Cash Flow queries

Hi,
  Can anyone provide a list of all the FICO queries on cash flow from BI Content.
  Thanks.
Cheers

Hi Lip,
RSA1 > BI Content > InfoProviders by InfoArea > Find ( search term CASH ) > Upon finding the InfoCube > Drag it to Collected objects > Grouping = In Dataflow Afterwads > Expand Query Elements > Observe the Query names.
Regards,
Ram.

Similar Messages

  • CASH FLOW per PERIOD

    Hi Gurus/Experts,
    really need your help since i'm stuck in creating Report Painter for Cash Flow.
    Below is the explanation of my case:
    My requirement is to make report for Cash Flow periodically (or per month).
    Already created Report Painter in FSI5 and Form in FSI1, and it's working. But, it's only giving the correct amount if only i generated Cash Flow Report on February, March, April and so on.
    When i tried to generate Cash Flow for January, the amount isn't correct.
    My speculation is because the different fiscal year that effect the increment value
    i.e
    increase in AR (Feb) = AR balance in February 2015 - AR balance in January 2015  >>> CORRECT AMOUNT
    increase in AR (Jan) = AR balance in January 2015 - AR balance in December 2014 >>> INCORRECT AMOUNT
    Currently im using three columns and Period as variable definitions, such as: 1PF, 1PF-1, 1PF-2
    So, my question is:
    1. Could i create cash flow per period? Or we are only able to create CASH FLOW PER FISCAL YEAR as standard report in SAP (0SAPRATIO-04)?
    2. If i could create cash flow per period, where did i miss?
    Already searching all threads, but i couldn't find the same problem.
    Need your advice, Gurus..
    Please let me know if there's any queries.
    Best Regards,
    Melia

    Hi Melia
    For your calculation, you can cross check your logic with actual values form table and  see why it is not matching in case of INCORRECT amount.
    Cash Flow is genuinely generated per Fiscal year and that will show the comparison of Reporting year (For Ex Current Year) with comparison year (For Ex Last Year).
    As a correct solution, you can give selection parameter as below;
    Reporting Year
    Reporting Pd From
    Reporting Pd To
    Comparison Year
    Comparison Pd From
    Comparison Pd To.
    That is the way I have created CFS. Let me know if you need more info.
    Regards
    Syed Zia Abbas

  • Crystal Reports Template : Data for Cash-Flow Analysis

    Dear Experts,
    We are working on cash flow forecasting model, i.e going forward 12 months, which in written in MS Excel. We update it with actual data recorded in SAP B1 (Ver 8.8 PL18)  A manual process.
    Was wondering if we can get a crystal report template which contain the following data:
    Sales, Purchases, Collections and Payments by BP in a given time (user specified)
    BP Code
    BP Name
    Sales Invoice #
    Sales Invoice Date
    Sales Invoice Value (total)
    Sales Credit Memo #
    Sales Credit Memo Date
    Sales Credit Value (total)
    Purchase Invoice #
    Purchase Invoice Date
    Purchase Invoice Value (total)
    Purchase Credit Memo #
    Purchase Credit Memo Date
    Purchase Credit Value (total)
    BP Receipt #
    BP Receipt Date
    BP Receipt Value
    BP Payment  #
    BP Payment Date
    BP Payment Value
    Thank you to all who have answered this question posted earlier under queries, I am hoping we can get a combined report using CR, a feat not possible using SAP B1 Query function. I look forward to your advice.
    Regards
    Raj

    Hi,
    I am not familiar with crystal report. But using queries (that already answered) you can create crystal report.
    You can also refer how to guide for creating crystal report in sap b1.
    Thanks & Regards,
    Nagarajan

  • Cash flow analysis

    Hi experts,
                      My clients are not satisfied with cash flow in standard reports.
    they require reports like
         Supplier Name     PO No     Date     Part No.     Qty     Account payable till Date     
    Payable for current receipt     Scheduled Material value from PO     Advance paid     Net cash flow.
    is this possible through query.
    pls help me.
    regards,
    Vignesh.R

