Document split activation in FI integration with mm
Hi Guru's
my clint want to do document split for FI.If we do so what will be the impact on MM and SD.
Plz help me if their is any material regading this issue.
Thanks ,
With Regards.
Hi
What is the document that you are splitting, Usually this is used for splitting of accounting documents of Vendor. Vendor line items are split based on some rules. There is not much implications in MM by using this. Check with Finance.,
Thanks & Regards
Kishore
Similar Messages
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FI CO Integation: Document type for real-time integration with FI not there
Dear Gurus,
This is the error message that I got and I am looking for a solution could anyone help me please.
I was doing simultaneous costing and doing Product Cost Collector reports.[KKBC_PKO]
This is IDES 6.00 ehancement package 4,
How do I define a document type for real-time integration with FI?
Message no. FAGL_COFI003
"Diagnosis: For CO documents to be transferred into Financial Accounting in company code 1000, -the system requires a document type".
How do I go about with this, need steps to resolve this please
Thank you
SaleemHi,
1. Check which variant is assigned to your company code '1000' using this IMG path
IMG->Financial Acctg (New)->Financial actg global settings (New) ->Real-Time integration of Controlling with Financial Actg ->Assign variants for Real-time Integration to Company codes.
2. Check if document type is assigned to the variant assigned to your Company code in this path:
IMG->Financial Acctg (New)->Financial actg global settings (New) ->Real-Time integration of Controlling with Financial Actg -> Define Variants for Real-Time Integration.
Hope this helps. -
Document Splitting - Active and Passive
Hi,
What is the difference between active and passive split?? Please explain with an example.
Regards
SatyaActive document splitting means document splitting basing on the Business Transaction/Transaction Variant assigned to the document type and the Item Category assigned to the GL account. System determines and does the splitting of each line item in the document, basing on the configuration you have done. You have control over active splitting.
Passive splitting is something that you do not have control over. System takes the document splitting characteristics from the original document that it is referencing, for example, a reversal document that always references to the original document that is being reversed. The configuration that you do does not affect passive splitting.
See the following example.
http://help.sap.com/erp2005_ehp_04/helpdata/EN/49/11da8b97244a19e10000000a42189b/content.htm -
A/R balance report by Customer by Profit center (Document split activated)
Dear New-GL gurus
I activate New-GL splitting.
For clearing, it seems clearing will be done by not split profit center level.
Thus, if I’d like to see “A/R balance by Customer by Profit center”, I cannot see.
(In BSID or BSAD, profit center is blank, but in faglflexa, profit center is entered by document split)
Is there any report to see it?
YoshiHi Yoshi,
Use mentioned report where you can see PC wise outstanding
S_AC0_52000887 - Receivables: Profit Center
Regards
Mani Kumar -
Document on Positive Time Management & Integration with payroll
Hi,
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Thanks in advance.
AjayHi Chandrashekar,
Can you please advise how actually the transfer of clock times from time recording terminals to SAP R/3 will work?
I read from help.sap.com that there is a SAP certified CC1 interface (BAPI based) which can be used for this purpose. However, in such a case, the time recording terminals should be SAP CC1 certified.
If the time recording terminals are not SAP CC1 certified, then what is the method to be used? Will we write a custom BDC program in this scenario and what all should be considered in functional specification of such a BDC program.
Please advise.
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Vianshu -
Document\Approach\Guidance for ATG Integration with Webcenter Site
we have a requirement where pages/templates/content will be created in Webcenter Sites and will be consumed in ATG. I am looking for some Document\Approach\Guidance for Webcenter Site and ATG Integration
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Document splitting with non leading ledger activation
Hi experts,
Thanks for your advance help. we have activated document splitting in my company code pofit center is deriving proprly. for below entry.
1 31 503402 Vinayaka International Ltd. 4100 3,000.00- 0.00
2 40 53080043 ELECT.CHRGS-NON PLT 4100 2,000.00 0.00 4206
3 40 53080043 ELECT.CHRGS-NON PLT 4100 1,000.00 0.00 4207
system is deriving profit center like below.
000001 31 16011002 SUNDRY CREDITORS 2,000.00- INR 4207
000002 40 53080019 BAD DEBTS WRITTEN OF 1,000.00 INR 4207
000003 40 53080043 ELECT.CHRGS-NON PLT 1,000.00 INR 4206
000004 50 19910001 INTER BRCH/DIVN A/C 1,000.00- INR 4206
000005 40 19910001 INTER BRCH/DIVN A/C 1,000.00 INR 4207
in the same way i have activated document splitting in another company code with non leading ledger activation. and posting same transation
1 31 503402 Vinayaka International Ltd. 4100 3,000.00- 0.00
2 40 53080043 ELECT.CHRGS-NON PLT 4100 2,000.00 0.00 4206
3 40 53080043 ELECT.CHRGS-NON PLT 4100 1,000.00 0.00 4207
system is not deriving pofit center and it is giving the below error.
Balancing field "Profit Center" in line item 001 not filled
please advise any configration i have missed out.
any quaries please please let me know.
