Deriving 'company code' &'currency' with function module ????????

Hi all,
I created a function module to derive 'company code' and 'currency'and use a user EXIT variable for the CURRENCY. And it works.
My issue is : <b>is there any solution that I can avoid to enter CURRENCY (system will pop up a screen and ask for it) when I enter planning data?????</b> I think that this is because CURRENCY (in the selection)is a dependence with my KF-amount. However, I still want to try if I can make it not show up. Thank you.
J.

John,
Try putting the currency in the header of the layout and then hide it in the header characteristics screen.
Thanks and regards.
Rajendra Tewani

Similar Messages

  • Company code currency and controlling area currency

    Hello gurus,
          I have doubt can any body clarify me
    My company code currency is INR where as my controlling area currency is EUR. now my question is controlling gets all the data from functional modules like FI,MM,SD.. all the modules are maintained in INR ( Company code currency).
    but my controlling area is currency is EUR.
         Because of the above scenario what is impact
    Regardsm
    sankar

    Hello
    I have almost similar question...
    When executing a profit center report for a company code with another currency (SEK) than the Controlling Area currency (DKK) I get the figures in DKK. When executing a Cost Center report for the same area I get the figures in SEK because of 'Object currency' in RPC0.
    Will I not be able to get data in Profit Center reports in SEK without make a currency 'translation' where I have to choose an Exchange rate type and date?
    Thanks in advance
    Best Regards
    Søren Kirch
    LOGSTOR

  • Company code currency is different to the FM area currency

    Sir,
    There is 2 companis one in India and one in USA as such the currency diffence is coming and the error comes as :-
    company code currency is different to the FM area currency
    Please resolve
    Also Not able to do the Cost Centre budget upload in KP06

    Hi,
    if both company codes have to be assigned to the same FM Area (which I guess is your scenario), you should define at company code level at least one currency matching the one defined in the FM Area.
    Check the online help:
    [http://help.sap.com/saphelp_erp60_sp/helpdata/en/f0/ca5716260211d28a430000e829fbbd/frameset.htm]
    Within 'Master data -> Enterprise Structure - Organizational Units  ->Organizational Structures - Assignments  ':
    The FM area is derived from the Financial Accounting organizational unit, the Company Code by assigning the company code relevant for Funds Management in your organization to an FM area. One or more company codes can be assigned to an FM area.
    With this assignment, you must note that the currency of each company code assigned to the FM area must match the FM area currency.
    If the 1 local currency (currency 10 = company code currency) of all company codes assigned to an FM area does not match the FM area currency, you must manage an additional local currency in these company codes.  The additional local currencies must have the same currency type and the same currency as the FM area currency.
    You define the additional local currencies in the Customizing of Financial Accounting in IMG activity Define Additional Local Currencies and of Funds Management Government in IMG activity Make Other Settings.
    hope this helps
    Regards
    Mar

  • COPA-Company Code Currency

    Hi,
    In CO-PA, we have operating concern, say abcd, having operating concern currency, say KD. Now, we have activated company code currency, say AD using T.Code KEA0. Now, our requirement is that if we run T.code KE30,  we need report in operating concern currency and company code currency. Presently, we are getting the report in Operating Concern currency only. Any clue...
    Thanks in advance.
    Regards-
    Ganesh

    Hi
    CO-PA supports the following currency types:
    B0 (operating concern currency)
    10 (company code currency)
    When To Use Multiple Currencies
    The answer to this question is demonstrated in the following example.
    An international corporation has its headquarters in the United States and has a subsidiary in the UK. The operating concern currency is the U.S. dollar, while the company code currency of the subsidiary is the British pound.
    If this organization uses parallel currencies in CO-PA, all transactions carried out by the British subsidiary are posted in British pounds in Financial Accounting (FI), but stored in two currencies in CO-PA - pounds and dollars. Both of these currencies are updated simultaneously in CO-PA when each transaction is posted.
    It makes sense to use both currencies when the organization carries out transactions in currencies whose exchange rates change daily (such as US dollars and British pounds). This helps you avoid exchange rate differences and makes it possible to reconcile the CO-PA data with that in FI.
    You can plan in CO-PA in either the company code currency or the operating concern currency in each version. You can convert your planning data to the other currency by copying the data to a plan version that uses the other currency and translating it using a planned exchange rate.
    In the information system, you can display reports in the operating concern currency as well as in the company code currency.
    When Not To Use Multiple Currencies
    If your organization works with average exchange rates by period instead of exchange rates that fluctuate daily, it is advisable not to update both currencies. If you did, you would be doubling your data volume without gaining any additional information. Alternative currency translation functions are available in planning and in the information system to let you translate all values using average exchange rates by period.

