Define Ledgers for General Ledger Accounting in sap 4.6

hi
am a student in sap, and am trying to configure my system for the best practices guide, however the guide is of ecc 6.0 and my system is 4.6, and have got stuck with the configuration so
could u pleas help me find the path to Define Define Ledgers for General Ledger Accounting in sap 4.6
thanks

they dont exist in 4.6c
You can only do this from 4.6c
Check this website which shows the differences between systems
http://solutionbrowser.erp.sap.fmpmedia.com/
Award points if useful.

Similar Messages

  • Error in " Define Ledgers for General Ledger Accounting"

    Dear Experts,
    We are using EHP5 and we have activated the PSM-FM. After activating
    this, leading ledge u201C0Lu201D has been disappeared.
    As per the notes, I have executed the program
    FMGL_CHANGE_APPL_IN_LEDGERu201D. As per the notes after executing this
    program leading ledger should be appeared. But in this case, it is not
    appeared.
    If I am trying to create new entries, I am getting the error message as below:
    Table FMGLFLEXT may not be used
    Message no. FAGL_LEDGER_CUST099
    Diagnosis
    Table FMGLFLEXT is assigned to a different application.
    In the table u201CT881u201D is having Application u201CFIu201D and Sub application u201CPSXu201D.
    I want to solve this issue to test further scenarios. Kindly help me
    to solve this issue.
    Thank in Advance,
    Regards,
    Aswin

    HI
    Please, refer to the following consulting note:
    1030497   SAP ERP 6.0: Public sector scenarios in new general ledger
    This note contains information about the relevant functions in the new
    general ledger that are specific to the public sector. For Release SAP
    ERP 6.0, it also outlines the technical features in relation to the
    public sector.
    I have also attached the following notes for your reference:
    939736    newGL table definitions for Public Sector scenarios
    906397    ERP2004/05 Public Sector: Migration New General Ledger
    840783    Error message FAGL_LEDGER_CUST 020 or FAGL_LEDGER_CUST 023
    Regards
    Madhu M

  • Scenarios for general ledger accounting

    Hello,
    Is there additional scenarios to assign in FI apart from the following ones : FIN CCA/FIN CONS/FIN PCA/FIN SEGM/FIN_UKV/FIN GSBER as I am looking  into retrieving from FAGLFLEXT the transaction type (RMVCT) and plant fields (WERKS) which I already added to the table but the fileds are blank although the informations is on the document on BSEG.
    So I assume I have to assign additional scenarios to have the data duplicated from BSEG to FAGLFLEX.
    Is it possible to create scenarios and if so how to proceed in custo?
    Thanks a lot for your help.
    Regards,
    Farida

    Hi ,
    I don't want to see document splitted based on Cost Centers.
    I active Cost Center Update scenarios on this month.
    IMG/Financial Accounting (New)/FA Basic Settings(New)/Ledgers/Fields/Display Scenarios for General Ledger Accounting
    Scenarios
    FIN_CCA Cost Center Update
    Scenario Fields
    Accounting documents RCNTR
    After this setting I post one document with cost center.
    I view documents , in the GL view, there is no cost center information.
    It's meaning that the field of RCNTR not update in table FAGLFLEXA .
    Can tell me which IMG I need to set?

  • F.05 Posting for general ledger account .......[Error]

    Hi expert,
    I am running a transaction in F.05 and encounter several error messages such as:
    1 Incorrect account determination: ABC 11111 >> No performance Assistant message
    2 Enter account number with a maximum of 10 characters  No performance Assistant message
    3 Posting for general ledger account 11111 amount >> 
    Performance Assistant message prompt:
    Posting for general ledger account 11111 amount 199,999.00 set in batch input
    Message no. FR008
    Diagnosis
    In an evaluation that affects the financial statements, the posting for company code ABC and G/L amount 199,999.00 SGD, could not be carried out.
    System Response
    The posting is entered in a batch input session.
    Procedure
    Correct the error, for example, missing account determination, and run the batch input session. This ensures that the posting and the evaluation difference noted in the documents agree again.
    Please advise.
    Thank you!