RegardsHi Venkat,
Even in the first transaction, the profit center has not been determined by document splitting
if the profit center was derived by document splitting we would have seen 2 items for sundry creditors in the GL view
So check your document splitting settings for the corresponding document type, and transaction variant
the account category which includes vendor's recon accounts should be included in "item categories to be edited" list
Regards
Sach!n -
Document splitting: vendor invoice with VAT cannot be posted because of tax
Hello
I try to post a vendor invoice with document splitting active. I can post a document without VAT but with VAT (input tax 21%) I get the message "Posting possible only with zero balance" balance; balance on other line items is 210 EUR.
001 31 0000105675 Vendo 1.000,00- V4
002 40 0000601000 Purchase of consuma 500,00 V4
003 40 0000601000 Purchase of consuma 500,00 V4
In customizing for document splliting I have following categories assigned to the GL accounts:
100 399999 01000 Balance Sheet Account
411000 411000 05100 Taxes on Sales/Purchases
440000 441000 03000 Vendor
451000 451000 05100 Taxes on Sales/Purchases
500000 580000 01000 Balance Sheet Account
600000 699999 20000 Expense
700000 759010 30000 Revenue
The field status group of the tax gl account has following field optional: cost center, profit center, segment (on which document splitting is require)
What should I do so that the document splitting works also for the tax accounts so that they appear in the gl document?
kr
ArjanHi,
This problem does not seem to be of Document Splitting. When you post the document, balance of the document does not come to zero. This problem somewhat relates to Parrelel currency configured.
Please depict entire scenario. Let me know in which currency you are posting document and which transaction and what message system is shooting.
Straight solution can be you manually change the 210 EUR balance into document by clicking on more data.
Regards,
Chitnan Joshi. -
Simple Finance with NewGL document split
Hi Gurus!
With the "S for Hana" appraoch I am wondering if Simple finance includes NewGL Document split combined reporting views?
Will I be able to analyse my line items including FI & CO dimensions before and after GL document split?
In other words, is simple Finance able to give access to BSEG, COEP and FAGLFLEXA? in the same view?
I am also not sure about the reporting tool giving access to these views: I know for sure that Hana live will give this access but would I be able to access these combined views with other reporting tools like ECC querries (SQVI), standard ALV reporting (FAGLL03...)?
Thank you in advance for your help,
Best regards
PascalPascal,
NewGL features available in sfin depends on whether new GL was activated in FICO before the migration to sfin.
If you're migrating from FICO with new GL and document split activated, then the behaviour will be the same in sfin as before.
If you're moving directly from classic GL, there are limitations on the new GL features in sfin: There is no document splitting (to be delivered in the roadmap in Q4) . If you wanted documents split now in sFIN, you would have to migrate first in new GL, activate the document split, and then migrate to sfin.
In sfin v1.0, BSEG, COEP and FAGLFLEXA remain as table. This will however change in v2.0.
In sfin 1.0, there is a logical FICO document, but still 2 physical documents remain. As well, this will evolve in v2.0.
Finally, regarding reporting, some transactions have been replaced by Fiori apps. When this is the case, the transaction is no longer available, and you get a pop up window inviting you to go to the Fiori launchpad. Otherwise, the access to the old transactions remains. With the delivery of the newer versions of sfin, more and more transactions will move to Fiori.
Hope it helps,
Arnaud -
Deactivation of Document Splitting
Hi Gurus,
We are doing are integration testing and having document splitting activated. But now i understood that the design which client is having, profit center is required in Profit and loss items and in balance sheets, profit center is not at all required.
Can i deactivate document splitting now. I hope it will not having big impact on our cycle (Which included OTC cycle impacting COGS and Revenue accounts). Cost accounts will get profit center from WBS or cost centers. And for revenue account profit center should come from WBS or the defaulted one.
I hope i am right. Please suggest what can be done.
Waiting.
Thank YouHello Mohit!
Yes, you can deactivate document splitting per company code.
In order to deactivate document splitting use the following transaction:
SPRO - Financial Accounting (new) - GL Accounting (new) - Business Transactions - Document Splitting - Activate Document Splitting. Then go to tab Deactivation per company code and select the checkbox for those company codes for which you would like to deactivate the document splitting:
Hope it helps!
Best regards,
The Wirtschaftsmann -
Document Splitting: Assignment of Constant
Hi Experts,
We are having an issue with document splitting for Incoming Payments:
We have configured the following:
A. Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Edit Constants for Nonassigned Processes
- Assigned a Default Profit Center to Controlling Area
B. Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Activate Document Splitting
- Document Splitting Active for Method 0000000012
- Inheritance is on
- Standard a/c assignment is on, and the constant in A above is assigned <<<ISSUE>>>
The F1 Help on the 'Standard a/c assignment' check box states "Do not set this indicator if you have defined it as a required entry field in the activity for defining document splitting characteristics ."
Profit Center is flagged as required in "defining document splitting characteristics "
What is the risk of doing the above?
