Distribution of Profit Center with JV Documents.

The new GL Profit Center distribution cycle does not create JV Document. Requirement is to distribute Profit Center with JV Documents.
Need to distribute Revenue booked under different profit centers based on the percentage. The combination for distribution can be Co. Code, Posting Period, Fiscal Year, G/L Account and Profit Center. Want to post documents for each line item posted. While running Profit Center distribution cycle, cycle should take the same amount which was posted while generating Sales Invoice.
How this can be resolved.
Thanks
anya

Hi,
Instead of editing the cycles every now and then, better to have ratios by way of SKF. Pl elaborate the ratios, we can suggest how to capture it in SKF.
Trust this helps much!
Cheers!

Similar Messages

  • Profit center in accounting document is differ with profit center in PO

    Dear Expert,
    I have created 2 PO. 1 PO is with material number, and  the other PO is without material number. both PO have account assignment category H ( Cost Center - COGS)
    I also have created 2 MIGO with reference to each of the PO. but when I checked the FI document in Material document I found that the profit center in accounting document is different with profit center in PO - this problem only occur for PO with material number.  Profit center displayed in accounting document is refer to ZOKB9 (user exit)
    Material ledger is active for this material number.
    My question is what may cause the different profit center in accounting document and in PO?
    How to solve it?
    Thanks
    Pauline

    HI,
    possible reasons are :
    In GR document profit center pulled from PO Material :
    If you have ordered with material code, must check profit center assigned into material by mm03/Plant Data2
    If you have ordered without material code, than check cost center assigned Profit center by 1KE4

  • How to update profit center in posted document without profit center ?

    HI,
    I want to know,
    How to update profit center in posted document without profit center ?
    So that i can get my profit center accouting report proper.
    Thanks
    Nilesh

    There is a long story about profit center accounting. I assume you are using Classic PCA, this means you can see the PCA documents.  And the solutions is below:
         For P/L account, even you don't maintain cost element for it, if you maintain the profit center in the application (Frontend transaction), then PCA line items will be generated for this account.
        For B/S account,  if you maintain the default Profit Center with transaction 3KEH/3KEI, the PCA line items will generated for this account also.
      Hints, don't maintain default profit center for AR/AP accounts, these accounts to be treated in periodic processing.
      First, calculate the distribution/adjust by F.5D, then transfer it by 1KEK. for others account rather than AR/AP, use F.5E
    For you case, if this account is P/L account, but you don't maintain profit center in the transaction, you can maintain default profit center as B/S account in 3KEH and 3KEI, then transfer it subsequently by transaction 1KE8.
    Good Lucky!
    Flex Yang

  • FGI0 - FGI5 Issues with Some Profit Center with Line Items

    Hi Experts,
    I am running with some issue, not sure if im missing something. I have created a report form thru FGI4 (with FAGLFLEXT), i have two line items which are related to expenses which are going to cost center and another line item which are related to revenue which is goint to PA segment. In expense line items i just added two characteristics one is chart of accounts and another one is account group for revenue items i have added chart of accounts, account group, profit center group and CO area. later i created a report thru this form and executed, i dont get any values for expense line items, where as for revenue i get the values, i dont why.
    If i remove the profit center group in revenue line items, i get value for both expense and revenue. and i tried this option adding all profit center group for expense line items, then i get nothing for both exp and revenue.
    The reason for having profit center group in line items, is to show reveneue from different profit centers.
    I dont know what i am messing up, can anybody help me out please
    Best Regards
    gj

    Dear Mr Saurab
    Thanks for nice reply . As suggested I passed entry using Tcode 9KE0 and incorporated the Profit Center correction .The document also got posted as type A0 .
    However when we are taking the report for the reference GL & Profit-Center using Tcode S_ALR_86000030 , there is no change in the figure . The figure remain same as appeared before posting of Document using Tcode 9KE0 .
    Kindly guide us on the above please .
    Regards
    B Mittal

  • Wrong Profit Center on Material document (Goods Receipt PO for Asset)

