Customer Master Data and Line Items Balances Display - Authorization Group

One autorization group was created and assigned to some customer masters in General, Company Code and Sales Area's.
User is restricted to one authorization group. When executing FBL5N, all customer balances are displayed i.e. including blank authorization group customer. It is not restricted to authorization group customer! Why?

Kindly check the authorization objects assigned in the user profile. You may ask your basis to help you with the authorization.

Similar Messages

  • Balance(total) and line items balance difference in FS10N

    Dear All,
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    Regards
    Vinu

    Hello,
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    1. Note that you are NOT required to make the balance of that GL account to ZERO. Please do not confuse with Open Item Management.
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    3. Block the account for posting in COA Segment and Company Code Segment in FS00
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    5. Now, remove the block you kept on the GL Account in FS00.
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    Regards,
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  • BEX Issue:Intgration of master data and Open Items cube data

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  • Procedure for creating Recording in  LSMW with header data and line item

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  • KE33 report main data  and Line items in KE33 doesn't match

    < MODERATOR:  Message locked.  Please post this message in the [Controlling forum|SAP ERP Financials - Controlling;. >
    All,
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    Edited by: Sri on Oct 9, 2008 2:33 AM

    Well, check if your COPA report is filtered by some characteristics. Ideally, both the balances should be the same... the COPA report always reads off the line items (or summarizaiton levels which inturn read line items), so I'll be surprised if its not the same.
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  • FM to get invoice balance, payments received and open item balance...

    Hello Experts,
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    Hai,
    kindly check whether the opening balances and the cl balance of the previous year are same for the GL, other wise carry forward the balances once again from 2000 to  current year.
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    Edited by: MPI SAP FI on Apr 8, 2008 8:51 PM

  • AR Transaction Data vs Line Item

    Hello,
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    Sales are derived from the posting key used to post a AR document
    The posting key is either sales/turnover relevant or not
    As peopel use posting keys for all sorts of thingss- this is not the ideal solution to report Sales
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    ow ar eyou planning to add Profit Centre -?
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    Dr Debtors £117.50
    Cr Reveneu Prfit centre 1  £50
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  • XD01 assertion failed error while updating customer master data

    Hi Guys,
    This is an error when I use transaction XD01 to create customers accounts, If you have any ideas do let me and we'll try it....
    The error does not let an BDC or LSMW progress as well. There are also no recent sap notes on the same.
    The error is as follow
    ASSERTION_FAILED
    Short text
    The ASSERT condition was violated.
    What happened?
    In the running application program, the ASSERT statement recognized a
    situation that should not have occurred.
    The runtime error was triggered for one of these reasons:
    - For the checkpoint group specified with the ASSERT statement, the
    activation mode is set to "abort".
    - Via a system variant, the activation mode is globally set to "abort"
    for checkpoint groups in this system.
    - The activation mode is set to "abort" on program level.
    - The ASSERT statement is not assigned to any checkpoint group.
    What can you do?
    Note down which actions and inputs caused the error.
    To process the problem further, contact you SAP system
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    Using Transaction ST22 for ABAP Dump Analysis, you can look
    at and manage termination messages, and you can also
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    Error analysis
    The following checkpoint group was used: "No checkpoint group specified"
    If in the ASSERT statement the addition FIELDS was used, you can find
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    " (not used) "
    " (not used) "
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    " (not used) "
    " (not used) "
    " (not used) "
    " (not used) "
    " (not used) "
    I have a company code CG01 with sales organization CTS0 and I want to transfer or extend all the customer master data to another company code CG03 with the sales organization CTS0
    The things that I have tried and not work
    using xd01, fd15, fd16, fd01, does not wok and gives the error as above
    The things that I have tried and it works
    Change the sales organization from CTS0 to CTS1 I am able to post the customer master data, using any of the above tcodes and it does not give any error, however the client wants to sales organization to remain CTS0
    So please give me any ideas as per your experience as this transfer of master data has to happen by Monday, else I'll be fried by my boss
    My number is 9820029197
    Will also keep you'll posted on any developments on this case,
    Ronan Pinto

    >
    > Firstly I am from SAP FI, so totally new to SAP SD
    >
    Then you are best person to explain the reason on why the same sales organization, can't be assigned to different company codes. When a sales is done through one sales organization, then will the  profit/loss be accounted in different company codes. Is it legally allowed in the country, where your customer is doing business? How you are going to develop the  balance sheet? Again being the FI person, you are best judge to provide the details to your customer and not a SD guy.
    >
    > 1) How did the system not give an error while putting the data inside CG02 with sales organisaton same as CST0 same as in company code CG01.
    >
    I dont see any other method than removing the assignments in the backend and uploading the data. You can consult a Basis person to find the  change logs for the assignment table. In my opinion, removing the sales organization from a company code assignment just for loading a customer master data and then reassigning to original sales org is  a crooked method and/or not a professional method.
    >
    > 2) Since I have limited experience of SD, If I have to convince my client about the use of CTS1 sales organisation or a unique sales organisation against his argument that it worked for company code CG02, how should I do it.......
    >
    As explained above, how the sales will be accounted  in different company codes (even if the system allows  to assign the same sales org to different company codes)?
    I would recommend you to post this question in FI forum (after closing here) to check what are the legal implications for this scenario.
    Regards,

  • Modifying Customer Master Data - Internal error - Message no. F2531

    Hi experts,
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    Best regards,
    Andreia Nascimento

