Cash Flows Required

Hi Gurus,
Please tell me how can we get cash flow information from system. Is it possible in SAP or not???
In MM, Cash flow required on the basis of Purchase Order. Vendor wise, Project wise required as well.
Please tell me how should i go about it and what need to configure for this??
Please revert asap.
Thank You

Hi......
to get the information for cash flow cash flow management is the only solution. Goto sap help you will find sufficient material there.
Regards
Manish Jain
Pls assign points if your problem get solved.

Similar Messages

  • Cash Flow Row Item not exposed in DI but required

    Dear Sirs,
    Have no available DI Interface to access Cash Flow Row Item in the DI Object JournalEntries_Lines, Please expose it. Thanks!
    Hanson Han

    Hi,
    Both 0BA_O10  and 0BA_O11  are available in Bi content.Search under InfoProviders by InfoAreas  in BI content..
    Here set the collection group as before and after data flow .You will get all relevent objects
    Cheers,
    Swapna.G

  • 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

  • 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

  • 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

  • How to change payment date in cash flow

    Hello Experts,
    Ive had a facility with commitment fee.  The calculated figure of the commitment fee is correct which based on period end date and the payment date in the cash flow tab was also the end date but I wanted to change the payment date in the cash flow of the commitment fee  but the system does not allow me even if Im in an edit mode.
    Appreciate your help.
    Thanks,
    Kath

    Hi Katherine,
    I can suggest you another solution for the case when calculation of the respective cash flow is correct, however you have kind of fluctuating payment date. Instead of correcting it in a deal, you can post it with different date as planned, so when you run TBB1, you have to specify the required date in the field 'Posting date instead of due date' in the set of fields 'Posting control'.
    So you can actually use this feature for those irregular cases.
    Hope it can help you.
    Rgds,
    Renatas

  • 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 Direct Method

    Hi:
    I was asked about how to prepare Cash Flow Statement via direct method. I noticed that in SAP GL, we do have a cash flow - direct method available, but the layout seems not perfectly matching to financial requirements.
    So if I want to create a Cash Flow Statement via direct method up to financial management layout requirements, how many approaches that I could have?
    (develop drill down report in GL?)
    (using liquidity planner and SEM BCS?)
    or is there any more efficient approach that you could recommend? Thanks.

    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 Fiscal Year Variant in all respects, before designing your cash flow statement.
    Regards,
    Ravi

  • Report On Cash flow

    hello experts
    my client requirement is a  cash flow on daily basis .
    selecton criteria date and gl code and the out put is
    Opeing bal (clubbed) and the doc number that were posted against that gl
    If possble plz attach a code
    thank you

    Hi,
    Please check this document:
    http://scn.sap.com/community/support/blog/2013/04/03/how-to-close-a-discussion-and-why
    Thanks & Regards,
    Nagarajan

  • Forecasting of cash flows

    Hello SDN,
    I want to  forecast the following payments through the use of Cash managment and liquidity forcasting mechanisms of SAP
    1) Accounts receivable payable during next week
    2) Loans (short term and long term) repayable (instalment) during next week
    3) LCs payable during next week
    4)Money receivable during next week on account of LC
    Can you tell me  whether this is possible and how this can be done
    Regards,

    Hi Rishikesh,
    Cash Flow configurations need to be done as follows: (Report T-code FF7A
    I. Determine which GL accounts you need to pull in Cash flow- Configurations required for all these accounts at step 2, 3 and 5 below.
    II. Determine Structure : ie, grouping and headings etc of the Cash Flow - Configurations required defined in step 1 and 4 below.
    Details of configuration :
    1. Define Cash Flow groupings and Headers in t-code OT 18
    2. Define Selection for groupings in t-code OT17.
    For each grouping -
    Keep one entry with Type as E and Selection as ++, Sum Term ++. This will pull all sub accounts defined.
    Also define each account by using type G and account number in Selection and Sum Term as Name of GL account/ Bank name.
    3. All accounts that you defined at 2 in OT17 also need to be defined at T-code OT16 - company code wise.
    4. Other config required : Please refer building blocks documentation. - Define Source Symbols, Define planning levels, Define Planning groups.
    Most of this will have been configured if you have used building blocks, but please check the same to configure as per your requirements.
    SPRO path -> Financial Supply Chain Management->Cash and Liqudity Management->Cash Management-> Basic Settings---
    5. Most important config, is that for all accounts you plan to pull on your Cash Flow, the fields for Cash management have to be made available for GL account master.
    i.e. while defining account groups for Gl in SPRO, the field status for group 'Bank / financial details' all fields, should be 'Opt entry'.
    If this is accidently suppress or display only, you will not be able to pull the account number in Cash flow statement.
    Once this field is available for input, in Gl master data on T-code FS00-> create/ bank /interest tab-> bank/ financial details in company code tab..planning level that you configured in step 4 above, needs to be entered. Also Relevant to cash flow needs to be checked.
    Configuration for FF7B, i.e Liquidity forecast is similar.
    All the T-codes mentioned as well as spro path is relevant to SAP ECC6.0 ver. I think the IMG path is different in earlier versions. but you should get that in the relevant building blocks document.
    Also this configuration does not apply if you are using Financial statement version INT.
    Hope this information helps.
    Thanks,
    Uma