    Hi,
    I am not familiar with crystal report. But using queries (that already answered) you can create crystal report.
    You can also refer how to guide for creating crystal report in sap b1.
    Thanks & Regards,
    Nagarajan

  • Regarding cash flow statement direct method In FSCM-LP

    Hello Every one,
      I got information form SAP japan That we can View cash flow statement direct method but as per my point of view we can see the reports in FSCM-LP of cash flow .
    Can any budy tel me is it possible to see cash flow statement direct method in FSCM-LP module if yes then please guide me how?
    Thank you
    Deepak Pawar

    Hello,
    Yes, you can get the cash flow statement (direct method) in Liquidity Planner.
    Define the liquidity items for Operating cash flows, Investing cash flows and Financing cash flows. Then, configure the assignment mechanisms for liquidity items (based on account statement, FI postings, Invoices). Then, define queries.
    Operating cash flow would include items like sales of goods and services, payments to suppliers etc. Investing cash flows would include items for sale  and purchase of property, plant and equipment, etc. Financing cash flows would include items for debt issuance, dividends etc.
    Manish

  • What is the table of future cash flows (coupan flows).

    Hi experts,
    Can you please tell me what is the table of future cash flows.
    I am using securities module in transaction manger.
    I am using t.code- TS01 for creating a deal transaction. it is generating a future cash flows ion case of bonds.
    but not able to figure out in which table it is storing these flows. TPM 13 is a transaction code to see cash flows.
    I need this table to devolope some BI reports
    Please help.
    Regards
    Gaurav Gupta

    Hi Guarav,
    you can use logical databases like FTI_TR_PERIODS to create own reporting based on SAP queries, but they don't contain any data.
    The cash flow data you see in TPM13 is from the TRL* tables and views, eg. TRLV_TRANS_POS or TRLV_FLOW. This data is valuation area dependant. To see transaction data you should check TRD* tables, for security account class data you better use TRS*.
    Nevertheless, for BI reporting SAP offers some extractors with which you can get data from Treasury and furnish it to BI. For example, with 0CFM_INIT_POSITIONS you set initial position (like TPM12). With 0CFM_DELTA_POSITIONS you can then provide positions for further key dates and create BI reports that valuate delta flows. The DataSource 0CFM_O01 contains information about all position relevant flows, 0FM_O02 about reversed flows.
    Extractor 0CFM_DELTA_POSITIONS and other 0CFM* extractors are generally based on logical databases, so you can e.g. create a query based on FTI_TR_PERIODS to check results that would be extracted to BI using 0CFM_DELTA_POSITIONS.
    BR, Tomislav

  • The virtual Infocube in Cash Flow Statement

    Hi Experts,
    In Business Content the Sequence of Cash Flow Statement is below
    0FI_GL_6->0FIGL_O06->0FIGL_C01->0FIGL_VC1->0FIGL_VC1_Q0002 Cash Flow Statement (Cash Flow)
    I follow the flow and extract the transaction data from the datasource, finally I get the Cash Flow Statement report in BEx. but I still do'nt know why the system add the virtual Infocube 0FIGL_VC1 in the data flow.
    Could someone give me some hits.
    Edited by: nono.lee on Feb 24, 2011 10:57 AM

    hi ,
    Virtual Infocube 0FIGL_VC1 is used to  get the real time data that is not present in the infocube 0FIGL_C01 during the execution of queries .
    Data to infocube 0FIGL_C01  is loaded at regular intervals of time using the delta load .So the data is present in the cube upto a particular timeperiod .
    When the query is executed , it first fetches the records from the infocube  0FIGL_C01 , then it searches for the real time data in the virtual infocube - 0FIGL_VC1.  The virtual infocube - 0FIGL_VC1 does not contains persistent data in it , infact at runtime it executes the corresponding infopackages and searches for the new entries in the underlying table (new records that are created after the delta load to the infocube)  if any and fetches them for displaying  in the query output .
    So by using a virtual infocube you get realtime data in your query output .
    Hope this information would be helpful to you , to have an idea on the use of virtual infocubes .
    Regards ,
    Lokesh

