Cost center belongs to company code 1000, not 2000

Hi,
   When i am entering cost center in sales order, I am getting  an error "Cost center belongs to company code 1000, not 2000"
Does anyone know which transaction i can use to extend this cost center to a different company code?

I think you are creating sales rder for plant 1000. While the cost center you are providing is attched to plant 2000. Either you can change the cost center for plant 1000 or you can change the customiztion so that cost center is attached to plant 1000.

Similar Messages

  • The CO account assignment object belongs to company code 1000, not 1100

    Dear consultants,
    I am SAP - HR consultant.
    I have 4 company codes, under one controlling area & payroll area. I executed live Payroll & tried to run posting payroll results. System displayed folloewing error "You want to make a posting in company code 1100. At the same time, a CO account assignment object was specified that is assigned to company code 1000. This is account assignment object with object type CTR, and object key 1000/1010101400. "
    I have created similar accounts 1110101400, 1210101400 & 1310101400 for company codes 1100, 1200 & 1300.
    May I know what could be the reason?
    Regards,
    Bindumadhav

    "this is account assignment object with object type CTR, and object key 1000/1010101400" means; somethings is missing for cost center 1010101400 under the company code 1000. system tries to post and entry for company code 1100 to the cost center 1010101400 which falls under a different company code (1000).
    so it is not realted with GL accounts i believe
    you can go to KS02 and check the company code for the CCenter 1010101400 and change it to 1100.
    or you may change the cost center assigned to employer master and give a new ccenter which is under the company code 1100.
    but if i were you, before making any changes i would consult the a CO consultants first for this issue.

  • The CO account assignment object belongs to company code 2100, not 1100

    Hi All,
    My system has all different company codes assigned to one cotrolling area as a result one can change org unit and position cost center from one company code to another.
    I recently changed same position's cost center from co code 2000 to cost center in new  co code 1100 and created new personnel area to be linked to new Co code 1100. OM module doesn't moan however when I try and capture org-reassignment action to default same employee postion with new related cost center from new company code 1100 get the follwing error.
    'The CO account assignment object belongs to company code 2100, not 1100'.
    I see in IT0001 system defaults new personnel area linked to Co code 1100 however it still defaults old cost center linked to Co code 2000 instead of new cost center linked to Co code1100. How can I make the system default  new cost center?
    NB relationship for new cost center  from Co code 1100 to postion has been changed effective 01.04.2012 . The same date is used for or-reassignment action.

    Hi I had same problem can you explain me little bit more that how you will resolve this

  • The CO account assignment object belongs to company code PN10, not BN10

    Hi All, Iu2019m getting the error u201CThe CO account assignment object belongs to company code PN10, not BN10" when trying to make a payment on an invoice that was created in company code BN10.
    The error came about because, there was an exchange rate difference between the invoice value and the corresponding payment value (document currency is USD and the transaction I'm using to make payment is F-58).
    Therefore when i try to make the payment, the SAP system detects the exchange rate difference and attempts to post it to the exchange rate difference account (421020050). In OKB9, the default cost center specified for G/L account (421020050) in BN10 is (B999010). Therefore when the payment is been done, the system posts the exchange rate difference to G/L account (421020050) and assigns the cost center (B999010).
    However, upon trying to save the document, the system shows the message "Correct the marked line items" (the marked line item here is the exchange rate line item). Therefore, I double click the line item to drill down on it and see that everything seems fine. I then click the save button, on clicking it, the system shows the error "The CO account assignment object belongs to company code PN10, not BN10u201D.
    When i double click the error to read a more comprehensive explanation of the error, its content are as displayed below:
    The CO account assignment object belongs to company code PN10, not BN10
    Message no. KI100
    Diagnosis
    You want to make a posting in company code BN10.
    At the same time, a CO account assignment object was specified that is assigned to company code PN10.
    This is account assignment object with object type CTR, and object key NIG1/A999010.
    System Response
    Company code validation is active for company code BN10:
    All account assignment objects in one posting row must be assigned to the same company code.
    Procedure
    You can
    u2022     Make an assignment to company code PN10.
    u2022     Enter an account assignment object assigned to company code BN10.
    u2022     Change the assignment of object NIG1/A999010 to company code PN10. In this case, you should note the document and edit it further after changing the assignment.
    If the posting is to a balance sheet account (category 90), you may also decide whether to allow CO account assignment objects from other company codes. If this is the case, deactivate the error message with the IMG step Change message control (message ID "KI", message number 100).
    You can set the following message types:
    "-"   Message is not sent
    "W"   Message is sent as a warning message
    "E"   Message is sent as an error message
    Posting to cost elements of another category always results in the message appearing as an error message, whether it has been deactivated or not.
    Execute "Change message control"
    (NOTE: All cost centers that starts with u201CAu201D belong to company code PN10 and those that starts with u201CBu201D belong to company code BN10)
    Kindly help with the resolution of this issue. Any resolution ideas would be greatly appreciated.
    Moderator: Please, search SDN

