Cash flow s_alr_87012271

Hi friends
i have configured the cashflow and forcasting as per the standerd
1 source symbols
2 planning levels
3 Planning groups
4 assigning internal code
5 cash management group
6 cash management grouping structure
7 activating cash management in global parameters
and i have assigned planning levels to the respective accounts
but iam not able to generate the standerd cash flow (Direct method) (Indirect methods)
can any one help me on these do i have to activate any thing else and need to do any further configurations.

Hi,
The report you are talking about is Cash Flow Statement and the customisation steps that you have mentioned are related to cash management. Both are different.
For Cash Flow statement, you have to develop a new report in the report painter and it is based on the GL balances.
Steps:
Create Form in FSI4
Create report in FSI1 with reference to the form created.
You would have to develop the same based on the format and the criteria provided by the client. A thorough understanding of the GL accounts is desired to develop logic of fetching the relevant figures in the said report.
Cash Management is related to Cash Position, Liquidity Forecast, Cash Concentration.
Assign pts if useful

Similar Messages

  • Cash flow direct method report is generating by using report painter

    Dear all
    i am preparing cash flow statement direct method report by using  standard t.code s_alr_87012271
    in this report i am maintain values by using T.code FSI5 in report painter form name 0SAPRATIO-04
    there i am maintain GL accounts codes which cells are not having formula
    for example second  row item Increase in down payments received it contain the formula Z004-z003
    and third row character Increase in receivbls frm gds & services it contain the formula z007-z006
    where can i maintain formula components and how to create and  link the GL Accounts.
    please guide me.
    Thanking you
    Kranthi

    Hi Victor,
            Cash Flow S_ALR_87012271 is the std cash flow where you have to assign gl. After excuting report. Click on form and assign gl to FORM :-  0SAPRATIO-04 Cash flow (direct).
       But it's std format so you will not get the report of cash flow which will show the total inflows and outflows in the bank account as per comapny scenario. For this   u have to take ABAP person help to create cash as per comapny requirement.
    Nikhil

  • Cash Flow Report S_ALR_87012271

    Dear SAP Gurus,
    I am trying to get cash flow reports thru S_ALR_87012271. For this, i have copied the form 0SAPRATIO-04 and created a Zform in tcode FSI6. But i not able to fetch data in the above report. Pls help and advise the future course of action. Need i do changes at the characteristics, sets and variables level??
    regards!!

    Hello,
    Create a form using FSI4 - Refer standard forms available in FSI5 and FSI6.
    Create a report by using FSI1 (assign the form that you have created FSI4) - Refer standard reports available in FSI2 and FSI3.
    Please make sure that you have completed your Financial Statement Version in all respects, before designing your cash flow statement.
    Regards,
    Ravi

  • How to Ececute Cash Flow Tcode:S_ALR_87012271/72/73

    Dear all,
    here i am using ECC 6.0 in india.let me know how to use cash flow tcodeS_alr_87012270/71.when i am going to execute these tcode system give me massage:No records were selected.
    Thanks & Regards,
    Jayant Kumar

    Hi
    Follow the Note given by SAP at the time of executing the above TCodes in Version 6.0
    USE new GL Reports instead of old GL reports and the path is
    SAP Easy Access - Accounting - Financial Accounting - General Ledger - Information System - GL Reports (NEW)
    Srinivas

  • Cash Flow Statement Table.

    Dear All,
    I want an information regarding Cash Flow Statement , that where i can get the well prepared cash flow
    statement with monetary information. I have already went through and explored the following options ,
    But I am getting empty reports without monetary data.
    My basic requirement is that is there any Table & Field from where I can get the cash flow statement's all monetary data.
    The Options I have explored & went through :-
    1) S_ALR_87012271 - Cash Flow (Direct Method)
    2) S_ALR_87012272 - Cash Flow (Indirect Method) Variant 1
    3) S_ALR_87012273 - Cash Flow (Indirect Method) Variant 2
    Path : Easy Access>Information Systems>Accounting>Financial Accounting>General Ledger>Information System (New)>Financial Statement / Cash Flow--> General --> Cash Flow.
    Regards,
    Pankaj.

    Dear Pankaj,
    What is the solution u got for this cash flow statement table. can u send the solution.
    Raj.