    1.  Financial Accounting (New) > General Ledger Accounting (New) > Periodic Processing > Valuate > Foreign Currency Valuation.
    Check your settings
    2. Check if how you have defined you account groups in OBD4. Most probabaly you have defined 10 digit account length.
    3. Check if the document type is relevent only for batch input.
    Rgds
    Harmees

  • BAPI for General Ledger Accounting.

    Does anyone knows if a BAPI or function that can create and posts documents for GL (general ledger accounting) exists?
    I have been looking on the BAPI explorer but I'm not sure is one of the Bapi's listed under GL can do that.
    I wrote a program using a batch input for trans FB01 but when process the session found some inconsistencies. The behavior of the the screens and fields is different when I process the BI session as when I did the recording.
    So I decided to find a BAPI that can do that instead of a Batch Input.
    Any help will be appreciated,
    Orlando.

    Hi Orlando,
       Check if this can serve your purpose
    BAPI_ACC_GL_POSTING_POST
    Regards,
    Ravi

  • General ledger account planning

    Hi SAP Guru's
    Can any body please hlep me out for General ledger accounting planning?
    What is general ledger planning accounting?
    Can any body explain with step by step configuration for the same?
    Thank in advance
    Amar

    Hi,
    Planning at GL level is possible from ECC 6.0
    Check the link [GL Planning|http://help.sap.com/erp2005_ehp_03/helpdata/EN/87/231ffdb4e9494ea529a99c23aa2a56/content.htm]
    The config steps are very simple and is integrated with Microsoft Excel.
    It is very handy and user friendly.
    Regards,
    Sridevi

  • Standard Crystal Layout for General Ledger Report, Development Limitations

    Hi Guys,
    I have experienced some development limitations in the standard crystal general ledger layout for "General Ledger report" in SAP.
    So if we are running standard "General Ledger" report we have a lot of columns but we unable to get these columns in the standard crystal layout because PLD_Items (XML source file) doesn't contain all of them. For example, I need to add a "Project" into existing standard crystal layout and I can't do that.
    Do you have guys, any ideas how to change PLD_Items source or it's impossible?
    Any help will be appreciated.
    Thanks,
    Sergey Magsumov

    Hi,
    Please refer this thread http://scn.sap.com/thread/642764
    Thanks & Regards,
    Nagarajan

  • Define field group in general ledger accounting

    what is the use of 'define field groups', which comes under general ledger accounting- master date- additional activities, & how can we assign it?

    Dear Siddhi,
    In IMG under
    Financial Accounting -> General Ledger Accounting -> G/L Accounts -> Master Data -> Preparations or
    Financial Accounting (New) -> General Ledger Accounting (New) -> Master Data -> G/L Accounts -> Preparations
    Field groups:
    Screen Fields are grouped into field groups. Field Status would idnentify the staus of particular field where as field status group would identify the status of group of fields.
    Example:
    Account control 
    Account managemen
    Document entry  
    Bank/financial de
    Interest calculat
    Joint venture   
    These groups would intern have fields.
    When creating a G/L account, you must specify an account group.                                                                               
    The account group determines:                                         
    o   the interval in which the account number must be
    o   which fields are required and optional entries when creating and changing master records
    o   which fields are suppressed when creating and changing master data.
    It enables you to control the layout of screens.
    You use account groups to combine accounts according to the above criteria (for example, a P&L account group, asset account group and material account group).                                              
    Hope this will help.
    Regards,
    Naveen.

  • Quantity Material , FI Document NO, General Ledger Account No in SAP Table

    Hi,
    I want to extract the details Quantity, Material , FI Document No, General Ledger Account No from SAP Table.To extract the data from GL is verfy difficult and time consuming.
    please help
    Regards
    Nikunj
    Edited by: NIKUNJPATEL on Mar 28, 2010 11:31 AM

    Dear Christian,
    Thanks a lot for help.
    The required infor is available in BSEG Table itself. No need to go other table.
    Regards
    Nikunj