  • Impacts of new company code currency

    Hi Gurus,
    We have a company code which is setup 2 months back. We have it setup with USD and this company code is assigend to a controlling area in one -one basis. So it should be fine . But now business want to change the CCode currency.  All G/L and master data is created with USD.  What would be the impacts if we change currency of master data also into new currency?  We have no New-GL . We used special ldgers but just for a specific activity.
    Any thoughts ?
    Thanks,
    GB

    Hi GB,
    If there is no transaction data posted in your company code then you can change the company code currency and in GL Mater data. But if transaction data is already been posted then its better to create new company code with new GL Master data and currency setting and upload transaction data posted in last two months.
    Regards,
    Santosh

  • Seeking Information on Company Code Currency in COPA

    Greetings all,
    I am working on a project to activate the company code currency flag in COPA (attributes under KEA0). I have activated the flag in a test system and as expected I now get two PA docs, a 10 and a B0. The oddity begins when I compare PA docs created from SD and FI. In my example I am creating documents in three different currencies; 1) transaction curr = SEK, 2) company curr = EUR, and 3) operating concern curr = USD. I am on ECC 6.0 EP 4.
    If I create a PA from a billing document (record type F) then the data looks exactly as I expect it. The foreign currency key (FRWAE) is SEK. I can see the transaction currency is SEK with value fields in SEK, I can see the company currency is EUR with an exchange rate of SEK <-> EUR along with value fields in EUR, and I can see the operating concern currency is USD with an exchange rate of SEK <-> USD along with value fields in USD.
    However, if I create a similar document with FB50 (record type B) the foreign currency key (FRWAE) is EUR instead of SEK and the exchange rate to USD is 1 (KURSF) instead of the actual exchange rate. I only get company currency and operating concern currency values. The values in the value fields are correct per currencies eventhough the fx rate is whacked. In FI the transaction currency is SEK but you would never know it in PA. The really bizarre thing is when I go to display the PA doc (I am branching from the FI doc) it behaves very odd. The default view is Op conc which is in USD. If I click the foreign curr button it displays USD. If I click the company code curr button it displays EUR. If I then go back to the foreign curr view it is now in EUR???
    I am hoping someone can explain the difference between the two, or at least point me to a good resource. If there is a rational reason for this system behavior then I am hoping someone can suggest some way to manipulate the data.
    Many thanks,
    Chris

    Hi,
    CO-PA will only store values in either operating concern currency or company code currency(if active). For FI postings CO-PA fills the field foreign currency in the CO-PA line item with the currency with the currency of the company code. The reason for this is that the currency conversion for FI documents is that the currency conversion for FI documents is executed with the
    company code currency and the field FRWAE is always filled with the currency that is used for conversion. This is designed in order to allow a reconciliation between FI and CO-PA. CO-PA uses company code currency as the base to convert to operating
    concern currency for FI postings. The field FRWAE is not intended to reflect the transaction currency. It is just used to store the currency from which the conversion to the currency of the record is made.
    In case of direct postings from FI/MM CO-PA takes over group currency directly if group and operating concern currency are identical. As group currency is translated in FI with exchange rate ( according the settings in transaction 'OB22' for company code) you'll find this exchange rate in CO-PA too. I have attached SAP Note 604936 to this ticket that describes the translation logic used in PA for postings from FI and MM.
    The currency translation from SD however works differently as described in SAP Note 429517. In this case PA will not consider any values in group currency. Values in operating concern currency are either translated based on transaction or company code currency using exchange rate type 'M'.
    Hope this will help.
    Best regards, Takashi
    Edited by: Takashi Kotani on Mar 6, 2010 2:24 AM

  • Company code currency balance not equal Group currency balance

    Dear experts,
    Some of our account balances are inconsistent bewteen the company code and the group amount. This company has the same currency in both the company code and group currrencies which are USD. The exchange quotation is also setup in OB08 with 1 in both dir / indir quote. Below is an example for a HKD expenses with a HKD AP account.
    GL accounts setup with same currency as company code / group currency.
    Exchange quotation setup in OB08 for HKD to USD is dir.qut. 7.8 and indir.quot 7.8.
    After translation, the result supposed to be,
    In Document currency, Dr expenses HKD780, Cr AP HKD780
    In Local currency (company code currency), Dr expenses USD100, Cr AP USD100
    In Group currency, Dr exepnses USD100, Cr AP USD100
    However, the current result is,
    In Document currency, Dr expenses HKD780, Cr AP HKD780
    In Local currency (company code currency), Dr expenses USD100, Cr AP USD100
    In Group currency, Dr exepnses USD110, Cr AP USD110
    The amount in local and group currency should be the same supposedly as they are in the same currency.
    Have anyone ever experienced the same situation?

