicat.
    FNAE    Reactivate deleted policy contract
    FNAG    Reactivate deleted other loan applic
    FNAH    Reactivate del. other loan int.party
    FNAI    Reactivate deleted other loan cntrct
    FNAK    Select file character
    FNAL    Reactivate deleted BNL contract
    FNAM    Reactivate deleted policy contract
    FNASL   Loans: Account Analysis
    FNB1    Transfer to a Loan
    FNB2    Transfer from a Loan
    FNB3    Document Reversal - Loans
    FNB8    BAV Information
    FNB9    BAV transfer
    FNBD    Loans-Automatic bal.sheet transfer
    FNBG    Guarantee charges list
    FNBU    DARWIN- Loans accounting menu
    FNCD    Transfer Customizing for Dunning
    FNCW1   Maintain Standard Role
    FNCW2   Transaction Release: Adjust Workflow
    FNDD    Convert Dunning Data in Dunn.History
    FNEN    Create Loan
    FNENALG   Create General Loan
    FNENHYP   Create Mortgage Loan
    FNENPOL   Create Policy Loan
    FNENSSD   Create Borrower's Note Loan
    FNF1    Rollover: Create file
    FNF2    Rollover: Change file
    FNF3    Rollover: Display file
    FNF4    Rollover: Fill file
    FNF9    Rollover: Evaluations
    FNFO    ISIS: Create file
    FNFP    ISIS: Change file
    FNFQ    ISIS: Display file
    FNFR    ISIS: Fill file
    FNFT    Rollover: File evaluation
    FNFU    Rollover: Update file
    FNG2    Total Loan Commitment
    FNG3    Total Commitment
    FNI0   
    FNI1    Create mortgage application
    FNI2    Change mortgage application
    FNI3    Display mortgage application
    FNI4    Delete mortgage application
    FNI5    Mortgage application to offer
    FNI6    Mortgage application in contract
    FNIA    Create interested party
    FNIB    Change interested party
    FNIC    Display interested party
    FNID    Delete interested party
    FNIE    Reactivate interested party
    FNIH    Decision-making
    FNIJ    Create credit standing
    FNIK    Change credit standing
    FNIL    Display credit standing
    FNIN    Create collateral value
    FNIO    Change collateral value
    FNIP    Display collateral value
    FNK0    Multimillion Loan Display (GBA14)
    FNK1    Loans to Managers (GBA15)
    FNKO    Cond.types - Cond.groups allocation
    FNL1    Rollover: Create Main File
    FNL2    Rollover: Change Main File
    FNL3    Rollover: Displ. Main File Structure
    FNL4    New business
    FNL5    New business
    FNL6    New business
    FNM1    Automatic Posting
    FNM1S   Automatic Posting - Single
    FNM2    Balance sheet transfer
    FNM3    Loans reversal module
    FNM4    Undisclosed assignment
    FNM5    Automatic debit position simulation
    FNM6    Post dunning charges/int.on arrears
    FNM7    Loan reversal chain
    FNMA    Partner data: Settings menu
    FNMD    Submenu General Loans
    FNME    Loans management menu
    FNMEC   Loans Management Menu
    FNMH    Loans management menu
    FNMI    Loans information system
    FNMO    Loans Menu Policy Loans
    FNMP    Rollover
    FNMS    Loans Menu Borrower's Notes
    FNN4    Display general file
    FNN5    Edit general file
    FNN6    Display general main file
    FNN7    Edit general main file
    FNN8    Display general main file
    FNN9    Edit general overall file
    FNO1    Create Object
    FNO2    Change Object
    FNO3    Display Object
    FNO5    Create collateral
    FNO6    Change collateral
    FNO7    Display collateral
    FNO8    Create Objects from File
    FNO9    Create Collateral from File
    FNP0    Edit rollover manually
    FNP4    Rollover: Display file
    FNP5    Rollover: Edit File
    FNP6    Rollover: Display main file
    FNP7    Rollover: Edit main file
    FNP8    Rollover: Display overall file
    FNP9    Rollover: Edit overall file
    FNQ2    New Business Statistics
    FNQ3    Postprocessing IP rejection
    FNQ4    Customer Inc. Payment Postprocessing
    FNQ5    Transact.type - Acct determinat.adj.
    FNQ6    Compare Flow Type/Account Determin.
    FNQ7    Generate flow type
    FNQ8    Automatic Clearing for Overpayments
    FNQ9    Int. adjustment run
    FNQF    Swiss interest adjustment run
    FNQG    Swiss special interest run
    FNR0    Loans: Posting Journal
    FNR6    Insur.prtfolio trends - NEW
    FNR7    Totals and Balance List
    FNR8    Account statement
    FNR9    Planning list
    FNRA    Other accruals/deferrals
    FNRB    Memo record update
    FNRC    Accruals/deferrals reset
    FNRD    Display incoming payments
    FNRE    Reverse incoming payments
    FNRI    Portfolio Analysis Discount/Premium
    FNRS    Reversal Accrual/Deferral
    FNS1    Collateral number range
    FNS4    Cust. list parameters for loan order
    FNS6    Installation parameter lists
    FNS7    Loan Portfolio Trend Customizing
    FNSA    Foreign currency valuation
    FNSB    Master data summary
    FNSL    Balance reconciliation list
    FNT0    Loan correspondence (Switzerland)
    FNT1    Autom. deadline monitoring
    FNT2    Copy text modules to client
    FNUB    Treasury transfer
    FNV0    Payoff policy contract
    FNV1    Create mortgage contract
    FNV2    Change mortgage contract
    FNV3    Display mortgage contract
    FNV4    Delete mortgage contract
    FNV5    Payoff mortgage contract
    FNV6    Create policy contract
    FNV7    Change policy contract
    FNV8    Display policy contract
    FNV9    Delete policy contract
    FNVA    Create paid off contracts
    FNVCOMPRESSION  Loans: Document Data Summarization
    FNVD    Disburse Contract
    FNVI    Loans: General Overview
    FNVM    Change Contract
    FNVR    Reactivate Contract
    FNVS    Display Contract
    FNVW    Waive Contract
    FNWF    WF Loans Release: List of Work Items
    FNWF_REP   Release Workflow: Synchronization
    FNWO    Loans: Fast Processing
    FNWS    Housing statistics
    FNX1    Rollover: Create Table
    FNX2    Rollover: Change Table
    FNX3    Rollover: Display Table
    FNX6    Rollover: Delete Table
    FNX7    Rollover: Deactivate Table
    FNX8    Rollover: Print Table
    FNXD    TR-EDT: Documentation
    FNXG    List of Bus. Partners Transferred
    FNXU    List of Imported Loans
    FNY1    New Business: Create Table
    FNY2    New Business: Change Table
    FNY3    New Business: Display Table
    FNY6    New Business: Delete Table
    FNY7    New Business: Deactivate Table
    FNY8    New Business: Print Table
    FNZ0    Rejections report
    FNZ1    Postprocessing payment transactions
    FNZA    Account Determination Customizing
    FN_1    Table maint. transferred loans
    FN_2    Table maintenance transf. partner
    FN_UPD_FELDAUSW   Update Program for Field Selection
    Dasharathi...