  • Report for Cash flow (fund flow from Bank GL)

    Hi Expert,
    I would like to have your advice on how can I create this type of report?  Is it better using Fund Management?
    My client is asking on cash flow report in which the report should show all fund (cash at bank) movement.  Basically, the report should have 2 main category, which are Cash Inflow / Cash Outflow,for example:
    Cash Inflow
    - Payment received from customer
    - Interest received from FD at Bank
    - Other receipts
    - Government Subsidy Received
    - Government Grant
    Cash Outflow
    - Payment to vendor
    - Finance charge paid to bank (overdraft/loan, etc)
    - Operating Expenses
    - CAPEX
    - Other Payments
    For cash inflow, double entries involve to bank GL is as follows:
    DR Bank
    CR Item listed in cash inflow section, for example: payment received from customer (or CR csutomer), FD interest received (Revenue item of P/L), etc
    For cash outflow, double entries involve to bank GL is as follows:
    DR  Item listed in cash outflow section, for example: payment to vendor (or DR vendor), Payment to non-trade vendor (for asset purchase, etc), Interest paid (expense item of P/L), etc
    Questions:
    Since my debit or credit leg of my bank account, currently does not have any indicator that can explicitly indicator the nature of my inflow and outflow, how can I produce my report of cash flow show above?
    Note: It is extremely heavy for customized ABAP program to extract my bank entry and point back to the opposite leg to find the nature of my inflow/outflow as well.
    Kindly advise.
    Thanks in advance,
    sbmel

    Hi
    In ECC 6.0 EhP4 - A new feature has been added inorder to provide such a kind of cash flow report... You need to activate Business Function PSM_FA_CASH..
    Refer this link http://help.sap.com/erp2005_ehp_04/helpdata/EN/42/e34f2c31023ee1e10000000a1553f6/frameset.htm...
    ... Under Business Functions in SAP ERP > Enterprise Busn Func > Accounting > Public Sector management > PSM, Cash basis accounting & Cash flow reporting
    Once you activate it, you will find additional nodes of IMG under SPRO > Public Sector management.....
    This works the same way as Doc Splitting... technically speaking, this new feature is extended arm of Doc Spliting... In Doc Splitting, you assign item Categories to each GL Account.... Similarly, you will assign a "Revenue / Expense Account" to each GL Account.... This R/E Account can be any alpha numeric text.... This R/E account then gets added as a Doc Splittin Char and is populated in every FI Doc that you post
    I have tried this in a test client a year ago and was more or less satisified with it barring some exceptions....
    br, Ajay M

  • Cash Flow Statement - Opening and Closing balances!

    Dear Friends,
    I have created cash flow statement (Indirect Method) using T code FSI1 and FSI4 (Form)..........but i am not able
    Why wouldnu2019t Cash and Cash Equivalents at the End of the Year (Fiscal 2008) be EXACTLY equal to Cash and Cash Equivalents at the Beginning of Year (Fiscal 2009)...?
    How do we need to set up for Cash for Current year closing balances and Next year's opening balances....?
    Thanks,
    Elan N.

    Hi,
    I tested in ECC6.0 and i could able to do so, you try as mentioned below.
    In the output screen of MB5B, goto menu details > click on list > select save > select file > select spreadsheet. Here you can save tthe output in excel format.
    Regards,
    Prabu

  • A/R Down Payment Request and Cash Flow

    Hi All,
    is there a way to present down payment requests in standard cash flow reports?
    Thanks in advance,
    Vangelis Kanellopoulos

    Hi Vangelis Kanellopoulos,
    Down Payment Request is only a Request.  Therefore, it is not linked to cash flow yet.  If you want the figure to show in cash flow report, you have to make your own user query report.
    Thanks,
    Gordon

  • Cash flow forecast

    Can we make forecast cash flow on the basis of due dates of suppliers/vendors and as well as on the basis of open Purchase Orders/Sales Orders.