  • Cash Flow as per as per Indian GAAP

    Hi,
    I need to get a report of Cash Flow as per Indian GAAP in the system.Please suggest me where i can check this. Is there any standard report available for this?or is it possible to define in the system through Report painter fucntionality?
    Please advise
    BR,
    Yadayya
    Edited by: Dogdays on Aug 23, 2011 5:15 AM

    Hi Danayya...!
    Try with this report  - Cash Flow (Direct Method) S_ALR_87012271
    If you want to use Report painter kindly execute the report there you can find out the layout which is already available in ASAP. From there we can copy or wrt to we can create new Layout for cash flow.
    Procedure:
    Execute report with suitable data in the out put screen you can able to seen the Form display button.
    Choose form button
    002 Financial Statement  Key Figures and
    select " 0CZ-CASHF-02  Cash Flow:Cz.Rep NEW
    I think above report will helpful to you as per Indian GAAP.
    Rds,
    @nil

  • Cash flow statment message

    This is the message i am getting when i run the cash flow          
       No records were selected
    Table                          Financial Statement Key Figures
    Report name                    0SAPRATIO-03
    Report long text               Cash Flow (Indirect Method) Variant 1
    Form                           0SAPRATIO-03 Cash Flow (Indirect)
    Report type                    Form report
       General information
    Author                         SAP
    Created on                     22.01.1996
    Last changed by                SAP
    Last changed on                03.12.2001
    Last changed at                09:31:42
    Last displayed on              18.05.2007
    Number of times displayed      21
    Basic list                     Detail list
       Additional selection conditions
    Company Code                   1000
    Currency Type                  10 Company code currenc
    Bal.sheet type                 1 Standard financial s
       General data selections
    Plan./act. ind.                0    Actual
    Fin.Stmt Vers.                 ZCash Financial Statement
       Variable
    Fiscal year
    Fiscal year                    2007 2007
    Selected characteristics ( Online sort order )
    /L Account                    *
    usiness Area                  *
    ompany Code                   *
    eriod                         *
    Columns selected for drilldown list
    iscal Yr ;2007
    iscal Yr ;2006
    Rows selected for drilldown list
    ales Revenue
    ther operating inc.
    aterial expenses
    ersonnel Expenses
    epreciation
    th.operat.expenses
    perating profits
    inancial profit
    xtraordinary Income
    xtraordin.expenses
    axes (w/o inc.tax)
    et income (year)
    epreciation
    Decreases in value
    - Gns f.retr.sp.itms
    Increases in value
    Incr.in pens.provsn
    Incr.in taxatn prov.
    Incr.in oth.provisns
    Increase in prov.
    + Increase in stocks
    + Oth.cap.gds/srvcs
    Proc-rel.adj.items
    + Extraordin.expnses
    + Extraordin.income
    Further P+L items
    + Increase in AE/DI
    + Incr.in pybls G&S
    Incr.down pmnts rec.
    Trs.inc.PM,not incme
    Incr.recvbls frm G&S
    + Incr.dwn pmts made
    + Inc.prpd/defr.itms
    Trs.dec.PM,not incme
    = Cash Flow
      Particular sort orders
    G/L Account                    G/L Account Long name Ascending
    Company Code                   Company Code        e Ascending Long name Ascending

    Its Standard SAP report
    Whne i run the transactions S_ALR_87012271, S_ALR_87012272, S_ALR_87012273
    I am getting the message that NO RECRDS ARE SELECTED.

  • Cash flow report at buisness area  wise

    Dear all ,
    Can any one tell me  what is process of  creat a cash flow  report  with report painter step by step,
    Basically standard cash flow report  s_alr_87012271/72/73 is not working .so tried to creta report           painter through , so how to do this ...?
    Regards
    Milind

    Hello,
    Create a form using FSI4 - Refer standard forms available in FSI5 and FSI6.
    Create a report by using FSI1 (assign the form that you have created FSI4) - Refer standard reports available in FSI2 and FSI3.
    Please make sure that you have completed your Financial Statement Version in all respects, before designing your cash flow statement. OB58.
    Cash Flow Statement (Indirect Method) Variant 1 and Variant 2, please note that these reports are coming from the form 0SAPRATIO-03 Cash flow (indirect) (Refer T code FSI5) and Reports 0SAPRATIO-03 Cash flow (indirect method) variant 1 (Refer Tcode FSI2) & 0SAPRATIO-01 Cash flow (indirect method) variant 2 (Refer T code FSI2)
    0SAPRATIO-04 Cash flow (direct) Form
    0SAPRATIO-04 Cash flow (direct method)
    You should know what format you would like to see in the cash flow statement.
    You should use the FS items accordingly copy the standard forms and changed according to your format.
    You should be conversant enough to do basic report painter.
    Pelase let me know if you need further help.
    Regards,
    Ravi