    Hi Andrea,
    This message is a SAP standard message and it is not modyfiable in OBA5. The one reason for this may be you are trying to enter bank account which programme is not able to find. If this is not in your case you can take help of abaper and debugg the program.
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  • How to use the customer types in customer master data

    how to use the customer types in customer master data?
    menu path is Extras -> account group info -> customer types

    hi,
    This is an option given to you to choose (if you need to) the way you perceive this customer.Here you get options including ompetitors,Salespartner, prospect,
    default sp ,consumer.
    See it helps you to differentiate between prospect(which you may use for quotation or inquiry purpose)Sales partner and the competetor.
    I hope this clarifies your quiery.Reward points if so.
    Thanking you,
    Best regards,
    R.Srinivasan

  • GL Custom Reports not displaying source and line item Data after Upgrade

    Hi,
    I am having this issue even though General Ledger Journal Entry Summarization is set to "No Summarization" and in SLA the Line Type is set in detail for Transfer to GL. Have you come accross a specfic example like this? Can you please guide me to what the problem may be?
    None of the GL reports is showing the Source and Line Item details.
    Thanks,
    Arun

    I am having this issue even though General Ledger Journal Entry Summarization is set to "No Summarization" and in SLA the Line Type is set in detail for Transfer to GL. Have you come accross a specfic example like this? Can you please guide me to what the problem may be?
    None of the GL reports is showing the Source and Line Item details.Have you verified the queries of those reports after the upgrade? And, when you say upgrade, do you mean from 11i to R12?
    Did you set the application context properly?
    How to set the Organization Context in R12? [ID 437119.1]
    Oracle Applications Multiple Organizations Access Control for Custom Code [ID 420787.1]
    SQL Queries and Multi-Org Architecture in Release 12 [ID 462383.1]
    Setting APPS Context is mandatory step while loading data using public APIs [ID 473615.1]
    Thanks,
    Hussein

  • S_ALR_87012247 - Customer Balances and Line Items in Local Currency

    Hi All,
    This report S_ALR_87012247 - Customer Balances and Line Items in Local Currency  is not displaying line items for customers in ECC6. Is there any configuration required to get the line items? Please help
    Thanks
    Sridevi

    If you see this report S_ALR_87009950, you will get
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    Debits and Credit during the reporting period
    and the Cumulative Balance.
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  • Dunning block on Line item but not in customer master data

    Hi,
    What is the procedure to block a customer for the dunning process?
    I have following example:
    1. A dunning block was entered in an invoice line item (there was no dunning block in the customer master data)
    2. A dunning run was made
    3. A dunning letter was printed for the customer
    Is the block in the master data required for preventing a dunning for a customer?
    Thank you for your feedback.
    Kind regards,
    Linda

    Hi Linda,
    You can block the items of a customer without blocking his account completely by allowing his account for dunning program.
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    2.Edit the dunning proposal and block the items individually to the customer and save.
    3.Now you can see the dunning notices for only unblocked items of the customer.
    Thank you,
    Ramesh.

  • G/L Balance and Line items difference

    Dear Mates,
    We have a Inventory-Spare Parts G/L account
    When i see the FS10N g/l balances ,there is a figure appearing as 25,82,887/- in the period February and when i double click on the above said figure to see the line items whose total comes to 30,89,627/- with doc.type: WA.
    Can please tell me ,what could be reason for the difference between Balance appearing on the initial screen and line items total.
    Please treat it very urgent as auditors are sitting on my head.
    Thanks
    Subbu

    Hi,
    First let me know the SAP R/3 version and fiscal year.
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    all the best

  • Difference between cumulative balance and line items total in FS10N

    hi,
    when I am executing FS10n, I observed that the cumulative balance amount is not equal to line items total .  This is due to some amounts in previous years are varying from the line ltem totals in those periods of previous years.
    This is not happening with QA server only Prdn server is facing this problem.  Can anybody provide me a way to solve this..!?
    Regards,
    AJo
    I have checked the master data for the GL and the check box for line item display is selected. It has not been changed for years.
    Edited by: Anil Jonnalagadda on Oct 22, 2008 10:57 AM

    Hi Anil,
    The reason for the differences that you are viewing can be various. As the differences are found in the cummulative balance then it means that the differences might have occurred in previous fiscal years. The first stetp is to find when these differences were originated: You can run report SAPF190 (in se38) for previous fiscal years, and company code in question- This report should show the differences with message "Errors" in the log. If differences are found then you have to creeate a message and send it to SAP for further analysis and corrections.(only SAP experts can do this kind of corrections - component FI-GL-GL-X)
    Also bear in mind that if you did archiving in previous fiscal years then this would not be an error:
    If you already did archiving and secondary index deletion on this accounts with SAPF048I. So this explains why line items balance and GL summary balance differ ! There is no programm error.
    See consulting note 81489 which describes this issue:
    The balance of an account results from the balance of the open items. In
    connection with an archiving that has been carried out, the line item
    display - used with cleared items - must not therefore be interpreted as
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    display.
    Having archived and deleted secondary indexes ( with SAPF048I )
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    display any more for a line item managed account.
    ( as not all line items are existing any more in table BSIS ! )
    The transactions meant to display the binding balances are  FS10N,
    FK10N and FD10N.
    They also give you the line items details, but only of those line
    items not yet deleted ( by SAPF048I ).
    kind regards,
    Oscar Diaz

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