Document types in fico

Hi All,
Can any one explain me what are all the types of documents in FICO.
NOTE: i am not asking about DOCUMENT TYPES like KR,KZ,DR,DZ....
Thanku

hi
document types in SAP are Customer documents
Vendor documents
Asset documents
GL Documents.
Please allot points if it help you.
bye

Similar Messages

  • Business Transactions and Document type

    Hi eXperts !
    Can anyone please explain these business transactions like when they are created, what is the document type related to these and which one should I use to see the Amount paid to the Vendor (Actual Payment)
    KOAE     Actual Settlement CO External
    RFBU     FI Postings
    COIN     CO Interface     
    RKU1     CO Act. Primary Cost Transfer
    KOAR          
    Actually I need to extract a report in Project systems with actual amount paid to the vendor + all the actual cost but it shows only down payment (doc. type KA if i am not wrong) not the final payment.
    Also please explain these document types because i can see them in my report but I dont really know what does it mean.
    AA     Asset posting
    AB     Accounting document
    KA     Vendor document
    TZ     Vendor Document
    KZ     Vendor payment
    SA     G/L account document
    KG     Vendor credit memo
    As these things can be better explained by FICO guys so I decided to put the question here, Thanks alot !
    Rabiee

    Thanks for the reply AP
    I'll check KZ doc. type
    what about other document types and business trans. ?

  • Disable sales document type from COPA? Is it possible?

    Hello gurus
    We have a situation where we dont wish system to create Profitability Analysis segments for items belonging to the quotes that we are creating?
    Is is possible to disable PA assignments by a sales document type and or item categories?
    Many thanks
    Jai

    The best person to guide for this would be your FICO consultant.
    Anyhow, check following thread for some understanding:
    How to deactivate COPA
    Note: Check all possible result before deactivating it on your system.
    Check Following link for understanding
    [Business Area Vs. Profit Center Vs. Profitability Segment|http://sapdocs.info/sap/fico/business-area-vs-profit-center-vs-profitability-segment/]
    [Profit Center Default In Sales Order|http://www.sap-img.com/sap-sd/profit-center-default-in-sales-order.htm]
    Thanks & Regards
    JP

  • Customized Exchange rate type in FICO

    Hello Experts,
    We have been using Standard exchange rate type M and MS in our SD and FICO Configuration.
    Is it possible to use customised exchange rate type say Z in FICO configuration?
    Please advise.
    Regards,
    UR

    hi
    the standard exchange rate in fi are
    g..bank buying(bank is buying....exports)
    b...bank selling (bank is selling ..imports)
    m...average
    1.for any foreign exchange traslation we first have to define the above exchage rate in ob07
    2.we have to give the traslation ratios (obbs)
    3.we have to give the exchage rates (ob08)
    answer to u r question..
    1st there should be a system defined  exchage rates types for the currency u r conversion.
    example
    usd to inr ...for this coversion u should define for g..b..m.
    then after that u can use u r own user defined variables...(only after the sytem defined is declared.
    if why is u r anwer
    system takes the standard rate m if there is no conversion type found in the document types.
    thanks
    vera

  • What are the sources system will pick the document type while creating invo

    hi
    I would like to know how system will pickup the doucment type while creating invoice in vf01.
    i have taken off the fields  f1, f2, from the document type. in billing sub tab.  so  The moment when am creating billing system automatically displaying F2 invoice doucment creation.  What are the sources for this.
    thanks & Regards
    Rack129

    Hi,
    Hope you have maintained u2018Delivery relevant billing type F2u2019 and u2018Order relevant billing type F1u2019 in the billing tab of the Sales document type in VOV8.
    If you create delivery related billing, the system will pick F2. This is controlled in Item category (VOV7). Billing relevance in Business data of Item category decides whether this is delivery related or order related. u2018Au2019 for delivery related billing; u2018Bu2019 for order related billing and so on.
    Item category is determined by this combination: Sales document type + Item cat group + usage + higher level item cat.
    Regards,
    K Bharathi

  • CREATION OF NEW DOCUMENT TYPE

    Dear cons
    We want to create a new document type for pur. requisition.In this document type  account assignment  will be 'P'(PROJECT) . w.b.s should be only enter.
    so pl. give the details of filling data in the required field step by step. waiting for your early response.
    thanks
    nirupama

    Hi,
    In order to create a document type for a purchase requisition  use the path
    spro-materials management - purchasing--purchase requisitions --define  document type
    in that screen you select the document type you want to copy to create your document type and perform the action.
    if you want to change the screen/field selection for your document type select the field selection key (if you select the document type as NBB the field selection key will be NBB.,and go to the screen and change the field status.
    Hope this will be suffient for your requirement.
    Regards,
    Raghu.

  • Wrong document type is processed form ME59N - Automatic PO creation Efected

    Dear Friends,
    Im facing one issue while the PO is created from Purchase requistion(ME59N).
    If the purchase requisition document type is - XTB while creation of PO from ME59N the document type is taking as UB
    the SPRO setting has been done for supplying plant and receving pant as - XTB but still getting the error as
    Doc. type XTBshould be used for suppl. plant XXXX and receiving plant XXXX.  06 - 674  ( Msg class and No)
    Could any one please help me on this.
    The manual PO creation(ME21N) is perfect .
    Regards
    Kumar.

