Cost center wise trial balance GL

Hi Friends,
My clients wants GL trial balance cost center wise. i try the below t.code S_ALR_87012277 - G/L Account Balances , S_PL0_86000030 - G/L Account Balances (New) but system is not showing any data. Please advice any t.code or other soluation.
Thanks & Regards,
Pankaj

Hello,
Please note that there will not be any traial balance.
Only expenses flows to cost centers through cost elements. But, none of the asset balances and liabilities will not flow to Cost Center.
You have to depend on Profit Center for viewing your balance sheet.
Regards,
Ravi

Similar Messages

  • Profit center wise trial balance

    Hi,
    I have created profit centers for 2 dimensions. and made JE's.  I want to see Profit center wise trial balance for the 2 dimensions
    When I go to trial balance I went to extended selection criteria and given 2 dimension. But none of the values is popping up?
    I need a report for profit center wise trial balance.
    What could be the issue?
    Regards
    Shashi

    Thanks peter,
    But my customer needs profit centers to be posted at the time of issue to production.
    for that what I did is . I have defined one dimension as Product and the other as Cost centers
    In need a trial balance based on profit centers. cost centers will be posted at expenditure level.
    and Product (Cost Centre) will be posted at finished goods and WIP Level,
    for example they have trial balance as follows
    Acct Name             Cost Centre       Product         Project          ICO
    FG Direct                                         0111
    FG Direct                                         0112
    WIP Direct                                       0111
    WIP Direct                                       0111
    Sales                         21000             0111
    Sales                         21000             0112
    Transportation            21000              0111           R001
    Transportation            21000              0111          99999
    Where ICO is Inter company Vendors which will be assigned to vendor
    How can we take trial balance based on this?
    Regards
    Shashi

  • Profit Center wise Trial Balance & Balance sheet Report

    Hi Friends,
    While executing standard Report S_ALR_87013336 i m getting zero balance i. e. the GLs not getting populate.
    Plz let me know if there is any standatd T-Code through which I can get Profit Centre wise detailed Trial Balance showing opening balance, transaction during the period & closing balance.
    Plz give some other standard T-Codes which can solve the purpose for getting Trial Balance & Balance Sheet.
    Note:- we r using ECC6.

    Hi,
       I assume that you are in 6.0 version. It will not update GLTO tables , instead updates FAGLFLEXT tables. You need to select the "Write to classic general ledger " option to get the detail report. This option is available in general ledger >periodic processing>.
    Assign points as way of thanks.
    Thanks
    Dasa

  • Trial Balance Cost Center Wise

    We have created the Cost Elements, in the system for assigning the Cost Centers to these as and when the transactions are recorded. While we can generate the Cost Reports based on the Cost Centers used for capturing the transactions, there is a requirement to generate a Trial Balance as per the Cost Centers. Is there a standard report that can provide a Trial Balance as per the Cost Centers and thus for a particular Group of Cost Centers.
    Would appreciate an assistance in this regard.
    Thanks in advance.

    Hi Bhuveneshwari,
    Agree with you that TB will include assets andliabilities as well. To clarify further, what is desired is the list of balances Profit Center/Cost Center wise for only those accounts which form part of the P & L, i.e classified as Revenues and Expenses to prepare a funtional Profit & Loss Account. How can we acheive this. One way is to generate the Cost Reports with all the Cost Elements. Also is it possible to generate a limited TB (including only P&L items) Profit Center wise as referred to in your reply ?
    Thanks

  • Retreiving F.01 Report Cost Center wise

    While executing F.01 report GL Code and cost center wise it does match with the FBL3N report by puttiing the same parameters i.e GL Code and the Cost Center.
    Please advice....

    Hi,
    F.01 is for displaying the balance sheet and P&L statement for a company code.
    Cost Centers is a cost object where costs will be stored for analysis purpose. If you want to match the Expenses gl balances with F.01 balances, go to FBL3N and take all the Expences GL accounts and execute.
    The important one is in all GL accounts should be selected for line item display.
    After executing the report change the layout, select the cost center and display subtotals gl wise.
    Thanks & Regards,
    shashi kanth.

  • Profit Center wise Vendor Balance

    Dear Sir,
    Kindly guide us as how can we get a report / information for "PRFOFIT CENTER wise VENDOR Balances " . I tried with FBL1n but it give Balance without Profit Center . We are using ECC-6 .
    We assure to give full points for the suggested solution pl .
    Kindly help me pl .
    Rgds
    B Mittal

    Hi BV,
    You will not get Profit Center wise payables information from FBL1N,though you can see the profit center field in FBL1N. This Profit center is the profit center sitting in BSEG table and with ECC 6.0 if you are using new GL, then Profit center wise details are available in FAGLFLEXA.
    The other report as mentioned in one of the replies above is also there but its presentation is not so good as of FBL1N.
    And the other option is to develop a Z report for Profit center wise payables. We have done it for receivables and it is working fine.
    Regards,
    SAPFICO

  • Cost center wise comparison between FI view and CO view

    Hi,
    I have one doubt regarding comparison of cost center in FBL3N and in in S_ALR_87013611.
    Is there any report in from which I can compare Cost center wise actual spending in FBL3N  versus some reports in CO?
    I would appreciate if someone help me on this.
    Thanks in advance!
    Bhargav
    Edited by: BHARGAV RASBIHARI PADHYA on Nov 17, 2010 6:10 AM

