Company Code configuration

What are the steps to create a company code without any referance company .
How to take care of Chart of account , posting period, currency rtc.
Regards
Ajit

AS we are trying to test one senerio in test server(sandbox) for that I have created on company and in the same I wants to create a material stock and I got struck in some at every level.
Rg
Ajit

Similar Messages

  • Use of half months in the company code configuration after  Go Live

    Hi,
    Our client has a requirement to activate the functionality of u201CUse of
    half months in the company code configuration in Asset accounting after 3 month of Go live.
    For the above purpose, we enabled the same in our Development server
    (DE5) after Go Live and we are getting some Errors at the time of Asset
    posting in F-90 and Asset Explore AW01N and even depreciation Run.
    Already we ran 3 months depreciation without enabling this
    functionality and now the client requires this in our Production server
    before running the 4 period depreciation.
    We are using the same Fiscal year variant (V3) at Depreciation area
    level for all our company codes. All other company codes enabled this
    functionality except one company code (NOPE) .
    So the client requires this Half month depreciation calculation
    Functionality in company code NOPE too.
    Please advice to resolve this issue at the earliest and its quit urgent.We are using the same depreciation key, asset class in all company codes.
    Thanks
    Man
    Error details,
    SYST: You cannot change the depreciation periods
    Message no. AA662
    Asset affected: 000016000025-0000
    Diagnosis
    Processing terminated because the number of depreciation periods in
    company code NOPE has been changed. However, you cannot change the
    number of periods in your live (productive) system.
    Procedure
    Change the depreciation periods back to the original value in company
    code NOPE. The number of depreciation periods is determined by the
    fiscal year version and the use of half-periods. At least one of these
    parameters was changed.
    If you want to change your system so that you can now work with half-
    periods, you have to use depreciation keys with time-dependent period
    control in that company code.
    If you need to make general changes to the number of periods for
    calculating depreciation per fiscal year, you will have to consult your
    system administrator

    hi
    If you refer to SAP Note 2993, it is not possible to change to/from half
    period. This is because the expired useful life are based on 12 periods
    and the system is not able to change this to 24 periods.
    To be able to change this settings under:
    Asset Accounting>Valuation>Fiscal Year>Use of Half Months in the
    Company Code.
    Company code must be in status  2 (Test company code with data transfer)
    Once you have finished your legacy data transfer you should set company
    code as productive to avoid this changes.
    Regarding error AA662,  it occurs if you change the number of period
    in the fiscal year version or the use of half-periods, after you have
    already posted to assets.
    The cause is a different value in field ANLB-PERFY which
    is the number of periods in the fiscal year.  If the number
    entered here does not correspond to the number of posting periods
    of the fiscal year used, the system raises error AA662 (except
    for none posted areas for which ANLB-PERFY = 000 or areas
    with depreciation to the date for which ANLB-PERFY = 365)
    If T093C-MONMIT = 15 (half periods), ANLB-PERYF = 012 is not
    correct. It should be 24.
    Please note that changing the PERFY value will not be sufficient because
    the expired useful life is calculated on base of PERFY. Thus PERFY has
    to be adjusted and the expired useful life also.
    Blaz.

  • Please help me on inter-company code configuration steps

    Hi FICO Gurus,
    Please can you help me on inter-company code configuration steps and accounting entries for the same.
    Thanks for your help!!...
    Thanks & Regards,
    Kiran

    guys I still need help on this one...Thanks!