    Hi Monika
    I do not think so. What you see in that window is what you can select. You'll see that other financial reports have a drop down with what type of date....this one does not. What you see is what you get. But if you realy want it i suppose you can always make your own report.
    Hope this

  • A report to view the cash flow from Purchase Orders.

    Hi All,
    Could anyone suggest me a report to view the cash flow (financial obligations) which comes from Purchase Orders?
    Thanks
    Gandalf

    Hi,
    You will have to activate basic cash management (part of FSCM) and use TCode FF7B (liquidity forecast). What the report would do is, based on the delivery date of the purchase order and the payment terms of the vendor (plus some grace days for clearing the payment as per configuration) determine the date of expected payments and project the cash (and bank) balance by days/week or months.
    Alternatively you can write your own ABAP code which will do the same thing.
    a. Take a list of all open POs and determine the delivery date (EKKO and EKPO)
    b. Add the payment terms as per purchase order to the delivery date
    c. Compute the cost of the purchase order item
    d. Display the report which projects expected payments by date
    Rgds
    Shivram.

  • Unable to edit cash flow in Interest Rate Instrument

    Hi Experts,
    I am facing a strange issue while trying to change Cash Flow in Int. rate instrument.
    Scenario:
    I am trying to edit a flow in FTR_Edit and system is allowing me to change most of the flow. Please see below:
    But if try to change the very next flow on the same date i.e. 960.93 USD Edit Flow option is NOT coming at all.Please see below
    These flow has NOT been posted to accounting still.
    Any one has any ides/suggestion why system is behaving like this.
    Cheers !
    Adi

    Hi,
    basically changes in the cashflow are exceptional and for circumstances, where you have postings after the flow(s) you want to adjust and you cannot reverse these postings because of closed periods etc. This changes in the cashflow do not change the interest condition(s) itself.
    If you have more than 1 interest period and the interest rate of the future periods are not known yet, you should use a Reference Interest Rate (e.g. LIBOR) instead a fix one in the interest condition. Then you are able to use the fixing-functionality (TI10 or TJ05) to get the interest rates into the deal.
    Of course you can use fixed interest rate, too - in this case you need 1 interest-condition per period and have then to adjust the interest rate (which initially cannot be 0).
    Regards,
    Lorenz

  • How to change Due date in Cash flow (yet to post) lines in a contract.

    Hello All,
    I have a requirement where i want to change the due date of cash flow line items of a contract. I am able to do that in RECN transaction, by clicking on the date field and change the date. Here i am looking for a BAPI or function module using which i can update the date of cash flow items. Can anybody help me in doing this.
    Thanks,
    Bala.

    Hi Bala,
    we had a similar requirement during the initial implementation project.
    We have used BADI_RECD_CASHFLOW for this purpose. We have used both Methods - CHANGE_CASHFLOW_OBJ and CHANGE_CASHFLOW_PAY in such a way (for the last one):
      LOOP AT ct_pay ASSIGNING <ls_cashflow_pa>
                 WHERE ( cfstatus = 'P'              ) AND
                       ( origflowtype IS NOT INITIAL ) .
        IF <<condition>>.
          <ls_cashflow_pa>-dfaell = ....
        ENDIF.
      ENDLOOP.
    HTH,
    Siarhei

  • Order to cash flow(not able to see order number in release sales order)

    Working on order to cash flow.Following these steps
    Creating a requisition (Purchasing)
    Approve
    Creating internal orders(Purchasing)
    Import Orders(Order Management)
    I'm able to see the order number,in order returns,order organizer
    Shipping>Release sales order>release sales order
    Not able to see the order number here for Pick release

    Hello,
    Do you have grants and role to your inventory? if not check Re: Org Code grayed out and defaulted in Shipping Trx form
    Regards,
    Luko

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