    Hi Mauro,
    Thank you for the very helpful answer, i suggested my team to impliment the OSS note.
    Thanks for your help.
    One similar kind of issue i am facing, i implimented one enhancement in the BADI "ME_PROCESS_PO_CUST"  for checking the supplying plant.
    When i processd it through ME21N ( manulaly) it's taking the right plant, But when i processed it through ME59 ( Autoamtion of PO) the Enhancement is not triggered.
    ME59N is not supporting as there is no support pack ( OSS notes need to be implimented).
    Coluld you please provide any helpful answer for me
    Thanks for your support and Help.
    Regards
    Ravi.

  • PO Document Type for Free Goods only

    Good day,
    Business Scenario: Client wants to track FreeGoods made. To solve this, we have created PO document type "Free Goods PO"
    Current: I choose Free Goods PO, input materials and then tick the FG indicator.
    Question: Is it possible that for this document type, every material I put, the indicator is automatically ticked? And that only free goods can be placed in this document type?
    Thank you,
    Simon

    Simon,
    You will need someone with a developer key to be able to implement the code.  However, in the main PO processing program SAP has created spots where customers can add custom code for situations like this. 
    If you go to transaction SE81, you can select the MM module.  From there click the "Select subtree +/-" button (will highlight MM in yellow).  After that click "Information System".  This will bring you to the developer workbench where you can review all of the enhancement spots and user exits in the MM module.
    If you expand Enhancements, and click on Enhancement Spots, a selection screen should appear to the right.  In enhancement spot enter 'es_saplmepo' and execute.  Double click on the enhancement spot.  That will produce the list of all of the enhancement points within that main program.  There are ones specific to the header fields as well as item fields.
    If you scroll down to "item_process_main_01" and double click it will bring you into the code where the above if statement can be added (for some reason it doesn't bring be right to the item_process_main_01 spot so i have to scroll to find it).
    As the program is running it will hit your enhancement and process that as it is going.  A developer can provide more details.
    Hope this helps,
    Matt

  • Quantity field not getting displayed for all document types

    Hi,
    I have made a configuration to include field Quantity(BSEG-MENGE) in the GL account line item display.When I ran the report for stock adjustment account(FAGLL03), only the following document types are showing quantity against them.
    WI- Inventory document
    WA-Goods Issue
    WE---Not showing quantity against (WE- Goods Receipt)
    Can any one please explain. I have seen the original document from FI document. The original document as well as FI document carries quantity.
    Thanks
    Aravind

    Hi Aravind,
    Check SAP notes  1063198 and 1117587.
    FAGLL03 display quantity which is updated in FAGLFLEXA, BSEG is not
    relevant in this case. This is clearly explained in the note 1063198.
    The quantity posts through to FI on the 'goods receipt' items, but not on the
    'invoice receipt' items.
    In the FI normally the Quantity is not a 'real' important field, as it
    is more related to the MM area.
    But in the old 'Profit Center Accounting' and the old' Special Ledger'
    the field has been important.
    As the same logic of these areas to 'store' the Quantity is also used
    in the NewG/L the field get only filled in the line, where it make
    'sense' from our point of view, because only in the 'goods receipt'
    lines a 'real' Quantity is posted to the system.
    So as before in the PCA and SL, now also in the NewG/L the Quantity is
    filled in the correct and important lines and postings.
    In the BSEG ('old document segment table') the field is filled 'just'
    as it is send to the FI, but this is not completely correct from the
    business point of view.
    This can also lead to issues with the reporting and summation to this
    field. So with creating the new logic in the NewG/L the 'correct'
    standard of the 'writing' for the Quantity has also been taken over.
    So in the end, the update and display is correct according  SAP standard behavior.
    Actually,Quantities within G/L are never reliable,
    because the purpose of FI is a view on the data according to amount
    but not according to quantity.
    In the FI normally the Quantity is not a 'real' important field, as it
    is more related to the MM area.
    I hope I could be of assistance.
    Regards,
    Fernando

  • Document type KR is not picking to Clear GL account with T-code F-03

    Hi all,
    My client wants to clear GL account Cash-in-Transit which is open item managed. He has posted two items. One is with KR document type like Intercompnay adjustment account debit (40) and Cash-in-Transit account credit (50). Second item is with SA document type like Cash-in-Transit accont debit (40) and Intercompany adjustment account credit (50). He did not give vendor number and appropriate posting key (31) while postings. With document type KR, he posted with posting keys 40 and 50. Now while clearing the GL account through T-code F-03, system is picking only SA document type. The system is not picking document type KR. He wants to clear the items with each other. I have checked the document type settings. Check boxes Intercompany postings and trading partner are active in both above document types.
    How can the GL account be cleared ? Are any configuration settings missing ? Kindly advice as soon as possible.
    Thanks in advance.
    Regards,
    K.S.K

    Hi,
    First of all..why would system need a Exchange gain/Loss Account..If your local currency is INR and you posted a debit and a credit document both in INR..then there is no question of a foreign exchange gain/loss account..
    BUT, if you have posted the document in any currency other than INR, ie: your local currency...then the system would need a exchnage gain/loss account when you try to clear the debits and credits.. i am giving an example below to explain better..
    You posted a debit of 100 USD @ 40 = Rs. 4000.00
    You posted a Credit of 100 USD @ 42 = Rs. 4200.00
    Now, if you clear this debit and credit then there is no difference in 100 USD, as the debit and credit is netting off.. but if you see INR there is a difference of Rs. 200.00 which system posts to Exchange gain/loss account..which we maintain in OB09.
    Hope it is clear to you now..
    Regards,
    SAPFICO.

