Cross Company code Settings

Dear Friends Goodmorning,
We have One company , and Two company codes, A  and B
One company Code (A)  Make a Purchases in F-43
Another Company Code (B) will make a payment: F-53
What is the Configuration Need? Please help me what is the configuration need this setttings
Thanks
Babu.

Specific business transactions with trading partners
Several business transactions that occur frequently in the various operative applications - as
relating to their trading partner assignments -- are described more closely:
FI/Financial Accounting
- Customer or vendor invoice: The trading partner is copied from the customer or vendor
master record and is duplicated in the offsetting entries. Only one trading partner may
occur in the document.
- Invoice receipt against clearing account and transfers with clearing: If you do not post an
incoming invoice directly to an expense account, but instead against a clearing account,
the selection of open items must be restricted to those of a certain trading partner when
posting the transfer later on; the same trading partner is automatically copied onto the
transfer line item.
- Customer or vendor payment: You can configure the document type for payments to
allow for more than one trading partner in a payment document. Then, the trading
partner is copied only into the customer or vendor line items.
- Down payments and down payment clearings are always customer- or vendor-related
and are, therefore, handled like the invoices described above.
AA/Asset Accounting
- Asset transfers between company codes: If a fixed asset is transferred to another
company code, two posting documents are required - one for each company code. The
trading partner of each document must be set with the company ID of the other company
code, respectively.
MM/Materials Management
- When receiving goods from an affiliated vendor, the trading partner is taken from the
vendor mentioned on the order for the inventory entry and the goods/invoice receipt. If
invoices are still open on the balance sheet key date, group-internal provisions are
created from the clearing account for goods/invoice receipts. These provisions can later
be eliminated in the Consolidation system using the trading partner assignment.
- Order-related invoice receipts also derive the trading partner from the vendor on the
order and duplicate it into the offsetting entries.
- Material transactions across company codes automatically derive the trading partner
from the company code assignments.
CO/Cost Accounting
- Cross-company code CO settlements are transferred periodically using adjusting entries
to Financial Accounting via the reconciliation ledger. The trading partner is derived from
the company code, which, in turn, comes from the respective CO posting object being
addressed. These are always dual settlements, whereby the trading partner can always
be uniquely identified.

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  • Issue with Cross-Company code transactions and Extended Withholding tax

    Hi Gurus,
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    Hi Team,
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  • Cross company code trancsaction

    Hi experts,
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    Error : ( unique company code has not been assigned to company number
    Message no. GLT0001
    I don't understand  it please tell what is company number whether it is company id ????
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    then also i m getting same error.....
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    With regards
    Mohd ghouse

    Dear G25,
    Company and Company code must have 1:1 relationship in this case for
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    Please check your settings.
    I hope this can help You.
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  • Cross Company Code purchasing

    Hi,
        Please help me to concept of Cross Company Code purchasing .
    I need a Document regarding this or configuration setting , its requirement from one of our client.
    So pls send me some document about the Cross Company Code Transaction.
    Thanks
    Mukesh

    Hi,
    Refer to the link given below.
    http://help.sap.com/saphelp_47x200/helpdata/en/4d/4b9036dfe4b703e10000009b38f889/frameset.htm
    Even when the plants involved in a stock transfer belong to different company codes, you can use conventional methods to transfer the stock:
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    By carrying out a stock transport order with the delivery function via Shipping
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    Stock Transport Order with Delivery Via Shipping and Billing Document/Invoice
    You can carry out stock transfers with the delivery and billing function. In this procedure, the stock is transferred in the form of a sale between two plants.
    Stock transfers that include deliveries and billing documents/invoices are only possible between plants belonging to different company codes.
    If you want to carry out a cross-company-code stock transport order with delivery but without a billing document, you must set the Relevant for Billing (data element FKREL) indicator in Customizing of the item type to "blank" (Not relevant for billing).
    When you use the delivery function in Shipping, the whole transaction - from the delivery through billing and invoice verification - is reflected in the system. The following Shipping functions are available for this:
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    If a user enters a vendor when creating a stock transport order, the plant is automatically copied from the vendor master record.
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    Indicator set to 2 (collective requirements only): material is removed from unrestricted-use standard stock
    Prices
    In Purchasing, the price of the material in question is determined in the usual manner (from the info record, for example).
    In SD, pricing is also carried out as normal during the billing process.
    Your company has to maintain settings in the Customizing system determining whether stock transfers between two plants should be with or without billing.
    You can also determine whether individual users can carry out stock transfers, for example, with or without billing or in either of the two ways.
    If you choose Purchase Order ® Create ® Stock Transfer (i.e. a stock transport order without billing) and stock transfer with billing has been defined for the plants in Customizing, a message appears indicating that you should create a standard purchase order.
    Regards
    Ravi Shankar.
    Edited by: RAVI SHANKAR H.N on Jan 12, 2009 10:45 AM

  • Cross company code transcations

    hai to all my loving friends
    What r cross company code transcations. pls explain how this trancations r going to be done ,what r the advantages of it,pls any attachments.
    [email protected]

    Cross company transactions means, when more than one company codes are involved in the same transaction e.g. expenses incurred in one company code but payment is made by another company code. In other words one leg of accounting entry is in one company code and another in the othe company code.
    For this you need to first complete settings in t code OBYA and then you can post a cross company document using F-02 or FB50 by changing the company code for line item. T code for viewing cross company code is FBU3 and for reversal FBU8.
    Award points,if usefull.
    Regards
    Rakesh Pawaskar

  • Delete company code effect cross company codes

    Hi
    We deleted one company code as per our business need.
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    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

  • Payment term is not being pickedup in cross company code transaction

    Dear Friends,
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    Regards
    Suresh

    Hi
    Assign the payment terms in Purchase Organisation level in Vendor Master Record.
    Regards
    Shammi

  • Posting using cross company code transaction must be blocked

    Hello Guys,
    I have a  problem related to cross company code transaction.
    In the OBA7 I have the document type KE that not allows posting using cross company code transactions. In the moment that I am creating a new document through the FB01, I have an error as "Consolidated companies US52 and ' ' are different
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    Can anyone help on this?
    Thanks
    Rafael B.

    Hello, I´ve checked the log and no changes since 2008.
    The document was created in 2010.
    This is the message: "No logs found for the selected period"
    More suggestions?
    Regards.
    Rafael

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