Data Structure for New General Ledger for mySAP 2004

Guys,
We are preparing to upgrade to mySAP 2004.
mySAP 2004 doesn't have data migration tool for upgrade "classic" ledger to new ledger with advanced functionality. To utilize all new functionality, data should be migrated to the new ledger. Data migration tool in this case should be developed (ABAP). What is the difference in data structure of new ledger?
if anybody who already went thru upgrade and could share some examples of programs for mySAP 2004 upgrade, my e-mail : [email protected]
Thanks in advance,
Mike

Now I have the same problem. Anyone has a solution for this matter?

Similar Messages

  • Liquidity Planner and New General Ledger

    Dear all
    We are in the process of implementing Liquidity Planner and would like any informaiton related to this which may be of help, particularly related to intergration with New General Ledger and providing cash flow statements for segments and profit centres.
    Many thanks
    PRG

    Dear Bernd,
    <b>Document Splitting:</b>
    http://help.sap.com/saphelp_glossary/en/35/88d1bbd1952050e10000009b38f982/content.htm
    An automatic procedure for organizing line items in the document according to selected dimensions (such as organizing receivable lines by profit center). Moreover, you can effect a zero balance setting for selected dimensions (such as profit center or segment). The zero balance setting causes additional clearing lines to be generated on clearing accounts in the document after the document has been created.
    For example, the document splitting procedure is necessary for drawing up financial statements for the selected dimensions.
    <b>Document Split Account:</b>
    http://help.sap.com/saphelp_glossary/en/35/26c626afab52b9e10000009b38f974/content.htm
    A special account that must be created in financial accounting for posting payroll results to accounting. The partial totals for all documents in a posting run are posted to this account.
    <b>Document Splitting Characteristics:</b>
    http://help.sap.com/saphelp_glossary/en/10/046cfff732584989de50edd6fdc1e3/content.htm
    Account assignment object for which document splitting can be performed.
    This characteristic generally corresponds to a field in the data structure of the general ledger.
    Examples of document splitting characteristics:
    Profit center
    Segment
    Business area
    Customer field
    Other characteristics (characteristics that are relevant for application components that receive documents from General Ledger Accounting, such as Controlling). 
    Hope this will help.
    Regards,
    Naveen.

  • GRC and New General Ledger

    Hi,
    I have one very general question, which is not related to any specific
    SAP GRC product.
    Do you see any connection between the SAP GRC products (e.g. Access Enforcer, Risk Management etc) and the "New General Ledger"?
    Are there any risk and compliance relevant issues in the new general ledger, which can be managed using the SAP GRC products?
    Many Thanks
    John

    Dear Bernd,
    <b>Document Splitting:</b>
    http://help.sap.com/saphelp_glossary/en/35/88d1bbd1952050e10000009b38f982/content.htm
    An automatic procedure for organizing line items in the document according to selected dimensions (such as organizing receivable lines by profit center). Moreover, you can effect a zero balance setting for selected dimensions (such as profit center or segment). The zero balance setting causes additional clearing lines to be generated on clearing accounts in the document after the document has been created.
    For example, the document splitting procedure is necessary for drawing up financial statements for the selected dimensions.
    <b>Document Split Account:</b>
    http://help.sap.com/saphelp_glossary/en/35/26c626afab52b9e10000009b38f974/content.htm
    A special account that must be created in financial accounting for posting payroll results to accounting. The partial totals for all documents in a posting run are posted to this account.
    <b>Document Splitting Characteristics:</b>
    http://help.sap.com/saphelp_glossary/en/10/046cfff732584989de50edd6fdc1e3/content.htm
    Account assignment object for which document splitting can be performed.
    This characteristic generally corresponds to a field in the data structure of the general ledger.
    Examples of document splitting characteristics:
    Profit center
    Segment
    Business area
    Customer field
    Other characteristics (characteristics that are relevant for application components that receive documents from General Ledger Accounting, such as Controlling). 
    Hope this will help.
    Regards,
    Naveen.