  • Report painter,cross company code transactions

    Hi Masters,
    1,  Please send material of  REPORT PAINTER ?
    2,  Please  Send material of CROSS COMPANY CODE TRANSACTIONS
    3.  Please send material of  FUNCTIONAL SPECTS
    my  mail id [email protected]
      Thank you friends

    Hi,
    Hi,
    Cross-Company-Code Configurations
    Step1: T Code: OBYA
    We have to maintain Receiver Company Code as Customer in Sender Company Code and Sender Company Code as Vendor in Receiver Company Code. Then problem will be solved.
    Step2: T Code: OB60
    There you can find 4 line items, Copy all the 4 Line Items using Copy As button and customize to your company code.
    Cross-Company-Code Transactions
    1. To Change Cross Company Code Document: T Code: FBU2 - Change
    2. To Display Cross Company Code Document: T Code: FBU3 - Display
    3. To Reverse Cross Company Code Document: T Code: FBU8 - Reverse
    regards,
    Santosh kumar

  • Cross company code transactions

    All gurus,, I have one problem in Cross company code transactions:
    Ex: I have Company code A and B,,, where A pays on behalf of B. how to configure and what is process to follow in APP for making payment to vendor of B...
    A pays to vendor of B... how it happens in APP.
    Santosh.

    Hi,
    Hi,
    Cross-Company-Code Configurations
    Step1: T Code: OBYA
    We have to maintain Receiver Company Code as Customer in Sender Company Code and Sender Company Code as Vendor in Receiver Company Code. Then problem will be solved.
    Step2: T Code: OB60
    There you can find 4 line items, Copy all the 4 Line Items using Copy As button and customize to your company code.
    Cross-Company-Code Transactions
    1. To Change Cross Company Code Document: T Code: FBU2 - Change
    2. To Display Cross Company Code Document: T Code: FBU3 - Display
    3. To Reverse Cross Company Code Document: T Code: FBU8 - Reverse
    regards,
    Santosh kumar

  • Global company code functionality

    Hi ,
        Global company code will be created in OB72 and is assigned in OBY6. and mentioned that
    Global Company Code configuration is needed for Company Codes which uses ALE distribution Scenarios for Data transfers through Non-SAP External Systems  with SAP System.
    If you have company code again why SAP is asking to create Global company code. ?
    What do you mean by cross system company code?
    Is it possibel to use same global company code to multiple company codes ?? if so in which scenarios?
    What is the total logic related to Global company code?
    Could you please answer
    Regds,
    Chandra

    Hi
    The same is maintained in GL master.Pls unhide the field and check the entries in the master
    Regards
    Sanil Bhandari

  • Slow VF04 Process Only on One Company Code

    We have 5 company codes on our system. Last month we create new company code. No problem in Devevelopment or QA Server.
    However, when we transporteded this new company code configuration to Production server, we got VF04 problem.
    VF04 very slow for only one company code (existing company code), it took more than 30 minutes for 1 plant and 1 business date (normally it took about 1-3 minutes for 1 plant).
    The longest time in this process in SM50 is "Sequential Read on CE4xxxx table". What could we do to check why VF04 on existing company code is very slow while in other company codes (including the new one) running normally.
    Thank you so much.

    If the two notes are not applicable, then have a look at this
    Note 1996268 - Performance problem while generating billing documents using VF04    
    If this is also not the root cause for the issue you are facing, then share the following note to your Security team as I already indicated and ask them to follow the steps listed out in this note as this is purely technical related issue and not a functional related issue.
    Note 841758 - Procedure when you experience performance problems
    G. Lakshmipathi

  • Sales using plan from another company code

    Hello Gurus,
        will you please provide some detail about customizing " inter-company sales processing", mainly about how to get plant from another company code?
    thanks very much!

    Hi
    explaining you in brief, the basic requirments for intercompany sales is,
    Both the company codes should belong to the same company
    The material should be existing in both the company codes
    Configuration Settings :
    1. The material should be extended to the Ordering company and while extending the plant and storage location should be maintained same(that of Delivering)
    2. An Internal Customer should be created in the Delivering Company Code. Use the Delivering Company code and ordering sales area.
    3. In the path IMG - Sales and Distribution - Billing - Intercomapny Billing -
        1. Define Order types for Intercompany Billing - where you have to assign the Billing type IV to the sales Order types.
        2. Assign Organisational units by plant - where you have to assign the Delivering plant to the ordering sales area
       3.Define Internal Customer number by Sales Organisation - where you have to assign the Internal Customer number to the ordering sales organisation
    In addition to this you have to define the plant as the Delivering Plant by maintaining the assignment of plant to Sales Organisation and Distribution Channel (of Ordering in enterprise structure)
    Now you can create an order and in that you have to change the plant manually and save.
    Thanks,
    Ravi