  • Distribution of planned cost of activity and its linked to PS cash flow

    Dear PS Gurus
    Kindly tell us how to distribute my planned cost (in result of internal,external activities ) should be equally distributed in the over planning period of activity (Say six months) and  also it should  have linked to my cash flow  also.so that by fund get adjusted .
    For Eg My activity A has planned cost 1,20,000 /-  which is going to complete in  6 Months  .Hence my planned cost should be distributed 20,000 / month and that should be reflects in cash flow.
    Regards
    Project Team 1

    Hi,
    You can distribute your planned costs at activity level based on the distributionkey you specified. The distribution is done for the entire duration of activity depending on the Dist key you select. If you do not put any Dist key, then the costs would be distributed equally across the entire duration of activity. If you want to have equal distribution of costs, you can use DK- SAP020 which distributes on earliest dates of activity using Factory calender. If you want you can also define your own DK in SPRO under: Production->capacity requirements planning->operations->capacity requirements->distribution.
    Hope this clarifies..
    Best regards..

  • REFX - LEASE IN - CONTRACT CASH FLOW ERROR :

    Dear Experts,
    I have an issue with REFX - lease in scenario.
    For a  ( RECN) RENTAL/ CAM contract we have filled all the required details correctly. ONE MONTH POSTINGS also done correctly FOR cam charges.
    But now Cashflow is showing as “CAM CHARGES PAYABLE” ( reversal entry ) in simulation mode which is not expected.Due to this we are unable to make the postings.Attached screen shot FYI.
    Can any one suggest to do needful. Kindly treat this as a priority issue.
    Thanks,
    N.S.Rao

    Dear N.S.Rao
    In your case, When your condition has been changed unit price or period, Cash-flow can be re-generated according "Assign Reference Flow Types" configuration as below ;
    Relation                        Description                                   FlowType        Ref.FlowType
    10           Follow-Up Posting due to Condition Increase               ZXX1                 ZXX2
    20           Follow-Up Posting due to Condition Decrease             ZXX3                  ZXX4
    so , If you want to control this re-generated or re-calculated condition item, you can configure this IMG.
    Go to RECACUST >> Conditions and Flows > Flow Types > Assign Reference Flow Types.
    and also, for your information, you can check 'Balance amount for your contract" according to use "Contract Screen >> Overview tab >> Account Sheet". then you can see entire financial document not only contract related posting but also customer/vendor and clearing document.
    Many kinds of Financial Functions already applied to "Flexible Real Estate module" as a sub-functions.
    Regards,
    Jeong, Yeong Chul

  • 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

  • Cash management&cash flow

    dear all
    can anybody suggest me what is configuration need for cash management&cash flow,is there any difference between fsv&cashflow.kindly give me reply.
    regards
    hanuman

    Hi
    Cash Management is part of your Treasury configuration. You will have to define planning levels, cash management names, etc. for this purpose.
    Cash flow is a report which you can meet through the standard one (direct/indirect one).
    Financial statement version is required for your P&L/BalanceSheet reporting purposes which combines the GL Accounts under different areas.
    Hope I have clarified to you,
    Regards

  • Fund Flow & cash Flow

    hi...
    whr we can get Fund Flow & cash Flow in system?
    Thanks & Regards
    Rekha sharma

    Hello,
    There is no report that is directly gives you cash flow statement with reference to your requirement. The accounts in your chart of account would be different and the requirements are ever changings for organization to organization.
    You have to design a FORM in FSI4. If you have any doubt, then see some reference forms available in FSI6. You should bring these values as FS Items into the FORM from your Financial Statement Version (FSV) which you must have already been created in OB58
    Once you have created the form in FSI4, then assign this form to the report in FSI1.
    Thanks,
    Ravi

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