    Thanks all,
    I have checked that both 1st local currency (company code currency) and 2nd local currency (group currency) are USD.
    Our user also didn't change the group currency amount during data entry as there seems no way to alter the amount as it is greyed out.
    Is there any other configuration or system flow that may be configured to post these 2 currency amount in a different way of translation?

  • Conversion error in company code currency for general costs activity

    PS Experts,
    Please guide me in the following , The below message appeared when i created a customer project in CJ20N in our new DEV server
    This is the scenario
    Create customer project with 3 WBSE, each one has 3 NTW and 3 activities, i maintained the cost with currency same as project curr and company code currency in the first two act.
    in the third activity (General act)  in cost tab i put a currency is different than project currency& company code currency and tried to save the project, the message appears.
    note: Company code curr same as projet curr & controlling area curr
    Is there any setting is missing in customizing
    Conversion error in company code currency for general costs activity 0010
    Message no. CK443
    Diagnosis
    For cost activity 0010, a conversion error occurred in the currency of the company code to which the material is assigned.
    Procedure
    Check the global settings in Customizing to be sure the exchange rate for conversion into the company code currency is correct
    Thanks

    Hi Yassin,
    I believe you have maintained exchange rates for rate type M as per your config in OPSB.
    Now do one thing, maintain the conversion rate for P for those currencies in OB08 and then save your project.
    This will solve your problem.
    Regards,
    Kabir

  • How to insert a code for a function module into a Customer Exit Variable?

    I have two Key Figures viz., Net Prchs Rtl, and Net Prchs Unt. Both these Key figures have This Week (TW) and Last Week (LW). There is a variable for This week but there is no variable defined for Last week.
    I need to get data in the column LW (Last Week) for both the key figures.
    In function module EXIT_SAPLRRS0_001 one of the functions I have is:
    Get the previous Fiscal Week
              CALL FUNCTION 'DATE_TO_PERIOD_CONVERT'
    I need to create a new variable to get values in the Last week column for different key figures and use function “'DATE_TO_PERIOD_CONVERT'” in that variable.
    Can anyone please explain me the steps as to how to use a function module in a variable so that when the variable is used in a key figure it shows the output.
    In other words what I want to know is after creating a Customer exit variable of type Characteristic value how do I refer the above mentioned function moduel and insert the code for the function module into the Customer exit variable that I created.
    Thank you.
    TR.

    Hi Wond,
    Thanks a lot for your reply. I understand what you mean but I have never done this before so can you please explain it in a detailed manner. I have the following code:
    Get the previous Fiscal Week
              CALL FUNCTION 'DATE_TO_PERIOD_CONVERT'
                EXPORTING
                  i_date         = ld_date
                  i_periv        = lc_periv
                IMPORTING
                  e_buper        = ln_poper
                  e_gjahr        = ln_bdatj
                EXCEPTIONS
                  input_false    = 1
                  t009_notfound  = 2
                  t009b_notfound = 3
                  OTHERS         = 4.
              IF sy-subrc <> 0.
                MESSAGE ID sy-msgid TYPE sy-msgty NUMBER sy-msgno
                WITH sy-msgv1 sy-msgv2 sy-msgv3 sy-msgv4.
              ELSE.
                lc_poper = ln_poper.
                CONCATENATE ln_bdatj lc_poper+1(2) INTO wa_e_t_range-low.
                wa_e_t_range-sign = 'I'.
                wa_e_t_range-opt = 'EQ'.
                APPEND wa_e_t_range TO e_t_range.
              ENDIF.
            ENDIF.
          ENDIF.
        ENDIF.
    I believe I should now use the above code in my customer exit variable. If that's right can you please explain me the steps as to how should I do this so that the variable gets populated.
    Thank you.
    Regards,
    TR.