  • Billing due list problem with customized document types

    Dear Team,
    We have created a new Rental contract and Rental Invoice document types by copying the standard ones (MV & FV), while trying to get the Billing due list, unable to get the Rental Invoice type, rather the system is proposing the standard Invoice type (i have already changed the Billing type to the customized one in sales document type).
    Can you please let me know the pre-requisites for the billing due list.
    Regards
    Sreedhar

    Hi,
    Thank you for your response. But, i was not able to implement those oss notes as the current highest support package we are currently using is SAPKB70208, Software component - SAP-BASIS.
    Kindly let me know if you have more inputs.
    Regards,
    Vinitha

  • Reg:Document Type creation in Manual bank Statement.

    HI all,
    What is the document type for Manual bank statement reconsolation.
    I created (BZ )for Manual bank statement reconsolation which fields i have to  select.
    regards
    JK

    Hi,
    Document types are created at client level. to restrict one kind transactions only and to identify the transactions pertaining to what.
    At the time of configuring BRS we have to specify the document type there u can specify what ever you want before it has to create. go to OBA7
    Hope this is clear, if yes assign points
    Regards,
    Sankar

  • FI-CA document type when a print document is created

    Hello everybody,
    We have been searching events (e.g. 0061)/user-exit to change the FI-CA document type when a print document (based on our own logic) is created with transaction EASIBI without success. Maybe you have enhanced something in another project. Can you share you experiences?
    Thanks in advance.
    Fernando.

    We have enhanced event R999.

  • Error M8-688 - Creation of several vendor line items is not possible for document type RN.

    Hello All,
    We are using the Net Invoice Posting with document type RN(Invoice- Net). We are generating different vendor line items in the accounting document based on the withholding tax codes involved in the invoice posting. When it comes to net invoice posting system is giving an error message M8-688 - Creation of vendor line items is not possible for document type RN. Is there is any way to create multiple vendor items with net invoice posting? Please suggest.
    Thanks,
    Chandu.

    I dont think that there is any way because it is a hardcoded error message.
          IF NOT t003-xnetb IS INITIAL.
            MESSAGE e688 WITH pi_rbkpv-blart.
          ENDIF.
    SAP is checking the customizing for net/gross posting per document type in table T003
    And if it is set up as net, then it is a hard error.

  • In fbl1n report for document type RE  withholding tax amount is not showing

    in fbl1n report for document type RE  withholding tax amount is not showing
    in sap note 363309 determines
    Solution
    Remove the field which contains the withholding tax information (field BSEG-QSSHB) from your display
    variant.
    If you want to display the withholding tax information, double-click on the document number and
    subsequently choose 'Withholding tax'.
    my doubt is we remove the field BSEG-QSSHB in layout how can show the withholding tax amount in FBLIN report
    how to remove from the layout
    please clarefy
    bhayyapu   

    Hi,
    If you want to check amounts of withholding tax for the vendors, you have some options to view it. You can access the WITH_ITEM, LFC1 tables by SE16. You have too the S_P00_07000134 report. This report is developed for the Colombia but I already used for the another country with the ABAP development for this country.
    Also you can use table join BSIK and WITH_ITEM by SQVI for the open items and BSAK and WITH_ITEM for cleared items. It is more simple and fast.
    JPA

Maybe you are looking for

  • Using the same iTunes account, can two iPads use different phone nubers for Factime?

    Using the same iTunes account and two different iPads, is it possible to associate each iPad to a different phone number?

  • Reversing a Partial payment

    SAP gurus, We are doing a partial payment to 1 of the 2 invoices for the vendor in F-53. The other invoice was paid in full.  Then the residual balance was paid thru payment run. Instead of showing both the invoices and payments as cleared items, the

  • Connect wired network device to AX?

    I have an Airport Extreme connected to my cable modem, linking to an Airport Express in my living room's entertainment center using WDS. Works great. I'm looking at buying a Blu-ray player that has an Ethernet port for streaming services. Can I exten

  • Automation of Payment Lot

    Hi all, I have Payment file like 'Cheque Payment File' , 'Cash Payment File' and so on... current I am using my own program to have a Paymnet lot (Cheque Lot/Cash Lot) then posting the lot with Transaction FPB3. But now I need to schedule my coming p

  • HELP!! No Motion Menus!

    I am using DVD Studio Pro 2 (version 2.0.5). After recently installing Tiger I have lost the ability to create motion menu's (or to even simulate them in my projects!). When I drag a template menu into the window area, it is displayed, but if the mot