Customisation for business area in vendor balances

Hello friends,
what is the customisation tht needs to be configured to make business area option available in dynamic selection tab in vendor balances report like f.42
I want to show business area wise vendor balances report.
Pls let me knw the path to do it.
Thanks
Sunny

I am also facing the same problem. I need business area wise vendor balances. However as a temporary solution, I have used
S_ALR_87012079 - Transaction Figures: Account Balance for the business area wise transactions to ascertain the business areawise balances.

Similar Messages

  • Business area wise vendor Balance

    Please i want to know the tcode for Business area wise Vendor Balance, and Customer Balance.
    Thanks in Advance,
    Anand

    Hi,
    Vendor balances : Go to T.code S_ALR_87012093 Or S_ALR_87012079 - Vendor Business and click on  Dynamic selections(Shift+F4) double click on  Business Area and put on the business area and save then Execute (F8)
    Customer Balances :  Go to T.code S_ALR_87012186 Or S_ALR_87012169 - Customer Sales and click on  Dynamic selections(Shift+F4) double click on  Business Area and put on the business area and save then Execute (F8
    Thanks,
    Raviteja
    Edited by: Ravi Teja.T on Jan 4, 2012 12:29 PM

  • Business area in vendor balances report

    Hello All,
    In ecc 6.0 is it possible to show FI related fields like business area , document number , gl indicator in Report f.42(vendor balances in local currency).
    In 4.7 it was allowing to do (these options was available in standard report only) but is it possible in ECC6.0?
    Regards,
    Sunny

    NED

  • Business area wise vendor balances report in S_ALR_87012082

    Hello Friends,
    In a Vendor Balances report, the document selection is not available in the dynamic selections and hence i am not able to select the business area to suit the requirement. We have only, vendor master and company code in the dynamic selections.
    Is there any customization tht needs to be set???
    Thanks,
    Sunny

    hi suny,
    In F.42 also i can see the Business area.
    Go to <b>Edit </b> tab and click on Dynamis selections in <b>Document </b>u can see the <b>Business area</b> tab. Double click on it, so that it will move to the right side of the screen, from there u can select it......
    assign me the points.....
    ranjit

  • Configration steps for business area wise balance sheet and p&L accounts

    dear all
    sinario is two business areas say A and B for diffternt two products in one company code which is already running with different business .
    please any one tell me what are the configrations for business area wise balance sheet and profit and loss account.
    what are the steps required and for configration and when enduser come into picture  acceptance test is reqired.
    plese inform me which are the steps required to test enduser test for business area wise balance sheet and profit and loss account
    regards
    babu

    Hello
    No seperate screen available for BA set up.
    Follow the IMG, enterprsie structure, define and assign set ups.
    Assign to SO / Plant /
    Create cost elements and assign cost centers for each business areas.
    Create clearing accounts for readjustments in BS and PL, and execute BA pl and bs adjustment programs for taxes, GRIR and some accounts, where BA is not populated.
    Now you would get seperate BS for each BA
    Reg
    assign points if useful
    dear all
    sinario is two business areas say A and B for diffternt two products in one company code which is already running with different business .
    please any one tell me what are the configrations for business area wise balance sheet and profit and loss account.
    what are the steps required and for configration and when enduser come into picture acceptance test is reqired.
    plese inform me which are the steps required to test enduser test for business area wise balance sheet and profit and loss account
    regards
    babu

  • Business Area wise Vendor & Customer Line item report

    Hi
    We are on SAP ECC 6. Can I get Business Area wise Vendor & Customer Line item report (as like FBL1N)
    Regards
    Debojyoti

    Hi,
    In FBL1N in dynamic selections you can give the business area as the selection parameter otherwise after execution of report with the help of layout you can set filters for business area.
    Go to FAGLB03 give the vendor or customer reconciliation account along with business area. So after you execute the report you can choose vendor code and business area.
    Check once it may help you
    Regards,
    Sankar

  • 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,

  • Checking for business area during posting

    I need to check for business area balancing during posting of documents.
    Eg: if we receive bank interest income for a bank account from a business area Y then the entries should be credited into same business area Y
    Dr Bank - Y
    Cr Interest income - X
    this should not occur
    user wants to have an error message if the entries doest balance the business area while posting a document
    can any one plz tell me how this can be done?(does fi validations help in this?)

    Hi all
       Can any one help me solve this...
    we have several business areas but use only one 'bank interest received' GL account. So when posting the entries it should check for the business area in this gl acccount with the BA in the customer(bank ) acc.
      I tried to create validation at document level but it is not giving the message..
    thnx
    sravanthi

  • Checking for business area while posting

    i have to check for business areas balancing during posting document
    eg., when we get interest income from a bank account under business area X it should be credited to an account with same business area X.
    Dr Bank - X
    Cr Interest income - Y
    this should not occur
    so user wants to get a error message when the business areas does not match.
    Can any one tell how this can be done?(does fi validations help in this?)