  • F.27 to be run by Business Area

    hi,
    I need to run f.27 by business area, how to do this.
    sugesstions required.
    sudha

    As there are no user-exit, and you don't want to duplicate the standard (You have already performed an upgrade project ?)
    You only solution is to divert a field of its standard use to fill it with Business Area.
    But, problems arise when
    - GSBER (business area) is not in the view VF_DEBI used by the trabsaction
    - None of the parameter "divertable" is in BSEG
    Actually i fear that you have to build a specific report that select data per your need, and then submit report SAPF140 (look at END-OF-SELECTION block in RFKORK00)
    Regards

  • F.27 by business area

    hi,
    I need to run f.27 by business area, how to do this.
    sugesstions required.
    sudha

    As there are no user-exit, and you don't want to duplicate the standard (You have already performed an upgrade project ?)
    You only solution is to divert a field of its standard use to fill it with Business Area.
    But, problems arise when
    - GSBER (business area) is not in the view VF_DEBI used by the trabsaction
    - None of the parameter "divertable" is in BSEG
    Actually i fear that you have to build a specific report that select data per your need, and then submit report SAPF140 (look at END-OF-SELECTION block in RFKORK00)
    Regards

  • ERS and business area

    All,
    If I have 3 GRs that I want to settle using MRRL.   I settle with a document selection option of 4 (document selection per delivery document/service entry).   This will result in 3 separate invoices.   The first invoice that is created the FI document has the business area.  The other 2 invoices have a blank business area.   (The business area in the FI document first line item).
    How do I get those other 2 invoices to have business area populated?  
    Regards,
    Sandra

    Dear Sandra
    When you create invoices in the invoice verification, the business area                  
    is not always copied from the offsetting entries in the vendor item.                     
    According to the note                                                                    
        39409 Business area in the vendor item                                                                               
    The business area is taken from the material (of your purchase order)                    
    or from the coding block (if you have a purchase order with account                      
    assignment).                                                                               
    The system fills the business area in the vendor item if a business                      
    area can explicitly be determined from the offsetting entries.                           
    If several business areas were used for the offsetting entries, the                      
    field in the vendor item is not filled.                                                                               
    Also please refer to the attached note 186013 for more detail :                                                                               
    To determine the field 'Business area' automatically in the creditor                     
    line, you select the field 'Business area FS' in Transaction OB65                        
    (financial accounting).                                                                               
    It is possible to change the account assignment data and therefore                       
    the business area for the invoice items.                                                 
    And this might then enable the system to derive the business area                        
    for the vendor item.                                                                               
    Please also review the following attached notes:                                         
        549182 FAQ: Business Area Accounting                                                 
        199886 Business area in tax line                                                                               
    Kindest regards,                                                                         
    Erika Szántó

  • Deactivating business area to company codes.