Posting are as follows:
1. Post Customer Invoice - Profit Centre is derived from GL line
Posting Key
Posting Type
Profit Centre
Amount
01
Customer
571305
100
50
GL
571305
100
2. Incoming Payment via Bank Statement - Profit Centre is derived from Constant
Posting Key
Posting Type
Profit Centre
Amount
40
GL Main Bank
Default from Constant
100
50
GL Sub-Account
Default from Constant
100
3. Posting to Bank Sub A/C and clearing Invoice from Customer - Profit Centre is derived from Customer
Posting Key
Posting Type
Profit Centre
Amount
15
Customer
571305
100
40
GL Sub-Account
571305
100
4. Clear Bank Sub-Account via SAPF123
Posting Key
Posting Type
Profit Centre
Amount
40
GL Sub-Account
DocSplit
100
50
GL Sub-Account
571305
100
40
ZeroBal. Clear Acct
571305
100
50
ZeroBal. Clear Acct
DocSplit
100
Thanks for your assistance.Hi,
Since you have not provided any profit center during bank statement upload (as it just a posting, not referring any line item), profit center should be derived from either default (FAGL3KEH) or from constant assignment.
I would suggest to update the profit center through EBS search string (target as 'profit center) based on any reference from bank statement instead of going for a constant only for this scenario. You may refer below link for search string set up.
Define Search String for Electronic Bank Statement - Bank Accounting - SAP Library
http://scn.sap.com/docs/DOC-30234
Regards
Shanid -
Open items migration for document splitting
Hi,
We have done document splitting in 2011, Now all open items before 2011 to be migrated into the new fiscal year (2011).
Please suggest us how to migrate all the open items into new GL with document splitting activated?
Eagerly waiting for the reply.
Thanking you in Adavnce,
RaghuvirHi Raghuvir,
There were critical reasons why the split of the open line items of prior years has not provided within the standard migration scenarios.
The structure and the account assignment information of the already posted documents from the prior years is probably does not satisfy the new document splitting. Therefore it is not possible to split the documents form phase 0 (migration cockpit) based on the new the splitting rules set in the customizing.
It is also too critical to allow a customer based split in the BAdI since it cannot be garanteed if the sum of split amounts in all the
currencies still equal the old amount. Furthermore it cannot be traced any more where the split amounts are coming from which would lead to a problems regarding the auditability of the new g/l migration.
The only possiblity that SAP can offer to the customers is to take over the split amounts from the already existing SL ledgers which have been used before the migration to new g/l.
I believe that this answer your inquiry. I am sorry that I cannot give you a more positive answer regarding your issue.
Kind Regards,
Vanessa. -
Retirement of Assets - Document splitting
Dear All
I am trying to post retirement of multiple assets with cost centers belonging to different profit center through F-92. I have document splitting activated, but the Customer line item is not getting split according to the profit centers of the assets so retired and it is giving a Balancing profit center error and so the posting of retirement of assets cannot be taken place.
Please suggest.
Thanks & regards
NiteshHi Nilesh,
For Customer's & Vendor's it will not update profit center field via Entry View (FB03)
Whereas it updates via General Ledger view (FB03)
With reference to other line items of P&L and Balance sheet GL accounts Vendor/customer Profit center field updates.
It seems that in your case, to be retired all assets codes do not have cost center OR Profit center not assigned to all cost centers.
Please check all the assets codes have cost centers OR all cost centers having Profit centers.
Table ANLZ for checking Cost center against Asset code
and CSKS for checking Profit center against Cost center
Ravi Polampalli -
FAGL_FC_VAL: document split
Hi guru
I run the program FAGL_FC_VAL and the document splitter is active.
For account 4000 I have the following balances:
1000 profit center 100
2000 profit center 200
The program created 1 posting with 4 items.
The customer asked me if it is possible to have 1 posting with 2 items.
I eliminated in the view V_FAGL_SPLIT_FL2 the flag about Val. Exch.RateDif but the program created always 1 posting with 4 items. Can you help me?
Thanks
Edited by: Rossella Fiorella on Mar 31, 2011 11:44 AMHi,
If the document split active in your company code, system automatically create additional line items based on splitting rules difined in the configurations. This is a new GL document functionality.
Thanks & Regards
Sarma Bhamidipati -
Document Splitting Error (GLT0002) while clearing Vendor line items by using F-44
Dear Guru's,
My client is getting below error while clearing the vendor using T code F-44, I checked related links but i could not find the suitable solution for this issue.
Doc No: 35112789 has the problem.. i checked Document splitting related Config but it is fine and
i can see the values in table FAGL_SPLINFO_VAL and not in FAGL_SPLINFO. Please help me to resolve the below issueHi,
You are getting this error as the document was posted before Document Splitting Activation or was posted when Document Splitting Active was deactivated.
For the Documents posted before Document Splitting, Migration Cockpit is to be used.
If there are few documents, then U can take a down time (ensure no document is posted in this time, if posted then you will get same error for the posted documents), remove the tick, clear the documents and Activate Document Splitting.
Regards,
Debashri Dutta
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