    Dear SAP Expert,
    When our company upgrade our SAP version from 4.6C to ECC6, all Profit Center on Material document (Goods Receipt on Purchase Order for Asset) is filled by profit center DUMMY.
    This condition not happend in our previous version (4.6C). Is there any new configuration on ECC6 for Asset Accounting?
    Many Thanks
    Maickel P

    Hi, Maickel:
    There is a setting for Dummy Profit Center, you can check in SPRO: Controlling->Profit Center Accounting->Master Data->Create Dummy Profit Center.
    And you can refer to the help of this IMG activity:
    Create Dummy Profit Center
    This function lets you create the dummy profit center for the current controlling area.
    The dummy profit center is updated in data transfers whenever the object to which the data was originally posted (cost center, order, and so on) is not assigned to a profit center. This ensures that the data in Profit Center Accounting is complete. You can later send the data on the dummy profit center to the other profit centers using assessment or distribution.
    You create the master record for the dummy profit center using this special transaction. To change or display it, use the normal profit center maintenance functions.
    The name of the dummy profit center is displayed in the controlling area settings for Profit Center Accounting.
    Prerequisites
    The standard hierarchy must exist for the current controlling area.
    Actions
    Enter the name of the dummy profit center. The rest of the steps are the same as when you create a normal profit center.
    Choose the function Extras -> Set controlling area first to make sure that the correct controlling area is set.
    Notes on transporting
    You can transport the Customizing settings for Profit Center Accounting under Transport Connection.

  • Substitution of a profit center at FI document posting

    Dear experts,
    I have created a cost center in which master data no profit center has been indicated. This because I have set up a substitution that, with a user exit check a custom table, retrieves the correct profit center to be used in the posting and populate it in the "Profit Center" field.
    The problem is that the system is then changing the content of the field profit center with the dummy profit center (since no link between profit center and cost center is indicate ad cost center master data), which is not correct.
    Do you know how can I overcome or avoid this automatic substitution that the system is making?
    If I include a profit center in the cost center master data the system is anyway changing the one included in the document by the substitution with the one included in the cost center master.
    Thanks in advance for the help.
    Regards

    Hi again,
    actually OSS note 62417  and 102737 seem to indicate that the  behaviour you observe is intended by SAP:
    We must have done something to our system to change this behaviour and make substitution work. I will try to find out what this might be.
    62417
    Symptom
    In accounting, posting is carried out to a dummy profit center, although the triggering billing document contains an explicit profit center.
    The dummy profit center is set in a line item after a profit center has been explicitly entered first.
    Additional key words
    VF01, FB01, profit center, CO interface
    Cause and prerequisites
    In addition to the profit center, the line item contains further CO account assignment objects, for example, cost center, order or profitability segment. Among the account assignments entered in addition to the profit center there is an actual CO account assignment object, for example, an actual order. In this case, the system requires that you always post to the profit center of this order. If no profit center is assigned to the order, posting is done to the dummy profit center.
    Under such circumstances, the system cannot post to the explicitly assigned profit center, since in the case of a later CO-internal allocation of the order to another order, the profit center assigned to the other order will always be credited. However, debit and credit must occur on the same profit center so that profit center accounting stays consistent.
    Solution
    The effect is authorized:
    Under such circumstances, the system cannot post to the explicitly assigned profit center, since in the case of a later CO-internal allocation of the order to another order, the profit center assigned to the other order will always be credited. However, debit and credit must occur on the same profit center so that profit center accounting stays consistent.
    OSS 102737:
    Symptom
    You want to reset the Profit Center in the document using a substitution (OKC9).Although the substitution is defined correctly, another profit center is written in the document afterwards.
    Other terms
    CO interface, profit center, G_VSR_SUBSTITUTION_CALL, KI339, KI 339
    Reason and Prerequisites
    In the line item, a posting is carried out to a controlling object which is assigned to a Profit Center.However, the substitution places another Profit Center into the line item.
    Solution
    The Profit Center of the line item and that of the controlling object posted to the line item must be identical.A substitution under these conditions is ineffective.
    Header Data
    Release Status: Released for Customer
    Released on: 10.01.2002  16:10:40
    Master Language: German
    Priority: Recommendations/additional info
    Category: Consulting
    Primary Component: CO-OM-CEL-E Postings
    Secondary Components: EC-PCA Profit Center Accounting
    FI-SL-VSR Validation, Substitution and Rules
    Affected Releases
    Release-Independent