    HI
    can you please explain me  how to prevent postings to specified business area from particular company code.
    thankyou
    shivaji.

    hi Shivaji,
    you can create a validation where you check the company code and the business area and block the process of posting accordingly.
    hope this helps
    ec

  • Field Business Area in cost center cannot be changed

    Hello all,
    we would like to change the "Business Area FS" (OB65) field for our
    company code to required. But if we do that, we have issues with 2 of
    our cost centers (ks02, analysis period 01/01/10-12/31/10) that won't
    allow us to enter a business area.
    We get the following error message:
    NA KS134 Field change Business Area is not possible.
    Diagnosis: To ensure of existing data, you can only change object
    Business Area if no transaction data exists in the change period; that
    is, neither plan data nor actual data has been posted.
    I have checked with our accounting and the cost center report does not
    have any data in actual nor budget.
    Somehow I figured out that we do have an entry in table CEKO for this
    cost center for 2010. (se16n). I did some further research and tried to
    test report RKPLNC18 to delete this entry. But I get the message:
    the deletion could not be carried out. The following plan/actual
    records are available...
    Any suggestions?
    Thanks
    Anne

    Hi
    You can change the business area in cost center by changing the Analysis period. If there's any data exsist it is not allow you to change the business area. If else block or eleate the cost center and create a new one ( even though this might not permitted if  data exsist in related to cost center.
    Regards
    Kesharika

  • How to fill empty business area in posted documents?

    Hi SAP Team,
    My Client need to fill the field "business area" for documents already posted. However, today all posted documents, have a rule + validation or substitution for this field.- fill business area to be filled in. For year 2013, my client want to re-assign business area at balance sheet accounts but the problem is how to that at customers, vendors account that are reconciliation accounts. Do you have any sugestion?
    For balance accounts, for eg:, if my total in a gl bank account is in debit (no business area at this gl account level), my client idea is to credit that bank account without business area and debit it again but filling the business area. For Customers/Vendors, is not that easy because that gl account does not allow directed posting.
    Do you have suggestion to handle this?
    Thanks a lot,
    Kind regards
    Antónia Farias

    For vendor / customer postings you have to create reconiliation account wise dummy sub ledgers.
    E.g. 1.You have 3 recon. a/c's for customers then you cretae 3 dummy customer codes.
           2. Post a consolidated entry using this dummy accounts(one line item with B.A and the second
               line ietm without B.A)
           3. So at any point of time these subledgers should have zero balance.
           4.  Please block these sub-ledgers once your postings have been finished.
    Rgds
    MBN.

  • Change cost center business area in one year

    HI,
    Our user create a cost center and wrongly key in a business area value. The cost center valid from Jan 13 2010 to Dec 31 9999.
    And already some transaction data post to this cost center.
    Now i want to delete the business area in the cost center master data, SAP will give error message.
    Do you know any way to delete the business area for the cost center?
    Or if i debug to change the business area (i do it successfully in quality system), whether it will have some other problem?
    Thanks.

    Hi David,
    You are right. It looks like you can only change business area on a cost center master for the period starting from next fiscal year.
    You can just create a new cost center with correct business area and use transaction KB61 to transfer the postings from the old cost center to the new one. If you have NewGL turned on for business area reporting, GL-CO reconsiliation is automatic. Otherwise, you will need to run KALC after executing KB61 or at the end of month. Of course, after all is done, you would block the old cost center from any transaction and delete the cost center for the period starting from next fiscal year.
    Regards,
    Ming

  • Business Area Validation or Substitution

    Hi,
    We would like to validate or substitute Business area field.
    Can anybody tell us about this.
    Regards,
    Priti

    For vendor / customer postings you have to create reconiliation account wise dummy sub ledgers.
    E.g. 1.You have 3 recon. a/c's for customers then you cretae 3 dummy customer codes.
           2. Post a consolidated entry using this dummy accounts(one line item with B.A and the second
               line ietm without B.A)
           3. So at any point of time these subledgers should have zero balance.
           4.  Please block these sub-ledgers once your postings have been finished.
    Rgds
    MBN.

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