  • General Ledger Accounting (New): Line Items of the Leading Ledger

    Hello Guys,
    We are planning to implement
    General Ledger Accounting (New): Line Items of the Leading Ledger
    0FI_GL_14
    We are in ECC6 sap_appl 6.00 and BI 7.0 SP 14, BI Content 7.3 level 4.0
    The new GL line item is available
    Financial Accounting: General Ledger Accounting (FI-GL)
    Available as of Release - SAP Enhancement Package 3 for SAP ERP 6.0
    Shipment - SAP NetWeaver 7.0 BI Content Add-On 3 Support Package 08
    Content Versions- 1.0; 703
    Just we have  to install SAP NetWeaver 7.0 BI Content Add-On 3 Support Package 08  and on ECC side SAP Enhancement package 3 for ERP 6.0 --. Financial accounting - SAP APPL 603.
    Is it correct. Can you please confirm.
    Thanks
    Senthil

    Hello Senthil,
    Yes, thats engough, since SAP is recommending the same for that datasource 0FI_GL_14. I think you are already in that version.
    See this SAP help document
    [DataSource Transactional Data: 0FI_GL_14|http://help.sap.com/saphelp_nw04s/helpdata/en/45/4f8e8bbf3f4f63a5dd197ef7d53fa2/content.htm]
    Thanks
    Chandran

  • Purchase ledger and General Ledger account codes

    I am looking for information about how Oracle Financials works in respect of "codes" if that is what they are called within the Module. I am an accountant as well as a developer, and I have equivalent information about a number of other accounting packages. Readers may need to translate some of my terminology into Oracle equivalent language.
    1. My expectation is that the purchase ledger transaction table has some sort of a "purchase ledger account code" column that is used for joins to the purchase ledger master table. If that is so, what sort of values are in that column or its equivalent? Are they values that are codes or original codes? Put another way, what sort of values are there in whatever column is used for joins to the master table?
    2. I have equivalent expectations in respect of the General ledger. What sorts of values are in whatever transaction table column is used for joins to the general ledger master table? Are these general ledger account codes?
    My interest is in how the applications process change, such as a change in the name of a supplier or the inclusion of a general ledger account where there does not seem to be space for one in the chart of accounts. My next enquiries will depend on the answers to these ones.

    Use SAP online library
    In any SAP screen:  Help > Application help

  • Drill Down Report gives an error for General Ledger.

    Hi,
    I'm using the transaction GCAC to compare general ledger with profit centre accounting.While drilling down the report for PCA, the report works fine and gets drilled down to the invoice in SAP.But I get an error when I try to drill down the report for general ledger.It gives an error GI358 i.e. No line items were selected.The diagnosis of the error message shows that pool tables have to converted to transparent tables.
    I want to know whether the error occurs beacuse of pool tables issue and if yes then how can we remove the error.
    <<removed_by_moderator>>
    Thanks,
    Sandeep.
    Edited by: Vijay Babu Dudla on Apr 27, 2009 7:04 AM

    Hi sandeep,
      Check if this is of any relevance to you:
    http://help.sap.com/saphelp_45b/helpdata/EN/0a/8b7415dc4ad111950d0060b03c6b76/frameset.htm
    Regards,
    Ravi

  • 12 digits in general ledger account field

    Hello experts,
    I would like to know if it is possible to add two digits to the field general ledger account.
    I am working for a client who needs 12 digits for this field, so I would appreciate to know if this is possible to accomplish in a standard way.
    Thank in advance.
    Best regards,
    JP

    Probably the reason that the Customer wants 12 digits is because they have a combined field. We had a client who had 15 digits for their where the first two digits represent the Company Code, the next three Business Area, and the last three represented the Cost Centre.
    SAP has separate fields to represent these items. Once you understand what the current GL account is made up off you will find you can easily fit within the 10 digits supplied by standard SAP.
    cheers
    Adrian

  • Asset ledger to general ledger account mapping

    Hi
        please tell me what is asset ledger to general ledger mapping and how is it done? i mean how data is taken from asset ledger and feeded in general leger accounts?
    also tell me which area of general ledger account keeps the values of DEPRECIATION  fields as shown in asset ledger
    Regards
    Rahul Mattoo
    Moderator: Please, read basic SAP material http://help.sap.com/saphelp_erp60_sp/helpdata/en/4f/71da17448011d189f00000e81ddfac/frameset.htm

    Hi,
    Please check transaction AO90. Here you'll assign the GL accounts to post the acquisitions and depreciations and loss/gain on asset sale and scrapping.
    This account determination you maintain in asset master while creating the asset. So the GL's are defaulted for assets.
    Rgds
    Murali. N

  • Please tell me what  is General Ledger Account

    Hi Friends,
        I am new to workflow and working with FI module.Please let me know the flow of FI and what is General ledger Account in detail.
    Please provide me with good documentation or urls etc on FI Accounts Payable module...
    Thanks in Advance,
    Latha.