  • Change profit center for accounting document on item line

    HI
    I need to change profit center for accounting document on item line, for that purpose I have used user-exit EXIT_SAPLV60B_004, but my new profit center gets latly overwritten in FM CO_DOCUMENT_CHECK (which is called from FM AC_DOCUMENT_CREATE). It gets overwritten from COBL. Is there any way to solve this?

    HI,
    possible reasons are :
    In GR document profit center pulled from PO Material :
    If you have ordered with material code, must check profit center assigned into material by mm03/Plant Data2
    If you have ordered without material code, than check cost center assigned Profit center by 1KE4

  • Access Profit Center with DI

    Hi all,
    It is possible to create or update Profit Center with the DI API in SAP B1 2005 or 2007 ?
    Thanks for your responses.
    Regards,
    Michael

    Hi Michael,
    CostingCode is the attribute for Profit Center. The following code snippet might be some help:
    SAPbobsCOM.Documents delivery = (SAPbobsCOM.Documents)GlobalSAP.oCompany.GetBusinessObject(SAPbobsCOM.BoObjectTypes.oDeliveryNotes);
    delivery.Lines.CostingCode = ProfitCenter; // Profit Center Can be select via select PrcCode, PrcName from OPRC;

  • Default of Profit Center in the Documents on the Basis of GL Accounts

    Hoe to default the profit center in the Documents on the basis of the GL Accounts.

    In 3KEH set up a default profit center for a particular account. If a company break down is needed, set up the account first to dummy. Then select Prctdet. There you assign the GL account to the profit center and company.
    pls assign points if helpful as a way to say thanks.

  • ** Balance sheet at Profit center with Inventory valuation at CoCd level **

    Scenario:
    Inventory valuation is at CoCd level. Moving Average costing.
    There are 2 plants in CoCd 3000.
    1.     I created material 1234 in plant P1 (profit ctr P1) & in plant P2 (profit ctr P2)
    2.     Then, I received a PO - $1000 (100 qty @ $10) in plant P1 & $1100 (100 qty @ $11) in plant P2
    3.     So the Moving average at CoCd is $10.50
    4.     I created a Sales order to ship out 100 qty from plant P1. The PGI posted at moving average at CoCd level i.e.
            Dr COGS $1050
            Cr Inventory $1050
    5.     Now, Inventory GL account value becomes -ve 50 at plant P1 
    6.     MB52 looks wrong as below. It doesnu2019t show -50 in P1 & 1100 in P2
    Question:
    Is there any standard way to accomplish Balance sheets at Profit center with Inventory valuation at CoCd level? 
    - We can do custom development to distribute Inventory balance on profit centers upon receipts or Invoice receipts (i.e. anything that updates the Moving Avg at CoCd) eg in step 2, when $1100 (100 qty @ $11) in plant P2 is received, then post +500 to inventory in P1 & -500 in P2, to make both P1 & P2 at 1050.
    However, this would be huge effort on Development, Testing & ongoing maintenance.
    - Another custom way would be to post to Profit centers a periodic entry to correct Inventory balance to (Qty on hand x Moving Avg at CoCd)
    Please let me know your thoughts. Thanks.

    Hi,
    I don't think so it's happen at valuation at Company code level.
    Inventory Valuation always at plant level only not at Profit center and company code level.
    In your case 2 Plants and 2 Profit centers. There is no chance to different the value at Profit center . Check once in Dev. server with example.
    Regards,
    Kishroe

  • Wrong profit center in accounting document

    Dear Experts,
    There was wrong profit center in accounting document since the user changed the profit center in material master to the correct one after posting is created.
    How to make correction in Accounting and controlling side for the wrong profit center?
    Please advice.
    Thank you in advance.