    Hi,
    YOu can do it by using the exits/BADIs available with your transaction. Inside the enhancement you can write the code for comare and message.
    What is the transaction you use for that? Try for Exits in trnsaction SMOD and BADIs in transaction SE18.
    Regards,
    Renjith Michael.

  • Business area in Trial balance showing difference

    Hi Gurus,
    As per SAP,the business areas in Trial Balance must be zero but there is difference
    when we run F.08.
    My user is making mistake when they do invoice verfication(IV).How i can configure
    it so that they cannot do such type of mistake.
    Pl advise.
    Regards,
    Samar

    hi samar
    I have faced same problem.We resolve the Problem.
    I run the Business area clearing Progremme
    1 First creat a Gl ACC for Business area clearing a/c in Tcode FS00
    2 U can assign automatic posting to gl acc Tcode OBXM
    3 U run Business clearing progremme tcode F.5D
    4 U can run Post balance sheet adjustments posting tcode F.5E through bacground process
    5 And document will be generated go for FB03 
             Business area clearing A/c        Dr    Chennai
                    To business area clearing A/c     Hyderabad
    Regards
    Prasad.

  • Cash Position Not Updated for Business Area

    Hello Experts,
    The Electronic Bank Statement and the Cash Position has been configured. Also the Configuration setting for Business Area account assignments is duly made in the Cash Management.
    The Cash Position Report in FF7A shows correct values when executed for the Company Code only. Also when executed for Business Area it shows correct values till Electronic Bank Statement file is uploaded. Once the upload happens the Planning Level F0 is not getting any values for Business Area and hence the Cash Position is showing incorrect values.
    The requirement is to have the cash position Business Area Wise.
    For this requirement, the field status for the Business Area has been maintained as required.
    When the amount is paid to the vendor, the Business Area is getting captured and reflected in FF7A Cash Position as well correctly.
    However, when the bank statement file is uploaded through FF_5, the BA is getting captured only for the outgoing clearing account (Planning Level B1) but not to the main bank account (Planning Level F0) thereby the cash position is not getting updated with correct values.
    The Document splitting is not active for the Company Code.
    Need help to identify the reason as to why the business Area is not getting captured for the Main Bank Account upon clearing from the Outgoing Bank Account during EBS
    Thanksu2026.
    Best Regards,
    Vas

    Hi
    Business area updations will not get updated through automatic postings like tax line generations, etc.  You will have to search for some note for updations.  Otherwise while preparing blance sheets for business area, you can make adjustment postings.
    Regards,

  • Automatic payment method for business area wise or profit centre wise?

    hi,
    tell me about customization of Automatic payment method for business area wise or profit centre wise? or where we have to assign
    Regards,
    Munna
    Edited by: munna !! on Jan 18, 2008 7:38 AM

    App?

  • Business area wish Trial balance report

    hello
    In my client They have done all the posting business area wish (In the Company the business area it is nothing but regional office in other city) when they want to tally the regional office wish Trial balance see but the business area wish trial balance is not tally what we do pleases tell me I think one option is hear business area wish reconciliation but I donu2019t know please tell me business area wish reconciliation process << Moderator message - Everyone's problem is important >>.
    Thanks
    Edited by: Rob Burbank on Oct 27, 2010 4:00 PM

    Hello sir
    I set the all configuration but still we have problem , what we do they want to make the Business area wise Trial Balance and it will be match  and it is not possible to Business area wise posting there trial balance become a match I think so , what we do << Moderator message - Everyone's problem is important >>
    Thanks
    Edited by: seemacg on Oct 27, 2010 8:13 AM
    Edited by: Rob Burbank on Oct 27, 2010 4:01 PM

  • Check G/L field status group for Business area

    Hi, when I set the buiness area, I set field status group to required for BA field, the setting always check the BA field on accouting doc. But some G/L is automatic posted, always show "Business area is a required field for G/L account ...",
    Can you help me to slove, thanks

    Check the following issues
    1)Check the status of the other GL accounts field status for business areas.
    2)Check if there is any validation for GL accounts which can be given without business area.
    Hope this helps.
    Regards

  • Fld selectn for mvmt type 673 / acct 407300 differs for Business Area (033)

    Hi All,
    I am implementing the Inetrcompany return process for the client.
    1) I have created a intercompany Return PO (NB doc type) .
    2)  Created a delivery against this PO.
    3) when i am posting goods issue for this Return delivery , i am getting this error "Fld selectn for mvmt type 673 / acct 407300 differs for Business Area (033)"
    Am i doing the steps correctly or i need to handle intercompany return differently?
    thanks
    Akkshaya

    hi
    it will due to the cross field selections in movement type 637 and field selection for gl acct
    any one of it have entry as required and one might not have
    go tothat acct in FS00 check the create/bank tab here see what u havein Field status group
    now go to OBC4 here for ur co co de meke business area mandetory or optional for that Field status group
    also check OMJJ for movemnt 673
    hope it help

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