  • Bapi for posting FI documents for new General ledger accounting

    Hi,
    We have a requirement for posting FI documents for new General ledger i.e for transaction FB01L. Is there any BAPI for the same so that BDC can be avoided.
    The BAPI "BAPI_ACC_DOCUMENT_POST" is used for FB01. Can we use it for FB01L?? As in this BAPI ledger group field is not there. Please suggest.
    Thanks in advance.
    Regards,
    Gaurav

    Hi Sandra,
    Solved myself using the below options.
    If you are using the BAPI - BAPI_ACC_GL_POSTING_POST, you can pass accounting principle field in importing structure BAPIACHE08. The relation between Legder group & accounting principle has to be configured in SPRO by FICO consultant. Once they configured in the system, get the accounting principles and then pass the accounting principle .
    Code:  s_documentheader-acc_principle  = wa_header-acc_principle.
    Reward me if this will help you.
    Thanks,
    Yerukala Setty

  • 0FIGL_V30 only usable for the new general ledger?

    Hello,
    I activated the business content for the cube 0FIGL_V30 / 0FIGL_M30, it looks very interisting, but I am not sure if this cube also run when we use in SAP R3 the old general ledger.
    Can some one answer me, is the business content cube 0FIGL_V30 only usebal when we use in SAP R3 FI the new general ledger?
    Best regards
    Markus

    Hi,
    I am trying to deactivate the New GL but getting an error "view/table v_fagl_activec can only be displayed and maintained with restrictions."
    Please help to resolve this problem
    Regards,
    Narayana

  • Data structure for web-based discussion forum

    Hello all. I have begun work on a discussion board forum but have not yet decided upon a data structure for the hierarchy of messages to be left on a board. Any one have any thoughts or experience in this matter? My first thought was to implement a basic linked list in which every reply to a message would be a new child of a node. This would require I use recursion in some areas for counting and finding messages but I was also thinking that this way I can store each thread object in a simple fashion using serialization.
    SJ

    THE STANDARS DIRECTORY STRUCTURE IS :-
    PROJECT FOLDER
    |
    |---------->WEB-INF
    |------> web.xml file
    |-------> classes (folder to keep java files)
    |-------> lib (folder to keep jar files)

  • Data Protection for mySAP for DB2?

    How to get Data Protection for mySAP for DB2?

    Hi
    see
    <a href="http://www-306.ibm.com/software/tivoli/products/storage-mgr-erp/">http://www-306.ibm.com/software/tivoli/products/storage-mgr-erp/</a>
    Hth + best regards
    dirk

  • New General ledger accounting in ECC 6.0 : Profit centre not in BSID table

    hi,
    I already create new transaction code and report from standard transaction code
    *s_alr_87012168 : Customer Aging Report (Due Date Analysis for Open Items)* and i
    also add Profit center fields into Dynamic selection.
    My problem is, if i run the report using customer account the output is displayed but
    if i run the report with customer & profit centre the output is not displayed. currently i'm using
    new General ledger accounting in ECC 6.0 and when i look into bsid table the value
    is empty for profit centre and the value for profit centre are stored in new table
    FAGLFLEXT.
    do i miss something?
    thanks.

    s_alr_87012168 : Customer Aging Report (Due Date Analysis for Open Items) this is a report generated.

  • Extraction Line items New General Ledger

    Hi all,
    I want to extract the new-General Ledger document line items. However we are not on the correct enhancement package yet on SAP ECC. So we don't have datasource 0FI_GL_14 yet.
    Until we have this new extractor I want to create a full load of a part of the GL (a selection on some profit-centers in the FAGLFLEXA).  Has anyone experience with a custom extraction of the line-items New GL?
    I think a need an outer join of the FAGLFLEXA-BSEG/BKPF. However I cannot use BSEG in an Infoset-query. Doing this join in BW is not an option because I need a field in the BSEG which is not delta-enabled...
    Any ideas?
    Is there a way to get the 0FI_GL_14 before we are on the right enhancementpack in SAP ECC?
    Thanks for your help.
    Regards, Guus

    Hi,
    Ideally we shoulld be in EHP3 in R/3 to make this extractor available.
    But you can try by creating custom extractors and merging the data in a DSO.
    -Vikram

  • Reg New General Ledger

    Hi Experts,
    Please provide me some info about New General Ledger.
    1) What are the major differences between General Ledger and New General Ledger?
    2) What happen to General ledger reports (BI Content Reports) when we implement New General Ledger? Are new General Ledger reports (BI Content Reports) will replace old BI content reports? Are any changes required to existing ones?
    3) Which plugin in ECC?
    Thanks in advance.
    Rgds,
    Ram