  • Cash flow report in FI  ***very very urgent***

    Techie's,
    Please help me, getting a ABAP report for "cash flow" for funds in FI.
    Its quite urgent.
    Please revert as soon as possible !!
    Regards,
    -=Virendra=-

    Hi,
    Run S_ALR_87012271 (menu path A/C-FA-GL-Info System- GL Reports - BS/PL/Cashflow-general-cash flow)
    In the screen enter the year & Company code, & execute. you will reach to another screen.
    Click on the "FORM" & you will reach another screen having various forms. The form related to Cash flow is already highlighted.
    Go to EDIT-General Data Selection - Change the financial statment version pertaining to your company
    Then, click on each line item in the form which is being displayed and enter corresponding GLs.
    Save it & execute S_ALR_87012271
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    11. F111SINT Payment Request Payment Run: Structures and Internal Tables
    12. F111SMAC Macro Definitions for the PR Payment Run
    13. F111STOP Data Pool of Payment Run for Payment Requests
    14. F111TYPE Types for Payment Request Payment Run
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    19. H02PLOG0 Subroutine Pool for International Payroll Log
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    21. H02PLOGERR HR-CH: Error log: Payroll Switzerland
    22. H03PLOG0 Subroutines Pool for Payroll Log Austria
    23. H04PLOG0 Subroutines Payroll Log Spain
    24. H06PLOG0 Subroutine Pool for Payroll Log (France)
    25. H07PLOG0 Subroutine-Pool for Payroll Log Canada
    26. H07PLOG1 Include H07PLOG1: Macro of Payroll Log Error Messages
    27. H07PLOGA Include H07PLOGA: Payroll log functions for Absence Processing
    28. H07PLOGD Include H07PLOGD: Payroll log functions for function ADDCU
    29. H07PLOGE Include H07PLOGE: Payroll log for tax calculation and vacation pay
    30. H07PLOGM Include H07PLOGM: Payroll log functions for - messages
    31. H07PLOGS Include H07PLOGS: Payroll log functions for tax calculation
    32. H08PLOG0 Subroutines Payroll Log Great Britain
    33. H08PLOG0PBS Subroutines Payroll Log Great Britain Public Sector (HR PS GB)
    34. H10PLOGC Include H10PLOGC - Constants for US Payroll Log Message Passing
    35. H10PLOGO Include H07PLOGD: Payroll log functions for function ADDCU
    36. H10PLOGP Payroll log messages for general payroll
    37. H13PLOG0 Subroutine Pool for Payroll Log Australia
    38. H14PLOG2 Include for SOCSO - Payroll Log
    39. H14PLOG3 Include for STD TAX - Payroll Log
    40. H14PLOG4 Include for Zakat - Payroll log
    41. H16PLOG0 Payroll Log Subroutines for South Africa
    42. H20PLOGA Payroll log subroutines for absence handling
    43. H20PLOGE Payroll log for missing data (tables, infotypes, etc.)
    44. H20PLOGG Payroll log for deductions
    45. H20PLOGH Payroll log subroutines for hol. allowance and garnishment
    46. H20PLOGS Payroll log for Norwegian specific tables (SCRT, RETT, RETP, ...)
    47. H20PLOGT Payroll log subroutines for tax and employers contributions
    48. H23PLOG0 Subroutinepool for Payroll Log (SE)
    49. H23PLOG_CAR Payroll Log Subroutines for company car
    50. H25PLOG1 Include for new Payroll log (Infotypes - Singapore)
    51. H25PLOG3 Include for new Payroll log (Tables- Singapore)
    52. H26PLOG0 Subroutine pool for Payroll Log - TH
    53. H26PLOG4 Error Routines - Payroll Log
    54. H27PLOG1 HR-HK: Payroll log data definitions
    55. H27PLOG6 HR-HK: Payroll log common forms
    56. H37PLOG21 Payroll log - Retrocalculation (old BRRET and labor debits)
    57. H42PLOG6 Include for Payroll LOG Taiwan
    58. H43PLOG0 Subroutine Pool for Payroll Log New Zealand
    59. H99CMLI0 Cash Breakdown for Cash Payment Based on Payment Method
    60. H99PLOG0 Subroutine Pool for International Payroll Log
    61. H99PLOG6 Subroutine Pool for International Payroll Log
    62. H99PLOGPF Subroutine Pool for Pension Fund Payroll Log
    63. H99PLOGS Subroutine Pool for Payroll Log for Special Payments
    64. H99PLOGT Subroutine Pool for International Payroll Log, Gross Part
    65. H99PLOGY Subroutine pool for Benefits Payroll Log: International
