Cash flow similar report

Hi,
any report wich will show opening balance , item balance and closing balance together , like
Opening balance      xxxx
Add
vendor balance        xxxx
customer balance    xxxx
GL balance             xxxx
Closing balance      xxxx
Regards
Sanj
Edited by: Sanj S L on Feb 8, 2012 1:39 PM

There is no standard report as you are looking, but u can do that by your self in Report painter or with help of ABAPer.
rgrds,
YJ

Similar Messages

  • Cash flow statement report..

    How is the consolidated cash flow statements are generated. What are the specific movement types configured for this. Is all MT created and data collected from ECC with MT or it is part of BCS data collection only...
    Do we have to create specific group account or group account created for the normal consolidation function will help.
    Appreciate your inputs on this..

    Hi Dan,
    Can you please clarify the following :
    For indirect method, I typically creat item hierarchy to facilitate cash flow reporting.
    Question:  What does this mean..a hierarchy to reflect the cash flow grouping?
    For movement types most may originate in ECC as long as the Field Status Group allows this or requires this. These are usually used for assets and the corresponding accumulated depreciation, as well as equity, debt, certain reserves such as allowances for bad debt, etc.
    Question: Besides the assets , the MT will be required for all accounts for report purpose in BCS.  How to handle this alone in BCS, if ECC is not going to support the MT for anything other than asset account

  • Cash Flow summary report

    Hi All,
    The user was trying to run the following report.
    Report: ZKIOR095
    Description
    This report is a variant of the cash flow report for use by the
    ngineering department. The report is unique because it mixes both actuals and budget on a given line reporting on each IO.
    The report lists on line per IO. Each line list a cash flow figure for each month. The monthly cash flow figure is either actuals or budget based on the crossover period number entered on the selection screen.
    If the month is less than or equal to the crossover period, actuals will be display. If the month is greater than crossover period, budget amounts will be displayed. Excess and unused budget amounts are carried over to the next month and only December allows a negative budget amount to be displayed.
    Thanks,
    Shravya

    Hi,
    You can do this in the function group's TOP include for the keyword FUNCTION-POOL.
    You need to go to the function module's function group and then in the top-include(Include with TOP in the name) you can do this.
    FUNCTION-POOL zfunction_group MESSAGE-ID zms_cl.
    Regards,
    Sesh

  • FSI3 Cannot Run Cash Flow & KPI Report

    1. Cash Flow Generation
    Copied standard Cash Flow Report - OSAPRATIO-04 to CASH FLOW
    In CASH FLOW cannot change the Financial Statement Version (FSV) which comes as INT from OSAPRATIO-04
    Appreciate help mentioning the step by step guideline to achieve Cash Flow Report Generation in FSI3/FSI1
    2. Also require to generate Key Performance Indicator (KPI) Report from FSI3
        1. KPI Standard Report (SAP) for Indian company
        2. Steps for changing of FSV
        3. Making modification to the standard Report after copying
    Regards

    Hi Nagarajan,
    Thanks for your reply
    I know that there no problem with DB but I wonder where the incorrect amount come from. Moreover, this problem affect to my cash flow report. My cash flow report was uneven at this amout
    Thanks

  • Cash Flow (Direct Method ) Report ( T-Code S_ALR_870_12271 ) not Working

    Hi All,
             I am trying to run Cash Flow (Direct Method ) Report with T-Code S_ALR_870_12271 but it's showing Output  as following .
         No records were selected          
         Table     Financial Statement Key Figures
         Report name     0SAPRATIO-04
         Report long text     Cash Flow (Direct Method)
         Form     0SAPRATIO-04 Cash Flow (Direct)
         Report type     Form report
               General information          
         A     uthor          SAP
         Created on     06.02.1996
         Last changed by     ABAP1
         Last changed on     25.03.2009
         Last changed at     17:42:09
         Last displayed on     25.03.2009
         Number of times displayed     18
         Basic list     Detail list
               Additional selection conditions     
         C     ompany Code     101     0 HGSL INDIA
         Currency Type     10 Company code currenc
         G/L Account     60000000
         G/L Account     60000000
         Bal.sheet type     1 Standard financial s
               General data selections          
         P     lan./act. ind.          0    Actual
         Fin.Stmt Vers.     INT  Financial Statement
               Variable          
         F     iscal year          
         Fiscal year     2008 2008
               Selected characteristics ( Online sort order )     
         G     /L Account     *     
         Business Area     *
         Company Code     *
         Period     *
               Columns selected for drilldown list     
         F     iscal Yr ;2008          
         Fiscal Yr ;2007     
               Rows selected for drilldown list     
         +      Sales revenues          
         + Incr.dwn pmts rec.     
         - Incr.recvbls f.G&S     
         Sales collections     
         + Material costs     
         - Incr.in pybls G&S     
         + Incr.dwn pmts made     
         Material disbursmnts     
         + Personnel costs     
         - Incr.in pens.prov.     
         Personnel disbursmts     
         + Oth.int./sim.incme     
         - Interest expenses     
         - Increase in discnt     
         + Inc.fr.investments     
         + Due to prof.trans.     
         + Inc.f.oth.securits     
         Financial collectns     
         + Other operat.inc.     
         - Gns f.retr.sp.itms     
         + Increase in AE/DI     
         Oth.operat.collectns     
         + Oth.operat.expnses     
         - Optional add.items     
         - All.sp.itms w.res.     
         - Incr.in oth.provs     
         + Inc.prpd/defr.itms     
         Oth.operat.disbrsmts     
         + other taxes     
         - Incr.in tax.prov.     
         Income tax     
         = Cash flow (total)     
               Particular sort orders          
         G     /L Account          G/L Account Long name Ascending
         Company Code     Company Code        e Ascending Long name Ascending
    Plese Help me out ...
    Thanks
      Amit