    Hi Bhargav,
    If I am not wrong you are taking about the comparison of cost centres values in Co to Cost centre Values in FI.
    If this is the case, then its a pain compiling the values. Because, when values flow from FI to CO then dont come to one cost centre, they are spread accross various cost centres where they are incurred.
    For Example : You may debit P&S GL account for 10000, but the cost centres involve this expenditure this can be from different cost cetres like from Finance, Marketing, Retail etc.
    Now if you want to compare the cost ccentre values with the FI and COthen you can imagine the work and time involved in it.
    Let me know  if anyone have any different views on this.
    Regards,
    Mallikarjun

  • Profit center wise vendor balances

    Hi guys,
    My client want to vendor balances with profit center wise. I know t.code s_ac0_52000888 it displays reconsilation account wise balances I want to  profit center wise balances not reconsilation account wise balances its urgent please help me
    thanks
    syam

    Dear
    Use T.code FBL1N - Display/Change Line Items.
    when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
    when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
    Alternately, use dynamic selections in T.code FBL1N selection screen.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Vendor - asset - cost center wise report

    Hi Friends.
    Good morning,
    Please let me know vendor,asset  and cost center wise report ( ie for all vendors at a time.)
    Regards
    Srini

    Hi,
    From T.Code: AR02 you will derive your expected report.
    for vendor select dynamic selection and select ORIGN DATA Tab here you will get vendor field.
    Regards
    Viswa

  • Difference in business area wise trial balance

    Dear all,
    can anyone explain me how to deal with difference in business area wise trial balance?
    Please send me the user manuals of balance sheet adjustment(Tcodes - F.5D, F.5E, F.5F and F.5G)
    I will assign you full points.
    My mail id is [email protected]
    Thanks & Regards,
    A.Anandarajan.

    Hi.
    For running F.5D, F.5E, F.5F and F.5G, you need to make customization settings. The t-code for making the settings is OBXM. Here you specify a business area adjustment account which is the master account, Thereafter you have to specify adjustment accounts for G/L, AR, AP Taxes etc. Once you do these settings, you can execute F.5D, F.5E, F.5F and F.5G.
    Regards,

  • Primary Cost Element Report - Cost Center wise Totals

    Dear Seniors,
    Requirement is to have a report which gives Cost Center wise Totals (Net posted amount) for Primary cost elements with the following fields --
    Company Code
    G/L account
    Business Area
    Cost Center
    Accounting Period
    Fiscal Year
    Net Posted Amount
    Debit / Credit Indicator
    Currecny
    Which Table gives me this information ?
    Thanks and Regards
    KVKR

    Hi
    If you are on New GL - Then FAGLFLEXT (Totals table)
    If not - Then GLT0 or tables startng with GLT*
    You can also use reports FBL3N and subtotal on Cost Element/Cost Center
    br, Ajay M

  • Employee wise posting details cost center wise

    Hi
    How to get the employee wise posting details cost center wise is there any standard report to know the details
    Thanks in advance
    Rgds
    Radhika

    hi Radhika,
    U can get the posting results employee wise details and posted wage types using a standard Program....
    Go To Transaction Code " SA38"
    Give the program as : -
    " RPCIP_DOCUMENT_ANALYSE "
    Give the Posted Document.
    Check Select details with Pers. NO
    For giving Payroll Area has selection.
    Select tab " Selection of Run attributes"
    u can give payroll area here. and In period here
    and also since the posting date would be fixed ....u can use that field also....
    GL Account u can get.........
    The fields are the same that you are getting in the layout.....u can select all the fields for display....
    Using tab " Selection for Account assignment "
    u can again filter the data....
    Try this out and revert

  • Cost center wise budget

    Dear Sap gurus,
    Could you please cost center wise budget confuration and availabulity control in system .
    purchase value 100000  Name is Cost center1 if i raise of purchase order (Relevant account assignment items) Cost center given then the system should not allowed based on the po with commitment value accross 100000 and we want decrease the value once invoice is released in like 100000- 10000= 90000  .

    Hi,
    This issue has been answered several times: you do not have a budget control on cost centres, but you can do a workaround.
    a) create statistical ordersand assign them to relevant cost centres
    b) budget those orders
    c) create a validation in CO not allowing posting to the cost centres without providing internal order
    Thus, you will have a budget control on cost centre level.
    Regards,
    Eli

  • Relevance of Maximum Plan Value for Cost Center wise SKF plan Data

    Hi,
    Will you please tell me the relevence of data entered as Maximum Plan Value for the Cost center wise SKF data plan i.e. data entered through T Code KP46 using planning layout 1-301 with planning profile SAPALL.
    Regards,
    Partha B.

    Hi,
    Try 0CO_OM_CCA_1.

  • Preparation of cost center wise report

    hello experts,
    I want to know the tcode for cost center wise expenses reports.
    i have tried the ksb1 but it is working only for one cost center at a time.
    i want to prepare the cost center expenses report for all cost center in company in following format.
    cost center
    Amount
    what procedure should i follow?
    Please help.

    You can use KSB1 but create a Cost Center Group with KSH1 to make it easier.  You can also create a group of groups to form a hierarchy so you can analyze at different levels.  Hope that helps.

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