    Hi
    BW Release 3.1 makes consistent data extraction in the delta method possible for line items in General Ledger Accounting (FI-GL), and selected subsidiary ledgers (Accounts Receivable FI-AR and Accounts Payable FI-AP) and tax reporting. The extraction procedure delivered with BW Release 2.0B, based on DataSources 0FI_AR_3 and 0FI_AP_3 , can be replaced. This is described in note 0410797.
    1) What are the major differences between General Ledger and New General Ledger?
    The new delta enabled GL Accounts for group reporting like 0fi_gl/ap/ar/tx_4 . New Asset Accounting Turn over ratios for better reporting capability.
    2) What happen to General ledger reports (BI Content Reports) when we implement New General Ledger?
    Are new General Ledger reports (BI Content Reports) will replace old BI content reports? Are any changes required to existing ones?
    the Old reports are existing like that only. Some of them need changes
    3) Which plugin in ECC?
    ECC 6.0 -- http://help.sap.com/saphelp_nw70/helpdata/EN/e8/747140723d990ae10000000a155106/frameset.htm
    http://help.sap.com/saphelp_bw33/helpdata/en/af/16533bbb15b762e10000000a114084/frameset.htm
    Hope it helps

  • Difference Between Special Purpose Ledger and New General Ledger

    Dear All,
    Could any boy explain me the difference between Special Purpose Ledger and New General Ledger?
    Regards
    JS

    Hi
    General Ledger Accounting (FI-GL) (New) The central task of G/L accounting is to provide a comprehensive picture of external accounting and accounts. Recording all business transactions (primary postings as well as settlements from internal accounting) in a software system that is fully integrated with all the other operational areas of a company ensures that the accounting data is always complete and accurate. Beyond fulfilling the legal requirements, General Ledger Accounting also fulfills other requirements for modern accounting: - Parallel Accounting General Ledger Accounting allows you to perform parallel accounting by managing several parallel ledgers for different accounting principles. - Integration of Legal and Management Reporting In General Ledger Accounting, you can perform internal management reporting in parallel with legal reporting. For this purpose, the Profit Center Accounting functions are integrated with General Ledger Accounting. Furthermore, you can generate financial statements for any dimension (such as profit center). - Segment Reporting General Ledger Accounting supports the segment reports required by the accounting principles IFRS (International Financial Reporting Standards) and US GAAP (Generally Accepted Accounting Principles). For this purpose, General Ledger Accounting contains the Segment dimension. - Cost of Sales Accounting You can perform cost of sales accounting in General Ledger Accounting. For this purpose, General Ledger Accounting contains the Functional Area dimension. Features General Ledger Accounting comprises the following functions for entering and evaluating posting data: - Choice between group level or company level - Automatic and simultaneous posting of all subledger items in the appropriate general ledger accounts (reconciliation accounts) - Simultaneous updating of the parallel general ledgers and of the cost accounting areas - Real-time evaluation of and reporting on current posting data, in the form of account displays, financial statements with different balance sheet versions, and additional analyses. In this way, General Ledger Accounting automatically serves as a complete record of all business transactions. It is the central and up-to-date component for reporting. Individual transactions can be checked at any time in real time by displaying the original documents, line items, and monthly debits and credits at various levels such as: - Account information - Journals - Totals/transaction figures - Balance sheet/profit and loss evaluations However, SAP still offers to choose between the New GL and the old Classic GL way of accounting. There are certain limitations in the new GL and clients are adopting to the new gl concept.
    You also see the nsap note 756146
    Regards
    Roobal

  • The New General Ledger and another one abouy Extended Treasury

    Please a manual of The New General Ledger and another one abouy Extended Treasury,
    Thanks in advance
    Olga
    Moderator: Please, use help.sap.com

    With old G/L in R/3, the tables GLT0 (totals), BSEG, BKPF (Line Item) get filled. in BI side u have to use data model
    0FI_GL_1 --> 0FI_GL_1 --> 0FIGL_C01 (for Totals)
    0FI_GL_4 --> 0FI_GL_4 --> 0FIGL_O02 (for Line item)
    With New G/L in R/3, the tables FAGLFLEXT (totals), FAGLFLEXA, BSEG, BKPF (Line Item) get filled. in BI side u have to use data model
    0FI_GL_10 --> 0FI_GL_10 --> 0FIGL_C10 (for Totals)
    0FI_GL_14 --> 0FIGL_O14 (for Line item)
    Functionally, this effects other financial modules like AP, AR, PCA (Profit Center Accounting)
    for ex: with new G/L implented in BI side, this fullfils most of profit center Acounting requirements, and u donot have to implement PCA module seperately.