  • Delete company code effect cross company codes

    Hi
    We deleted one company code as per our business need.
    now the problem is cost center is picking that particular company code when we are trying to make outbound to interface.
    Please let us know where to make cross company code configuration changes when we delete company code.
    Thanks in advance
    prasad reddy

    Hello
    Reset settings in OBYA
    reg

  • Configuration of new "Company Code" under same client.

    Experts,
    We have implemented SAP with 3 Company Codes. Now we need to configure new Company Code under same client, but with different Currency "LKR".
    Please guide how can we go about it? What are all steps and challenges we need to consider?
    - Nilesh
    Moderator: Please, search before posting

    Hi
    Some of the key points you need to consider are:
    1. Will the new co code share the same Chart of Accounts and Controlling Area
    2. Will there be parallel reporting required in the new co code
    3. Will the Tax Proceduire be same?
    4. Will there be consolidation between the new co code and previous three co codes
    5. Will there be any sales/purchase transaction between the new co code and the other three co codes? If yes, how will they be accounted?
    6. Will there be any payment transaction by the new co code on behalf of other co codes and vice versa
    7. How will intercompany transaction should be posted?
    8. Wiill the chart of Depreciation be same for the new co code as the previous co codes
    9. Will the new co code take over some balances from the previous co codes? If yes, what will be the cut over strtaegy for the same
    Regards
    Sanil

  • How to configure Funds Transfers, Cross Company Code Vendor Payments, Bill

    Hi All,
    Can any one help me, How to configure Funds Transfers, Cross Company Code Vendor Payments, Bill of Exchnage Payments with Automatic Payment Program?
    Regards
    Chandra

    Hi Chandra,
    This is what you need to do to configure <b>Cross Company Code Vendor Payments</b>.
    Execute transaction code <b>OBYA</b>, when prompted, type in 1st coy code, say A and then 2nd coy code, say B. This would take you to the "<b>Maintain FI Configuration: Automatic Posting - Clearing Accounts</b>" screen.
    In the first frame, where you have
    Posted in : A
    Cleared Against : B
    Under Receivable
    Debit Posting Key : <b>01</b>
    Account Debit : Account Number (The account can be a G/L account, a customer account or a vendor account)
    Under Payable
    Credit Posting Key : <b>31</b>
    Account Credit : Account Number (The account can be a G/L account, a customer account or a vendor account).
    In the second Frame
    Posted in : B
    Cleared Against : A
    Under Receivable
    Debit Posting Key : <b>01</b>
    Account Debit : Account Number (The account can be a G/L account, a customer account or a vendor account)
    Under Payable
    Credit Posting Key : <b>31</b>
    Account Credit : Account Number (The account can be a G/L account, a customer account or a vendor account).
    So, if you are using the <b>Customer/Vendor</b> approach, company A must be set up as both a Customer(Use Txn Code <b>XD01</b>) and a Vendor(USe Txn Code <b>XK01</b>) in Company B and vice versa.
    Once you have completed this set-up, you can then use transaction <b>F.13</b> and/or <b>F13E</b> to carry out your automatic clearing. Alternatively, whenever Payment Run is executed via transaction code <b>F110</b>, this would automatically clear out the payables and receivables in each company code.
    However, if you intend to use the G/L approach, then the account numbers would be Inter-coy G/L account for each coy code as defined in the chart of accounts.
    I hope the above helps.
    Do not forget to award the points please.
    Regards,
    Jacob

  • Configure reconcilation account to customized company code

    can i know how to configure reconcilation account to customized company code

    Hi
    You can either copy from one company code to another. Or selective use the required accounts.
    OBY2 is copying from one CC to another.
    For the other Go to IMG-GL accounting (new)-Master data- GL accounts-Gl accounts creation processing-Change GL accounts collectively - Chane CC data.
    Hope this works.