    Hello Ajay
    It happens due to different settings mostly in FORM e.g. FSV set in the form would be INT where as you have your own FSV.  Similarly you need to check each and every item and change suitably.
    Run the report via above tcode again, then a screen will appear saying u201CNo records were selectedu201D
    In this screen you can see the FSV used in General Data Selection (4th box) which you need to change by pushing u201CFORMu201D push button on the extreme left side, > Go to edit menu>Gen data selection > make changes suitably.
    However do not make changes to the standard report / form, so copy the standard report with your own naming and make the changes where ever required.
    Hope it works!
    Ambadas

  • SAP Reporting on Cash flow statement

    Hi all,
    in SAP, how can we configure / set up Cash flow statement report, especially for China?  How?
    Thanks in advance.

    Hi Suma,
    No, you dont need to have cash management active in your system to get cash flow and funds flow statements.
    Cash flow report defenition / design would depends on company to company.
    Please go thru the below link to understand basic concept.
    [Cash Flow Statement Example|https://www.zionsbank.com/pdfs/biz_resources_book-4.pdf]
    Hope you must be fully aware of the above concept.
    You can design your own cash flow statement using the financial statement items of your balance sheet in report painter/writer itself.
    But you may need to fully acquainted with the report painter tool first.
    Regardz,
    Srinu

  • How To Assign FSV to Cash Flow Report/Form

    I am working on Standard cash flow statement report - S_ALR_87012273/S_ALR_87012272 (can someone also tell me the difference between the two reports). can you please tell me what needs to be configured in order for this report to run and display data. I believe I need to change assign the FSV to Cash Flow form in Report Painter. AmI right, if this is the case where do I assign it. Because the cash flow report that I ran has FSV "INT" not the one which is configured.
    Please reply as soon as possible
    thanx

    Already replied. Try it and revert back
    Cheers
    V.Krishnan

  • Report Pinter : need library for cash flow

    Hi Friends,
    i have a requirement to change the cash flow using report painter. i'm finding dificulty in which library do i have to use for this requ.
    please suggest me .
    ans also please provide imp. links where i can uderstand and learn more.
    thanks!!!
    kat

    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 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 satatement

    HI Guru's,
    In cash flow statement report my client requirement is Closing Balances of one month would be Opening balances for the next month.
    Ex : Jan closing cumulative balance should shown in Feb opening balances.
    We build a cash flow report with report painter everything is fine but user requirement is that Cash and Bank balances should show closing Balance of previous month,reciepts and payments are current month then we can acheieve closing balance of current month.
    EX: Execution of Report Date is March
    Opening Balance Cash and Bank  (28/02/11)       10000 usd
    Reciepts  31/03/11                                                  2000   
    Payments  31/03/11                                                 3000- 
    Closing cash and Bank balance31/03/2011          5000usd                                                                               
    Thanks in Advance..................

    Hi
    Maybe you already found out - but the module you need to use to perform the cash flow analysis, is the liquidity planner modules. These consist of the Liquidity calculation module in the FSCM area for extracting the real cash flows based on bank accounts and then re assigning the amounts to the needed cash flow structure - and for nice and flexible reporting you need SAP BW.
    BR
    Lone Kejser

  • Cash flow statement...shows zero

    Dear all,
    When i run cash flow statement report, it shows zero only. I have enabled cash flow in the GL account. What else did i miss in the configuration?
    Here attached the screen thanks.
    http://home.netvigator.com/~raylamhk/snap1.jpg

    Hi,
    It looks that there is something going wrong in designing your Cash flow Statement.
    You need to create a FORM in FSI4 and assign the same to report in FSI1.
    You can see some of the standard cash flow forms in FSI5 or FSI6.
    In your element definition, you need to pick the FS Item from Available characteristics to Selected Characteristics. FS Item is nothing but the node in your Financial Statement Version (FSV). You can see the FSV that has been created for your Chart of Accounts (COA) in OB58.
    You should have a proper format for the Cash Flow Reporting for example:
    1) Sales Revenues
    Minus
    2) Material Disbursements
    Minus
    3) Personnel Disbursements
    Minus
    4) Financial Charges
    Plus
    5) Other Incomes
    Minus
    6) Other operating disbursements
    Minus
    7) Taxes from Incomes
    =
    CASH FLOW
    Like this you design your Cash Flow reporting then you start adding / substracting the nodes. Before, starting this activity, I would recommend that you go through your FSV and make sure that it is complete in all respects.
    Regards,
    Ravi

  • 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

  • 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.

  • Cash Flow report in Report Painter

    Hi,
    I am trying to make a cash flow report in Report Painter.
    Can any one help me with steps or config material so that i can prepare and tally the cash flow report being generated in Report Painter.
    Also there are report line items where by the figures are getting populated but are not tallying with the GL balance, if seen individually by going to GL line item display
    Thanking You,
    Parin

    HI
    GOOD
    I NEVER WORK ON THIS BUT HERE I AM GIVING SOME LINKS , I HOPE YOU WILL GET SOME IDEA FOR YOUR PROBLEM.
    http://www.asug.com/client_files/Calendar/Upload/BPS%20presentation%20to%20Indiana%20ASUG%202-10-06.ppt
    http://sap.ittoolbox.com/groups/technical-functional/SAP-R3-ACCT/cash-flow-report-642778
    THANKS
    MRUTYUN

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