  • Posting of CarryForward New general ledger

    Hi financial wizards,
    our client uses new general ledger. The accounting block has been extended with some ZZ user fields carrying results determined via substitution exits during posting.
    The additional customer fields are added to the accounting block and are stored on item level (BSEG) as on aggregate level (FAGLFLEXT).
    After the run of transaction FAGLGVTR - 'Balance Carryforward (New)' we have the correct values in the carryforward column of the target account, but values from customer fields are not transfered.
    SAP will not help us with a note at this time; the features may be integrated in a later release.
    Now my question: How to post the carryforward values manually or by program? I know the SAP Carryforward does not create any documents but after the run the Carryforward period (period 0 in former times) is filled with the sums of previous years P+L accounts. Carryforward works correct i.E. for profit center but not for the additional clients fields.
    We need some good ideas as how to overcome this      obstacle.
    Regards,
    Clemens

    Dear Peter,
    I am afraid that you are mistaken. There is lot of difference between the New GL Accounting and COPA. They are entirely different and its utility is also different.
    Here in New Gl, Characteristics means, segment characteristics, for example, business area, profit center, functional area, segment.
    Trust this answers your query!
    Cheers,
    Ashok SINGH

  • De-activate the New General Ledger Accounting

    Dear All,
    I would like to inform to you all that I had activated the "New General Ledger Accounting through the T.code: FAGL_ACTIVATION in the sand box client".
    Now I would like to de-activate the function. Because, it gives some inconveience that the company has upgraded to ECC 6.0, but does not use the New GL concept.
    What should I do for this de-activation?
    I request you all, please kindly help in this regards.
    Thanks with regards,
    Ran

    Hi,
    I am trying to deactivate the New GL but getting an error "view/table v_fagl_activec can only be displayed and maintained with restrictions."
    Please help to resolve this problem
    Regards,
    Narayana

  • Active new general  ledger accounting

    Dear all,
    We use SAP several years, after we upgrade to ECC5.0, I would like to active new general ledger accounting. In the SAP training material (AC210), it said that this action should be performed at new year, not mid-year. however, if I active it, what should I considering? or we can not do that?
    thanks
    Ben Wu

    Hi,
    The New GL a/c has some unique features such as document splitting so that the asssignments to the Business -area [ for example] will be balanced.If this is activated in the year beginning the assignments will be consistent.The Business _Area Balance sheet will be a balanced one.On the other hand,if you activate in the mid-year [ after the commencement of the posting documents] this consistency will be lost[ as the already posted documents will be deprived of the New-GL a/c advantages;thus rendering the advantage of NEW-GL ineffective.
    Hope this helps.
    Regards,
    Ramesh

Maybe you are looking for

  • Acrobat 9 Pro Licence Page

    I have Acrobat 9 Pro. Just tried to re-install on Windows 7 OS but the licence page does not work. The three buttons (decline/cancel/accept) will not respond. How do I fix this?

  • Vendor different address

    Dear All, Is it possible in SAP ? A Vendor can have different address(for example where cheque has to sent) without creating particular Partner function and particular vendor master. In other words, can a vendor master have different addresses? Regar

  • Constantly getting publishing errors in iWeb

    Has any one else experienced publishing errors when trying to publish to your ,mac account?

  • Archiving smart mailbox not complete

    I am using Mail version 3.6 on my PowerMac G4 running 10.5.8. Archiving a smart mailbox with more than 2200 mails results in a mbox file with only slightly more than 800 mails. I haven't figured out yet what the 800 saved mails have in common, compar

  • Having issues with my audio as well as another issue corrosponding to it..

    Hello, hopefully I am posting this subject in the appropriate area. I have been having an issue with my laptop.. I've had it for about three years now, its a satellite C655D .... what it does is, when I listen to anything with audio, it freezes and t