  • Hungary VAT report in HUF - company code currency is EUR

    Hi,
    We have the below requirement from our client.
    Company is incorporated in Switzerland and is having a plant in Hungary.
    We have decided to have 2 company codes one with country key as CH(switzerland) and the other with country key as HU (Hungary).
    The client wants to have the currency for the Hungary company code as EUR (Company code currency)
    Requirement: VAT report generation in currency HUF for the Hungarian company code. While accounting should consider the European bank rates for converting foreign currency Invoices into EUR, the VAT report should consider the Hungarian Bank Rates for converting all Invoices into HUF. This conversion should be on daily rates for all the invoices.
    There is an option to activate report generation in an Alternative currency (RFASLD15). However, the translation is made on a fixed translation date to be given in the report selection criteria.
    Any suggestions to meet the requirement would be of great help to us.
    Many Thanks
    Hema

    Hema,
    Please activate hard currency(Local currency 3) as HUF, so that you can have transaction amounts in HUF also eventhough your company code currency is EUR.
    Please check F.12 report for your VAT requirement.
    Here you have to capture BSEG-DMBE3 value as per your requirement.
    Rgds
    Muarli. N

  • Report Similar to CN41N which is having values in Company Code currency

    Hello All,
    In my landscape Controlling Area Currency is GBP & Company Code Currency is EURO.
    I want to see all the values in CN41N in EURO only but not able to see the same because as per standard SAP it will show in GBP only.
    Can anyone suggest me any other report or any settings in CN41N itself so that i am able to see values in EURO.
    Thanks & Regards,
    Ankush Sethi

    Hello,
    Yes, i tried with RPPO as well but still not able to see the values in EURO.
    Thanks,
    Ankush

  • Company code currency change over

    Dear all,
    Want to know information about company code currency changes.
    Our company code currency is SGD and now want to change to USD.
    Our fiscal year is Jan-Dec and we are in SAP 5.0 version.
    Can you let us know whether itu2019s possible to do the change?
    If so, how and can we perform this activity in the middle of the year.
    How to take care of the open items like PO,SO,Vendor ,Customer, which we have already posted in the system with our SGD currency.
    And if not, do suggest and alternate/workaround.
    Heard about,  that this can be achieved with PARALLEL CURRENCY activation.
    Not having much idea about Parallel Currency.
    Do suggest.
    Regards,

    Hi,
       A change of the company code currency is possible. The change is only possible as at year end (the actual running of the programms can be done mid-year provided certain customising has been done prior to the first posting in that year).
    All items will get changed from old local currency to new local currency.
    You can read the documentation in Spro > Cross-Application Components > EMU > Local Currency Changeover.
    This is a very complex procedure so be sure to read all the documentatin first.
    Kind regards

  • KE30 report display in company cod currency

    Hi,
    We have two company code:
    1. In China, currency:CNY, controlling area:A  operatiing concern:C,   Operating concern currency is :CNY
    2. In HK: currency:HKD, controlling area:B  operating concern:C
    So two company codes having different currency, two controlling area, but same operating concern.
    Now for HK company code, every COPA posting, have two lines in CE1R***, one with currency:CNY with currency type:01 operating concern currency, one with currency:HKD with company code currency.
    My question is for KE30 report, for HK company code, how to directly show in HKD? If using currency translation, the number will not show correctly.
    Thanks.

    HI,
    the report creation/definition must be made for operating concern currency (CNY) and comp. code currency, this allows to select the currency type (10 or B0) during report execution.  Zhis happens when you are executing KE31 to create a new report and cannot be changed if the report is already created.
    If your report was only created for operating concern currency you cannot display comp. code currency values.
    Best regards, Christian

  • CJ718 - Currency in requesting company code must be company code currency

    Hi Colleagues,
        I need to define in the WBS element "Requesting cost center field" in (CJ20N tcode) the cost center with different currency and controlling area, howerver the system does not allow and the follow message was showed "CJ718 - Currency in requesting company code must be company code currency".
        I would like to know,  is this possible? How can I do it?
    Kind Regards,
    Lima, Vanderlin.

    I dont think this is possible. Read this Note 201049 - Different company code currencies in WBS element , This note doesnt solve your purpose it is to correct if system allows you to assign different company code currencies and it clearly says that if you have different company code currency in a WBSE then you will have problem in settlement, so this is not allowed.

  • VirtualProvider with Function Module

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    Can anyone tell me how to create a VirtualProvider with Function Module?
    I have read the How to guide"How to Implement a VirtualProvider with service",but I can't go throw the source code.
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    Thanks a lot!
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    Hi Jin
    This question does not belong to this forum, close it and post it in the appropriate one.
    Also, please remove your email address from the thread as it violates the forum guidelines.

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