    Hi,
    If you want to make an update in FI, you will have to reverse the document and post it again. However, if it's sufficient for you to make an internal update in PCA, you can use 9KE0 transaction.
    Regards,
    Eli

  • 4KE5-Actual Distribution for Profit center

    I am facing the below error when I execute the 4KE5 for profit center actual distribution. I have maintained the number range but still the same error is there. I defined number range for Document type OC for year 2008.
    please advise how to overcome?
    "Document number: range not found
    Message no. GA703
    Diagnosis
    An error occurred during document number determination. No range was found for number range object GL_LOCAL, sub-object TTSL.
    System Response
    No document number was determined. Results could not be updated.
    Procedure
    Inform the person in charge of number ranges."

    When you enter GB02, Click on the Overview icon (Shift +F7)
    You should be able to see
    Subobject  Element           Year             From No.               To No.            NR Status
    $$$$                                                         2008                    1           9999999999                   0
                     A0
    where $$$$ is your company code, 2008 or 2009 is the year for which you want the number range, along with the document type (AO)
    If you cannot see this, then you have not assigned the Number Range to that document type.
    Regards,
    Sangeeta
    Edited by: Sangeeta on Apr 8, 2009 4:57 PM

  • Using BADI for changing the Profit Center in FI Document during MIRO

    Hi,
    We have an requirement of changing the profit center in FI/CO Document while doing MIRO which is different than the one which is posted at the time MIGO.The system is not allowing us to do this and the field profit center during MIRO is not changeble mode and the business requirement is to change this through any SAP enhancements or program.
    How can I do this ?
    Is there is any standard BADI or User Exit is available for this.
    Pleease help me in this and will give valuable points.

    Hey,
    Use the BADI INVOICE_UPDATE and try with this. Otherwise you try to create Enhancement point to implement your code.
    Note: Inside BADI we can't change the runtime value. So, try to use enhancement point.
    Rewert back for any clarification.
    Regards,
    Saravanan M

  • Tbb1 - changing profit center in FI document account

    Dear all,
    i need to change the profit center and the movement type when i create the document account with transaction TBB1.
    movement type: I CHANGED THE METHOD  ACCIT_RMVCT_EXIT IN INTERFACE IF_EX_TPM_ACCIF_TRAC And it is ok.
    prctr : I created a new method in interface class but for changing interface i need a development key; is there something that i can do to change prctr or i need to change standard sap ?
    thanks a lot
    Elena

    Hi Elena,
    Probably the class is doing its job OK but FI is not accepting the document because some field is missing. In most  SAP implementations I have seen, the profit center is not informed directly. Instead, you inform the cost center and the system determines the profit center automatically. Can you check if the cost center field is filled in the ACCIT structure when itu2019s sent to FI? Iu2019m thinking some information needed by the CO module in order to post to a profit center is missing.
    Regards,
    Daniel
    Edited by: dmfdmf77 on Mar 30, 2011 12:43 PM

  • ALE-Rollup for Profit Center: missing visible document in document flow

    Hi guys,
    we use ALE-distribution of FI-, CO- and PC-documents. All IDocs are generated in sender system (S) and transmitted correctly to reveicer SAP-system (R). We use PC-rollup functionality in system "S".
    If I have a look at the document flow in system "R" I only can see the FI- and CO-document. My PC-document is not available.
    Checking the posting in PC everything is good.
    What do I have to do to see the PC-document in document flow ?
    I appreciate your help.
    Regards,
    Peter

    Hi
    Please check the following settings in IMG
    IMG > Controlling > Profit Center Accounting > Basic Settings > Set Controlling Area
    Also check Maintain Controlling Area Settings
    In OKKP, check whether Profit Center Accoint indicator is On
    In ALE Distribution Method,Choose options available No distribution from other system,Centeralised or De-centralized or Local.
    http://help.sap.com/printdocu/core/Print46c/en/data/pdf/ECPCA/ECPCA_ALE_154.pdf
    Regards

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