Data in BSIS/BSAS for a non-open item managed account

Hi
We have a GL account (Bank account) which does not have open item management checked in its master data,
Still I can find line items for this account in table BSIS / BSAS
How is this possible ? and if an account is not open item managed, how do the records move from BSIS to BSAS ?
Regards
Sachin

Non Open Item Account should have entries only in Table BSIS and no entries in BSAS. Check if there was OpenItem mgmt earlier but deactivated later.

Similar Messages

  • Provision for Amortisation  as open item management account??

    Hi Friends,
    related to previous question ..what about the Provisions accounts
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    Provision for Staff Remuneration A/c
    Provision for Taxation
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    Provision for DIVIDEND TAX PAYABLE
    Provision for Interim Dividend A/c
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    Regards,
    Nazrul

  • Reset & reverse document with open item managed and none open item managed

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    Moderator: Please, avoid asking basic questions

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  • Change GL acc to NON open item Management

    Good day all
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    Hi Gopal,
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  • Clearing Non Open Item Managed documents

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    Moderator: Search SDN and certainly don't post threads, which were locked before, under different names. This is violation of SDN rules

    HI,
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    RFSEPA04
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  • Fagl_fc_valu for open item managed accounts

    Hi,
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    Experts,
    We need to change a g/l account from Non - Open Item Managed to Open Item managed or in other words enable the Open Item Management for an account.
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    HI,
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    RFSEPA03
    RFSEPA04
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    hope this is clear assign the points.
    with regards
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  • Post open item management account into non-leading ledger independently

    I want to use FB50L to post an open item management account balance value into non-leading ledger, the system throws out an error.
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    Hi,
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  • Open item manage accounts clearing problem

    Dear experts,
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    butter to search for OSS note or write service market place

  • Open item management accounts

    Hi
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    ramesh

    Hi
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    We can use 'Provision for Outstanding Expenses' a/c as 'Open Item Management', where provisional expenses are booked and cleared upon receipt of actual invoices, like electricity,rent,telephone etc.
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  • Archiving documents having open item managed accounts

    Hi All,
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    Thanks and Regards,
    Satya

    HI,
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  • TDS on Professional Fees as open item management account??

    Hi,
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    shashi

    Hello,
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    Regards,
    sankar

  • Posting in Open item managed accounts in Non Leading ledger

    Hello,
    I would like to know how can we post into a open item managed G/L account in the non-leading ledger only.
    If it is not possible, then what could be the reason for the same?
    Regards,
    Sameer

    As per the New GL design it is not possible to post an entry specific to non lead ledger  to a GL which is open item managed. The reason is very clear. In non lead ledgers we do not do clearing we only do adjustments entries. Clearing can only be done in a lead ledger. Ask yourself about making a payment to a vendor from non lead ledger. It is not at all sensible.
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    SAP is working to extend the clearing functionality to non lead ledgers but I am not sure which enhancement pack will have this feature. Till that time you need to follow the solution as described above.
    Hope this helps

  • Change GL Account from Open Item Managed into non-Open Item Managed

    In the former R3 environments, release 4.6 there was the program RFSEPA03 to turn off open item management.
    However, in ECC 6.0 this program is blocked and there seems to be no possibility to change a GL account back to non-open item mgt.
    Please comment,
    Kind Regards WR

    Yes .. I Agree with you ...
    Actually I accidently, did not check the GL first, but run the ZRFSEPA02 first .... because of that, my GL is check as an open item and as a recon account too ...
    any solutions ?

  • Parallel ledger - posting in one ledger only - Open Item managed account

    Hello all,
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    Is there any workaround for this?  How do we get around this?
    Regards
    Sukumar

    Hi Sukumar,
    According to my understanding, directly postings to GLs is possible in case of 'Open Items Managed' GLs. To ensure parallel accounting with different GAAPs, you must have defined Leading & Non-leading Ledgers. You can pass entries directly to Non-Leading Ledgers to ensure compliance with the relevant A/cing stds.
    Regards,
    Amish.

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