Cash flow statement - change of chart of account

hai,
In cash flow statement, i have copied OASPRATIO 4 (direct method)  and i edit  general data selection in Financial statement version. in that  INT is available how can i change our chart of account in that place.
govind

hai,
i have used the T.code FSI5 from there our company name is available if i click there, the cash flow form is available without any value. In that  i click the sales revenue line item it is asking element definition: sales and revenue in that screen INT is available. how i want to change the chart of account. pls give the detail step by step.
govind.

Similar Messages

  • Cash Flow Statement (Indirect Method)

    Dear Experts,
    I am trying to prepare the cash flow statement.  Transaction figures during the period are tallying with the balance sheet, i.e., Net cash flow during the period.  But, not opening cash balance and closing cash balance.
    We went live in to SAP on 01.12.2010.  Our fiscal year is K4 (Jan-Dec).  How to upload the opening balances into cash flow statement? 
    Kind Regards,
    Siva

    Hi
    Can get the output in the reort by assigning your Chart of account and GL accounts pertaining to your COA. You have to click on the change Icon otherwise it will show as greyed out.
    1) Preparation of FSV is a good option but how will you address "Change in receivables" like that items in FSV?
    2) GL's can be linked to the report as told earlier.
    3) Still in the process of exploring.
    4) "Relevance to Cash flow" tick has no relavance with the cash flow report.
    5) Activation of Cash management has no relevance with cash flow report.
    6) There is no special configuration required for Cash flow.
    The only problem here is getting the output for items like change in inventory etc. If this could also be brought in this report, it would be a wonderful report.
    GL accounts can be mapped with this report. The problem you may be facing is due to the reason that you might not have clicked the change icon, that is why it is showing as greyed out.
    Cheers
    V.Krishnan

  • Doubt in Cash flow Statement Query

    Hi all,
        In FI module i am trying to create query 'Cash flow statement' using infocube 0figl_c01.
    For 'cash inflow' i restricted to debit postings for G/L account char. with two account number (200602 & 200611 as given by finance dept.) But the values are not matching as it extracts all the entries which come to that account for the posting period. But my requirement is to take only the entries related to document type 'DZ - Customer Payments' (for which there is no char. in the infocube or in the R3 Extractor).
    How to solve the issue. do i have to create a generic data source and change the infocube?
    Thanks,
    Prakash

    Hi Vachan,
    Thx for the reply.
    The entries in the InfoCube is correct. Is there any other method by which i can solve this problem. Because changing the datasource and InfoCube is tedious at this time.
    Regards,
    Prakash

  • Cash flow statement Query

    Hi,
    I had used the RSZC transaction to migrate query 0FIGL_VC1_Q0002 - Cash flow statement, based on 0FIGL_VC1 to a custom virtual cube which extracts data from a cube containing general ledger accounting (New) data. on execution of the query, no data is displayed.
    In a similar fashion the query 0FIGL_V10_Q0001, which is based on virtual cube 0FIGL_V10 was migrated to the same custom virtual cube and was found to be executing.
    has anyone faced similar issue with cash flow statement query?
    Regards,
    Sainath

    Look at the import parameters  - there is a hard coded and change it to Z version
    https://forums.sdn.sap.com/click.jspa?searchID=10104420&messageID=5012838
    Hope it Helps
    Chetan
    @CP..

  • 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

  • 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

  • How to create a Cash Flow Statement?

    Dear all:
    I am trying to create a Cash Flow Statement, and my approach is to use Dimension formula to calculate on the fly. Is my approach the best practice, or should I use script logic instead?
    Based on my understanding, if I use Dimension formula, I won't need to create new set Dim members to store the calculated values (such as Increase (Decrease) in A/R = A/R this month - A/R last month). However, I am having problem constructing the formula in FORMULAH1 column.
    Given above A/R example, I tried to use [NetAR] - ([NetAR],[Time].[PRIOR]) to get the difference in value between this month and last month, but I received error message saying that "The hierarchy '[PRIOR]' was not found in the cube when the string, [TIME].[PRIOR], was parsed". Is there anyway to retrieve Next or Prior months data in MDX?
    If my approach is not correct, please advise correct way.
    P.S. I have searched the forum and someone mentioned using Account Transformation logic. I looked up Administration Help file but didn't grasp the concept of Account Transformation logic. Can someone explain in detail for me?
    Thank you for your help!
    Brian