    Check the following OSS notes
    1)  Note 141224 - Error message KI100 for cross company
    2)  Note 202765 - KI100 during release of intercompany billing
    thanks
    G. Lakshmipathi

  • No postings can be made to profit center A in company code 1000

    Hello SAP Gurus,
    Our profit center A was assigned only to company code 2000 but not in company code 1000 in KE53. However, when we checked some postings from FY14, we found out that there was a posting in company code 1000 for profit center A (Note: Cost Center A was assigned to Profit Center A in cost center master). Now, when we try to edit and post a parked document from company code 1000 with cost center A, error prompted "No postings can be made to profit center A in company code 1000".
    We had checked the change logs for company code assignment of profit center A but we haven't found any changes related to this.
    Appreciate if someone can advise how this is possible. Why did the posting go thru even if profit center is not assigned to company code? Why does the error suddenly prompted when we try to edit/post a parked document.
    Thank you!
    Jack

    Hi Jack,
    From the above note, it looks like following is the reason  why the first document in FY14 got posted:
    In  message Customizing, message KI113 was set as warning, status or information
    message or it was deactivated.
    So,  now if you want to post another document,  either you will have to create profit centre A in cocode 1000 or check the relevent message in customizing and change its status from Error to warning,status or information message.   the message number will be mentioned in your error message.
    If you want to keep using profit centre A in cocode 1000,  I think it is best to create the profit centre in cocode 1000 rather than playing with the messages.
    Regards,
    Sadhana.

  • Cost Center Data in Company Code Currency

    Hi All,
    We have a requirement to develop a Cost Center Report with Company Code, Account Number and Amount in Company Code Curreny.
    I have checked table COEP, we can get data of CCode, Account Number. But Amount will be in Object Currency/Transaction  Currency / COArea Curreny and not in Company Code Currency.
    Is there a way to get Cost Center data in Company Code curreny.
    Please advice.
    Thanks
    Satish

    Hi,
       In CO, you specify in the year-dependent settings for the controlling area (Transaction OKKP) whether you want to use one or more currencies (flag "All currencies", TKA00-ALLEW).
    If you decided to use one currency only, all documents are only managed in CO area currency.
    If you decided to use several currencies, the following three currencies are managed in CO:
        1. Controlling area currency
           The controlling area currency can be:
           -  10 company code currency (only if all company codes assigned to CO area have the same currency)
           -  20 free controlling area currency
           -  30 group currency
        2. Object currency (defined per object)
    As a rule, the object currency is the company code currency. Only in one case the object currency can be freely chosen, that is, if flag "different company code currencies allowed" is not active.  This flag is set automatically if CO area currency is not 10 and cross-company code accounting is set.
        3. Transaction currency (could be different in every posting).
    regards
    Waman

  • The CO account assignment object belongs to company code 4007, not 4440

    Hi,
    I am Loading Employee data (PA0001) and getting the following error.
    The CO account assignment object belongs to company code 4007, not 4440
    Can anybody clarify me.
    Thanks,
    Aparna

    Hi Aparna,
    Default Cost Assignments arent properly configured. Check TCODE OKB9 and get the assignments rectified with the help of FI Consultant.
    For more understanding, follow the link
    [Error in PA 40  The CO account assignment object belongs to company code XX]
    Hope this helps !!!!
    Kumarpal Jain.

  • Msg K1100 'The CO account assignment object belongs to company code X,not Y

    Hi,
    Unable to create an accounting document for a Return order.
    Message K1100 - Error:The CO account assignment object belongs to company code X,not Y
    Company Code : X
    Sales Org: X
    Plant: P
    Billing Date : IG ( Internal Credit Memo)
    The above details are from the item level- Account Assignment tab-Profitabliity Segment.
    Pl. let us know from which table these fields are picked.
    Regards
    Biju
    Edited by: Biju Mercy on Jan 7, 2010 12:58 PM

    I believe the error message number is ki100 and not  k1100  as indicated by you in which case, refer any of the following notes:-
    a)  140503
    b)  643700
    c)  420778
    d)  352261
    e)  141224
    thanks
    G. Lakshmipathi

  • BDC error CO assingnment object  belong to company code A800 not A900

    Hi,
    I am getting  BDC error 'CO assingnment object  belong to company code A800 not A900'.
    Please any one suggest the reason for this.
    Thakns in advance.