    66. H99UGSP0 Splits in Payroll
    67. H99U_CONVERSION_CA Converting Cluster CA for Archived Payroll Results
    68. H99U_PYINFTY_CC_XPRA Payroll IT: Main XPRA report for country grouping conversion in 4.
    69. H99_DISPLAY_PAYRESULT_OLD Display Payroll Results
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    29. HHKCLJN0 Payroll Journal - Hong Kong
    30. HHKCLST1 Payroll Results for Cluster HZ - Hongkong Payroll Projection
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    36. HIDCANN0 Payroll Annual Display
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    39. HIDCLJN0 Payroll Journal
    40. HIDCLSTR Display Payroll Results (Cluster IS) Indonesia
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    43. HIECDTB0 Preliminary DME Program for Separate Payment Run
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    46. HIECLJN0 Payroll journal for Ireland
    47. HIECLSTR Display cluster IE (Payroll results Ireland)
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    53. HINCLJN0 Payroll Journal - India
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    65. HMXCLJN0 Payroll journal
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    67. HMXUACTPBSF2 Subroutines for Change in Pay
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    69. HNZCDTA0 Preliminary Program - Data Medium Exchange for Several Payment Run
    70. HNZCEDT0 Editing Payroll Results (New Zealand Version)
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    79. HPHCALC0 Payroll Driver - Philippines
    80. HPHCAWS0 13th Month Pay
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    82. HPHCLJN0 Payroll Journal - Philippines
    83. HPHCLSTR Display Payroll Results (Cluster PH) - Philippines
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    87. HPHUCLR0 Payroll Results (PH) - Original and differences from retro periods
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    90. HTHCKTO0 Payroll Accounts Thailand
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    92. HTHCLSTR Payroll Results for Cluster TH
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    94. HTWCDTA0 Preliminary Program - Data Medium Exchange for Several Payment Ru
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    104. IBKKARCH_FIBA_ITEM Data Declarations for Archiving Payment Items
    105. IBKKARCH_FIBA_ORDER Data Declarations for Archiving Payment Orders
    106. IBKKCOGPAYMNOTE Public Constants of Payment Notes
    107. IBKKCONPAYMNOTE Internal Constants of Payment Notes
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    110. J_1AF011 Payment Notice (AR)
    111. J_1AF012 Payment Notice (AP)
    112. J_1AINFK Inflation Adjustment of Open Payables in Local Currency
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    121. LACC3U03 Check BAPI: Account, incoming invoice (Load Payable)
    122. LACCSU02 Derivation of Payment Flow from SD Document (Quotation, Order)
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    125. LHRFPBS4U02 Derive Amount from Pay Scale group, Pay Scale level
    126. LHRFPBS4U05 Read Pay Scale, Pay Area, Pay Groups from Corps or Corps and Grade
    127. RHPAYSC0 Display Pay Scale Structure
    128. RPIPSR00 Pay Scale Reclassification
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    130. RPITIG00 Pay Scale Reclassification
    131. RPITIGVP Pay Scale Reclassification
    132. RPITUM00 Pay Scale Reclassification acc. to Age or Pay Scale Membership Per
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    148. RPUSCC00 Compare Schemas
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    168. RPUSCCJ1 Check Program for Schemas (Japan)
    169. RPUSCCK0 RPUSCCK0

  • Cash flow code

    Hi,
    My client wants to enter the cash flow code on business transaction entry level like Business area and cost centers. He wants the complete cash flow statement for the same (Not a Legal Cash flow statement S_ALR_87012271 - Cash Flow (Direct Method))
    How can i get this cash flow code??? and what will be pre requisites for the same???
    Thanks in advance,
    Shobha.