    Try not to use DIMENSION LOGIC, unless it is really simple.
    This is a set of ideas from the BPC 5 demo that I often use for Cash Flow Statements.  This may be modified for your use, but the idea is consistent. Just remember to prep the customer to understand that 1 time charges and 1 off changes to CF statements are more often added and managed manually since it they would always impact a CF report.
    Logic from version 5 BPC Demo- Finance App
    *INCLUDE SYSTEM_CONSTANTS.LGL
    *SYSLIB CONSOLIDATION_LIBRARY.LGL
    // MOVE INCOME STATEMENT ITEMS TO CASH FLOW STATEMENT
    RUNSUMMARIZE(ThisApp,CF_SUMM,%CATEGORY_SET%,%LC_RPT_CURR%)
    //CALCULATE BALANCE SHEET MOVEMENTS AND POST TO CASH FLOW STATEMENT
    *SELECT(%FROM_ACCOUNT%, "[ID]", "ACCOUNT", "[CF_TO_ACCT] <> ''")
    *XDIM_MEMBERSET ACCOUNT = %FROM_ACCOUNT%
    *XDIM_ADDMEMBERSET TIME = PRIOR
    *XDIM_MEMBERSET RPTCURRENCY=%LC_RPT_CURR%
    *WHEN TIME
          *IS %TIME_SET%
                *REC(ACCOUNT=ACCOUNT.CF_TO_ACCT)
          *IS PRIOR
                *REC(FACTOR=-1,ACCOUNT=ACCOUNT.CF_TO_ACCT,TIME=NEXT)
    *ENDWHEN
    *COMMIT
    Changes to above:
    Dependencies (libraries, properties, etc.)
    - SYSTEM_CONSTANTS.LGL
    - CONSOLIDATION_LIBRARY.LGL u2013 to run the Business Rules section
    - The following dimensions, members and properties are assumed
              Account
                   CF_TO_ACCT property which is on all base level accounts which are part of the cash flow statement. The value should be the cash flow account that they map to. The dimension values are the IDs so they are all assumed as names
                   CF_SUMM property used to move the income statement items to the cash flow statement. Contains the formulas on the destination cash flow accounts that map the Income statement accounts.
              Time u2013 just the dimension name
              RptCurrency
              CURRENCY_TYPE property with a value of  L or R
    What does it do?
    Step 1 - MOVE INCOME STATEMENT ITEMS TO CASH FLOW STATEMENT
    Use the formulas in the CF_SUMM accounts to move income statement values to the cash flow statement for all currencies based on the Currency_Type property
    Step 2 - CALCULATE BALANCE SHEET MOVEMENTS AND POST TO CASH FLOW STATEMENT
    ·        Select all accounts that have values in the CF_TO_ACCT property
    ·        Add the Prior time period to the time memberset
    ·        Run this process for all currencies based on the Currency_Type property
    ·        Take the value in the current period and the negative value of the prior period to calculate the periodic cash flow amount and write to the account designated in the CF_TO_ACCT property
    IMPORTANT NOTE: this step does have an issue that will be corrected in future versions of the sales demo. The issue is that if you run this logic for 2007.MAR, the negative balance for 2007.MAR will be written to 2007.APR as well as 2007.FEB being written to 2007.MAR. The logic needs to be changed as follows to work
    First create two members in the DataSrc dimension that both consolidate to PreAdj member of the DataSrc dimension named CF_Current and CF_Prior
    Add the following statement after the *XDIM_MEMBERSET RPTCURRENCY=%LC_RPT_CURR%
    *XDIM_MEMBERSET DATASRC=
    Change the REC statements as follows
    *REC(ACCOUNT=ACCOUNT.CF_TO_ACCT,DATASRC=u201CCF_Currentu201D)
    *REC(FACTOR=-1,ACCOUNT=ACCOUNT.CF_TO_ACCT,TIME=NEXT,DATASRC=u201CCF_Prioru201D)
    Hope this helps somewhat.  It is really hard to send this detailed stuff usingthe FORUM.
    Edited by: Petar Daniel on Dec 11, 2008 8:39 PM