    Hi,
    you are processing a BDC-session for company code A900 with a CO-account assignment for comp. code A800 and your system does not allow cross-company code postings. Check the co-object and correct it.
    Best regards, Christian

  • No posting cannot be made in profit center 3000 in company code 1000

    Hi All,
    we are facing small issue in profit center accounting, below i will explain the scnario.
    we have 2 existng company code like 1000 and 2000 with once controlling area, now we rollout another company code 3000 recently, for each compnay code we have different and saperate profit centers and profit center group, with same controlling area,
    In new company code 3000 we created one profit center like product 1,
    In existing company code like 1000 and 2000 when we are doing MIRO and derepication AFAB system giving error like
    No posting can be made to profit center Product 1 in company code 1000 for MIRO
    No posting can be made to profit center Produtct 1 in company code 2000 for AFAB.
    but this profit center is created for 3000 company code. why system is picking product 1 profit center for existing company code.
    can any one helpout for the issue.
    thank & regards
    kiran

    Hi,
    Trace the transactions of the Depreciation to the asset to the cost center to the respective profit center. And, also for the MIRO, trace the material master to the respective profit center.
    I guess, the profit center must be traced to your new profit center 'product 1'
    Kindly check and revert.
    Regards,
    Gangu.

  • Help on fox used to one/all profit center/cost center of one company code

    Hi experts,
    I have a fox formula witch is to be applied in diferent situations:
    1. To one cost center
    2. To all cost centers of one company code
    3. To one profit center
    4. To all profit centers of one company code
    I'm using the following variables:
    ZIPROFCE (1st profit center selected in query)
    ZIPROFC2 (number of profit centers selected in query)
    ZICOSTCE (1st cost center selected in query)
    ZICOSTC2 (number of profit centers selected in query)
    The formula is actually like below, guess it is not worrking because I can't have an integer number accepted by chars 0profit_ctr and 0costcentr. I am thinking of adding another char in the infocube witch is integer (without master data), and it would do the job. Is there other way out, so I can mantain actual aggregation levels and filters?
    DATA PERIOD TYPE 0FISCPER3.
    DATA PER_P TYPE 0FISCPER3.
    DATA PCENTER TYPE 0PROFIT_CTR.
    DATA PCENTER1 TYPE 0PROFIT_CTR.
    DATA PCENTER2 TYPE 0PROFIT_CTR.
    DATA CCENTER TYPE 0COSTCENTER.
    DATA CCENTER1 TYPE 0COSTCENTER.
    DATA CCENTER2 TYPE 0COSTCENTER.
    DATA PLANPER TYPE F.
    PCENTER1 = VARV (ZIPROFCE).
    PCENTER2 = VARV (ZIPROFC2).
    CCENTER1 = VARV (ZICOSTCE).
    CCENTER2 = VARV (ZICOSTC2).
    PLANPER = VARV (ZEPLANPE).
    PER_P = VARV (ZEPLAPER).
    *IF CCENTER2 = 1.
    CCENTER = CCENTER1.
    *ENDIF.
    IF PCENTER2 = 1.
    CCENTER = #.
    PCENTER = PCENTER1.
    ELSEIF PCENTER2 > 1.
    CCENTER = #.
    ENDIF.
    FOREACH CCENTER, PCENTER.
    PERIOD = PER_P.
    DO.
    IF  { ZCOMPROM, CCENTER,  013, PCENTER } <> 0.
      { 0AMOUNT,  CCENTER, PERIOD, PCENTER} = { ZCOMPROM,  CCENTER, 013, PCENTER } / PLANPER.
    ENDIF.
    PERIOD = PERIOD + 001.
    IF PERIOD = 013.
    EXIT.
    ENDIF.
    ENDDO.
    ENDFOR.
    Tanks in Advance,
    João Anastácio

    Hello João,
    you are making it more complicated than it is:
    Fields to be changed: Key figure, period
    DATA PERIOD TYPE 0FISCPER3.
    DATA PLANPER TYPE F.
    PLANPER = VARV (ZEPLANPE).
    PERIOD = VARV (ZEPLAPER).
    IF { ZCOMPROM, 013 } > 0.
    { 0AMOUNT, PERIOD} = { ZCOMPROM, 013 } / PLANPER.
    ENDIF.
    Regards,
    Marc
    SAP NetWeaver RIG

  • Checking requesting cost center to a company code

    Hi All,
    How to check a requesting cost centre which is belong to a company code ?
    Thank you.
    Nies

    You need to use validation along with a user exit.
    User Exit is some where you write the logic that the company code (BUKRS) of the requesting cost center (AKSTL) should be same as the company code on the WBS (PBUKR)
    Take help of ABAPer in writing the logic of the user exit.
    Regards
    Sreenivas
    Pls close the post if satisfied.