    Hi Latha,
        Welcome To SDN!!
    General Ledger Account  is a term used in basic accounting.
    http://www.businesstown.com/accounting/basic-general.asp
    fi FLOW:
    Basically there are 5 major topics/areas in FI,
    1. GL Accounting -
    related tables are SKA1, SKB1 Master data
    BSIS and BSAS are the Transaction Data
    2. Account Receivables- related to Customer
    All the SD related data when transfered to FI these are created.
    Related Tables BSID and BSAD
    3. Account Payables - related Vendor
    All the MM related documents data when transfered to FI these are created
    Related Tables BSIK and BSAK
    All the above six tables data is present in BKPF and BSEG tables
    You can link these tables with the hlp of BELNR and GJAHR and with Dates also.
    4. Special Purpose Ledger.. which is rarely used.
    5. Asset Managment
    In CO there are
    Profit center Accounting
    Cost center Accounting will be there.
    Cross-Application Components -> Financial.
    http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm
    you will go through this link
    http://www.sapgenie.com/sapfunc/fi.htm
    Check this Link it out
    http://www.sap-img.com/sap-download/sap-tables.zip
    FI-CO
    http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/FI_tutorial.html
    http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/CO_tutorial.html
    Main Tables in 5 FI/CO :
    5.1 FI :
    5.1.1 Master data
    SKA1 Accounts
    BNKA Bank master record
    5.1.2 Accounting documents // indices
    BKPF Accounting documents
    BSEG item level
    BSID Accounting: Secondary index for customers
    BSIK Accounting: Secondary index for vendors
    BSIM Secondary Index, Documents for Material
    BSIP Index for vendor validation of double documents
    BSIS Accounting: Secondary index for G/L accounts
    BSAD Accounting: Index for customers (cleared items)
    BSAK Accounting: Index for vendors (cleared items)
    BSAS Accounting: Index for G/L accounts (cleared items)
    5.1.3 Payment run
    REGUH Settlement data from payment program
    REGUP Processed items from payment program
    5.2 CO :
    TKA01 Controlling areas
    TKA02 Controlling area assignment
    KEKO Product-costing header
    KEPH Cost components for cost of goods manuf.
    KALO Costing objects
    KANZ Sales order items - costing objects
    5.2.1 Cost center master data
    CSKS Cost Center Master Data
    CSKT Cost center texts
    CRCO Assignment of Work Center to Cost Center
    5.2.2 Cost center accounting
    COSP CO Object: Cost Totals for External Postings
    COEP CO Object: Line Items (by Period)
    COBK CO Object: Document header
    COST CO Object: Price Totals
    Regards
    Kiran Sure

Maybe you are looking for

  • Acrobat 7 Professional Output Preview Preferences

    I think the new "Output Preview" tool in Acrobat 7 Professional is GREAT! Especially the ability to check "Total Ink Coverage". But, what I would like to see is the ability to set a preference for this tool. Seems it always defaults to 280. In our sh

  • Abstract method in Interface

    Why are we able to define abstract method in an Interface? I don't imagine when I must use an abstact method in a interface. Does anybody ever use this?

  • Home Share disappears after i click done

    I am trying to transfer my itunes library from my windows to my new mac. I have turned on home share and authorized both computers, and once i click done, homeshare disappears and does not allow me to see any drop down menus. I am connected to the sa

  • Lots of problems when exporting widescreen video

    I've had similar problems to this before, but for now I'll just describe my current situation. I shot a bunch of green screen footage in HD using a Canon XH-A1. I captured at 1080p in a 1080p HDV sequence. Everything was shot 16x9 HD using the camera

  • Multiple selection of rows and delete the same

    hi how can we select the multiple rows in a table and delete the same. if i have 3 rows i have to select 2 rows and if i press the delete button the selected rows should be deleted. Can any one help me . Thanks Badri