    Hello,
    If you want to include them make sure entries in OBC4 and OB41 (field status of the fields).
    You can design your own cash flow as follows:
    You need to create a form by using FSI4. You must be conversant with the basic report painter designing. Before doing this make sure your FSV must have been configured. All the items must have been taken into consideration. There is no need to create a separate FSV. Refer if you are not sure how to create FSI5 and FSI6. You will have some standard forms.
    Assign this form to report in FSI1. For standard forms refer FSI2 and FSI3.
    Please let me know if you need further help.
    Regards,
    Ravi

  • Cash flow statement SBU wise.

    Dear Friends,
    My client want cash flow statement SBU (plant) wise.
    We have defined one profit center as one SBU.
    We are able to get the balancesheet SBU wise through new gl report.
    But I don't understand how should i get the cash flow statement SBU wise.
    Please help me.
    Full points will be assigned to each of you.
    Thanks & Regards,
    Reva.

    Hi
    Try using TCode - S_ALR_87012271 for cash flow statement.

  • Cash flow statements

    gurus,
    how to take cash flow statements for current and previous years with all schedules including supporting the all line items,request you to explain the process involved
    regards,
    rajen

    Please see the following reports:
    S_ALR_87012271
    S_ALR_87012272
    S_ALR_87012273
    Regards

  • Cash Flow Statement problem

    hi,
    during executing cash flow statement in s_alr_87012271
    i am getting ABAP dump. even when i run Indirect Method i get an error i have even tried running it on standard Company codes but the error still persists.. .. Does any one have any suggestions....

    Dear Srinivas Muthyala,
    i cant seem to find the attachments
    when i select RFC function module and enter the text file name and click on Upload another screen is opened and when i click on execute on that screen then it asks me to give the file name to be uploaded.. but arent we downloading;...
    dont understand the solution  Please elaborate
    Thanks
    JDUGGAL

  • Cash flow statement s

    during executing cash flow statement in s_alr_87012271
    am getting this error
    On account of a branch in the program
    (CALL FUNCTION/DIALOG, external PERFORM, SUBMIT)
    or a transaction call, another ABAP/4 program
    is to be loaded, namely "GP49SNFFUFI1SPKG9SLN2QU13W0".
    However, program "GP49SNFFUFI1SPKG9SLN2QU13W0" does not exist in the library.
    Possible reasons:
    a) Wrong program name specified in an external PERFORM or
       SUBMIT or, when defining a new transaction, a new
       dialog module or a new function module.
    b) Transport error
    help me out in this

    Hi
    You execute T code S_ALR_87012271
    it will show you no records were selected
    Click on the forms
    edit ==> general data selection ==> general data selection
    you can see there which FS is used.
    Then click on each item to make changes
    it pulls data from the form defined
    regs
    sunoj

  • SAP Cash Flow statement - Direct Method

    Dear Experts
    We are working on Cash flow statement - Direct method. We observed there is report for cash flow direct method i.e T.Code S_ALR_87012271. In this report we have  changed the form as per the client cash flow format and assign the FSV to this form.
    We done all the steps and executed the report .  But we observed the values which we are getting in this report are "Accured based values" (Cumulative balances  of  that GL Account).  
    But as per our business requirement the values should be triggered in this report based on  payment made and collection received during the period in the respective category as per the Cash flow format.
    Ex: In cash flow statement Under Revenue head (Revenue GL Accounts  are assigned) we need  to capture actual revenue received for that particular period. But we are getting Cumulative balances  of  that GL Account.  
    Please suggest how we can get the values as per the payment and receipts basis for a particular peirod.
    Thanks in advance
    Rao V

    Hi Waza
    Thanks for the quick support,
    I have already done the same process as you suggested, but my question is I want the values in this report (cash flow direct method) based on the "payment made and collection received during the period".
    But as of now I am getting the Cumulative balances of  relevant GL Accounts. It meanse the values should be based on cash receipts and payments made. In this report I am getting overall values (not Pyament/Revenue reciept wise).
    Please suggest how we can achieve this ?.
    Thanks once agian
    Rao M

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