  • Cash flow statement preparatiom

    Hi all
    any document that is related to Cash flow statement preparation
    pl send me v v v urgent
    ankita

    I hope you are looking for cash flow statement as per AS-3. i dont have document but i can tell you navigation path.
    Goto T Code fsi5
    form Type : 002
    0SAPRATIO-03 Cash flow (indirect) SAP 11.11.2000
    or
    0SAPRATIO-04 Cash flow (direct) SAP 11.11.2000
    double click on form which method you want.
    now goto edit in menu bar & general data selection>general data selection>give your chart of accounts.
    now define formula for line appearing withxxxxxxxxxxxx
    you will have to do some R&D as per your requirement but path is same.
    Regards,
    Manish Jain
    Assign points if my ans is helpful.

  • Cash Flow Statement - Average Delay Field Effects

    Hi Everyone,
    Can somebody please explain exactly how the average delay on the business partner record affects the cash flow statement?
    I ran a cash flow statement for 7/01/2008 thru 7/31/2008.  I then found an invoice that was to be paid the week of 7/28/2008 (it hasn't been paid yet), and opened up the corresponding business partner record and changed the average delay from 0 to 10.  I then re-ran the aging and nothing has changed.  The invoice still appears in teh 7/28/2008 week to be paid.  Am I missing a step or something?  If I understand correctly, the invoice should have moved into the next week on the cash flow statement as this is when the customer will be paying it according to past payment schedules.
    Thank you for your help.
    Amanda

    Hi Amanda
    I just tested on 2007A PL37 and it worked fine. Moved to week based on due date + average delay. Are you sure you ticked the "Consider Delays in Payment" box? Also check again if the master record was updated with the average delay value you gave it. Let me know what version of SAP Business One you are running.
    Kind regards
    Peter Juby

  • Cash flow statement implementation - how did you do it? GL or other modules

    I would like to see the various ways you have successfully implemented a cash flow statement in the past.
    1) So far, the only one I did involved ABAP reporting using logic to group gl accounts and filtering transactions etc.
    2) Also, I've vaguely read that standard SAP's GL Lcash flow statement involves configuring a FSV which involves proper gl account structure to differentiate non-cash and cash related gl accounts.
    3) I've heard some projects used document types or document text fields or new fields to differentiate line items (cash or non-cash)
    Let's hear how you've done it with details if possible. Thanks.

    Hi
    Yes it involves GL Accounts Cash flow with configuring a FSV in SAP according to business requirement direct or indirect method.
    Rgds
    vani

  • 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.

  • 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

  • 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 Statement as per AS3

    I need to prepare Cash Flow Statement as per AS 3 i.e  Cash flows from Operating Activities, from Investing Activities and Financial Activities ,
    Kindly Advice how to do this?
    Thanks & Regards,
    Shekhar

    Hi ..
    I do agree will Mr ( Fit for Many Things )  that using Report Painter .. you can do it..
    But , the problem is that posting discipline is very much required in such cases . GL for cash and non-cash expenses must be segregated and incase some incorrect entry are there .. its very hard to validate ..
    For any incoorect entry in GL account .. report painter will show incorrect values..
    If we use ABAP or BW reports .. such validation checks can be made .. to ensure that cash flow statement is always correct.
    Regards
    Sarada

Maybe you are looking for

  • Won't turn on past the startup sound

    Hello, I'm a student studying abroad right now in Senegal, part of Sub-saharan Africa (which might help for later on). My iBook won't turn on past the startup apple noise (the daaaaauummm). When I press the power button it makes that noise, along wit

  • Chosing 4:3 vs 16:9

    If you play it on a plasma 42", which is the best option? Do you have better resolution at the 16:9? Thanks

  • Ipad and soundwall problem.

    I have a new Ipad and I hooked it up to my old ipod soundwall, and it works nicely sometimes, but sometimes the soundwall turns off for no reason. Any ideas as to why and how to fix it?

  • Can shuffle songs or random play be used with a playlist?

    After a playlist is on the ipod, can you play the songs in the playlist randomly or in shuffle mode? Haven't been able to find any info on this.

  • SCCM Duplicate Entry workaround to delete

    I have this scenario: Some client computers need to be relocated to new users.  Some of the computers are using bitlocker and the recovery key is stored with the computer account in AD. For some of the computers the data needs to be stored so the har