  • CO account assignment object belongs to company code SE01, not DK01

    Hi SAP Gurus,
    I am posting one inter company billing document.  Customer is from Denmark and material is supplied from Sweden Co Code.  Our requirement is to update the cost center field for the intercompany code document SE01.  I have done following customizing in order to update Cost center field for inter company billing document for CoCd SE01.
    1. Create order reason - OVAU
    2. Maintain default cost center for order reason in tranx OVF3
    I am encountering following error while trying to release billing doucment for account.
    Diagnosis
        You want to make a posting in company code DK01.
        At the same time, a CO account assignment object was
        specified that is assigned to company code SE01.
        This is account assignment object with  object type CTR,
        and object key CMAX/SE9001.
    System Response
        Company code validation is active for company code DK01:
        All account assignment objects in one posting row must be
        assigned to the same company code.
    Procedure
        You can
        o   Make an assignment to company code SE01.
        o   Enter an account assignment object assigned to company
            code DK01.
        o   Change the assignment of object CMAX/SE9001 to company
            code SE01. In this case, you should note the document
            and edit it further after changing the assignment.
        If the posting is to a balance sheet account (category 90),
        you may also decide whether to allow CO account assignment
        objects from other company codes. If this is the case,
        deactivate the error message with the IMG step Change
        message control (message ID "KI", message number 100).
        You can set the following message types:
            "-"   Message is not sent
            "W"   Message is sent as a warning message
            "E"   Message is sent as an error message
        Posting to cost elements of another category always results
        in the message appearing as an error message, whether it
        has been deactivated or not.
        Execute "Change message control"
    Please let me know if you face such a issue in past.
    Regards,
    SATVIR SINGH
    Moderator: I trust, SAP explanation is quite sufficient

    Hi Satvir
    You have switched on Comp Code validation in OKKP... which means you can not post to CO objects of another company code...
    Eg: If billing is from comp code A, the co object has to be from same comp code.... Try to use OKB9 and specify a default CO object for the GL account involved in the posting or specify a default Cost center in OVF3 pertainig to the other comp code
    Regards
    Ajay M

  • The CO account assignment object belongs to company code AA01, not AB01

    Dear Experts:
    I am doing Asset Transactions. I've created Order and Asset but when I'm going to create Purchase Requisition in T-code: ME51N, I'm facing below error but I'm fully in dark why this is happening because earlier we did all these entries correctly without any problem but suddenly I'm facing this issue.
    Would you please suggest me how can I overcome this situation.
    Thanks in advance and your suggestion is highly appreciated.
    Best Regards.
    Ripon Kumar Paul

    Dear Ravi and Ajay:
    Internal Order No. 600403 has been created in Company Code AB01. Please find below the screen shots of Internal Order and Purchase Requisition for your reference. Would you please check and suggest how we can provide correct CO Object? I'm really in dark and don't know much about controlling.
    Thanks and best Regards.
    Ripon Kumar Paul

  • The Company Codes do not match with cost/profit center.

    We are using custom designed ZIBIZA_DOC_POST  transaction code for uploading text files to company code 0303
    I am getting the following error.
    The Company Codes do not match with cost/profit center.
    what configuration do i need to do to resolve the following issue.
    Any help will be appreciated
    waiting for your reply.
    Regards
    Lakshman

    I have checked in ks13 and se 16 everthing is fine still iam facing the same problem.
    i am explaning the question in more detailed manner
    Hi
    We are using custom designed ZIBIZA_DOC_POST transaction code for uploading text files to company code 0303. We are able to upload the data using the above transaction code for the G/L account 24221030 (Non-Guaranteed Accommodation Balance sheet account) profit centre FXXX.
    Where as for G/l account 41141010 (Handling cost a/c profit and loss account) profit center FXXX, I am unable to upload the same data, it shows the following error.
    The Company Codes do not match with cost/profit center.
    Where as for the same G/l accounts in company code 0311 it is getting uploaded correctly for the above two accounts i.e.
    24221030 (Non-Guaranteed Accommodation Balance sheet account) with different profit center G730
    41141010 (Handling cost a/c profit and loss account) with different profit center G730
    We are not getting the above error in the company code 0311.
    Any help will be appreciated.
    Thanks & Regards
    Lakshman

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