  • ALE configuration, Assign Company Code to Cross-System Company

    Hello all,
    I set up and configured ALE so that we can keep our production, QA, development master data in sync.  I activated the change pointers for the particular message type for which we want to create IDOCs when new master data is created, or existing master data is changed.  IDOCs are then sent to the QA and development systems.
    Are these three ALE configurations associated with anything outside of ALE?  Is there any area that can or will be affected by these three configuration settings?
    Transaction <b>SALE</b>
    <b>Cross-System Company Codes</b>
         - all Company codes in our system
    <b>Assign Cross-System Company Code to Chart of Accounts</b>
         - all Company codes are associated with the one chart of accounts
    <b>Assign Company Code to Cross-System Company</b>
    -     global company code is the same as the company code
    Thanks
    Bruce

    In T.Code: OX19 - Assign company code to controlling area
    Please check that if for ur Controlling Area, the
    Currency Type:
    Currency:
    Currency Type
    10     Company code currency
    20     Controlling area currency
    30     Group currency
    40     Hard currency
    50     Index-based currency
    60     Global company currency
    Currency
    required code of Currency
    Should/Are properly maintained in OX19.
    This type of error will be for this stage itself.
    Provide points if satisfied
    Regards
    Dinakar
    SAP will be throwing this type of messages when
    Differing currencies: USD - CAD
    Message no. KT276
    Diagnosis
    The system makes consistency checks during assignment of a company code to a controlling area as part of assignment control.
    The same checks take place if assignments already exist and you change the basic data in the controlling area, or if you define the controlling area and company code as a 1:1 structure.
    If the check finds an error, the system cannot execute the function ("Assign" or"Change basic data"). If you do not maintain the required data for the consistency check (such as currency, chart of accounts, or fiscal year variant in the company code), this also results in an error message.
    You want to use currency type USD. The SAP System determined the company codes assigned to controlling area CAD and the relevant currencies. One discrepancy occurred in one of the currencies.
    Note
    A precondition for currency type "10" is that all company codes assigned to the controlling area must use the same currency.
    A precondition for currency types "40" and "50" is that all company codes assigned to the controlling area must belong to the same country or use the same hard currency or index-based currency.
    A precondition for currency type "60" is that all company codes must belong to the same company or all the companies must use the same currency.
    Procedure
    Change the currency type or the currency settings.

  • Copy configuration between company codes tool

    Hi,
    I would like to know if we can copy configuration between company codes?  If yes, how do we do that?  I know there are some third party tools available, but couldnt recollect now.  Any guesses? 
    Thanks,
    Abdul

    Since it are more than 200 customers, a manual operation isn't very efficient.
    As I understand, no standard SAP programs exist to copy multiple customers from 1 company code to another. A new CATT will have to be created.
    Does anyone have this kind of program, otherwise I will create it from scratch.
    Thanks in advance.
    Best regards,
    Danny

  • Stock transport order ("Q" stock, configuration) - cross-company code

    We tried to create stock transport order (cross-company code) and consequents documents with
    using "Q" stock and material configuration. Unfortunately we have got
    1) message M7 146 concerning the special Q stock not supported by the
    movement 643., 2) configuration is not taken into delivery type NLCC. Can anyone help?

    Hi,
    Please follow the below process for stock transport order...
    1. Create stock transprot purchage order (ME21N)
    2. Create delivery Vl10b or VL01n and then goods issue
    3. Inter comapny billing with billing type IV...
    Please go to VOV7 there speical stock filed as blank and billing relevance as A...
    Regards
    sankar

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