Error in posting to cash journal

Hi All,
I've been trying to post to a cash journal that was just created but an error would always show and the information does not say how I can resolve the issue. Please see below message and advice as to how I can resolve this.
E: GL 6007000 not valid to Cost center CC0001 (Adm Cost Centers)
Message no. Z_COST_ELEMENT003
Thank you!

Hi
Its a Z message, means your own creation... Go to OB28 and switch off the validation written for this GL & Cost center
br,Ajay M

Similar Messages

  • Mass posting to cash journal

    Hi All,
    Is there any standard way how to post massively into the Cash journal. Tr FBCJ allows to post only one item by one.
    I want to avoid creating new Z-programm.
    Thanks in advance,
    Jan

    Hello,
    There is no such facility in standard SAP.
    You have to create a BDC with the help of ABAPer.
    Regards,
    Ravi

  • Error while posting to Tax Journal Entry for sales and use tax

    Hi,
    I am trying to post a journal entry (FB50) to cleanup and correct the liability on our sales and use tax. All  lines are giving warnings and messages.Give me a suggestion  on how to get it to post .  Or if needed, another solution to correcting the balances in the sales and use taxes.
    But the entry to a/c # 226530 is giving an information message but still wouldnu2019t save.
    The Error message is
    Enter the tax base amounts for account 226400 in company codeAFCO
    Message no. F5A375
    Diagnosis
    You are posting directly to a tax account. Enter the tax base amounts per item using the function "Tax Amounts".
    Kindly help me how to fix the above issue.
    Thanks
    Suvarna

    You may want to check out the following notes... they may shed some light on your problem.
    681930 - Posting on tax account possible w/o specific. of base amount
    1090096 - FB60 / MIRO - Checking direct tax after change (F5A375)
    944978 - FB60 / MIRO - check of direct tax after change

  • Getting Error While Posting Net cash call

    Hi All JVA Experts,
    When I am Posting a Net Cash Call I am getting the bellow error:
    Message no. F5A192 - Enter a business location
    Message no. GJ125 - Error Detected in Batch Session.
    Give your valuable suggesstions to maintain the relevant configuration related to business location.
    Many Thanks.
    Regards,
    Raghavendra.M
    SAP-Practice.

    Hi All,
    This is Solved Thanks.
    Regards,
    Raghu.

  • Error while reversing document posted through cash desk

    Hi,
    I have posted a payment through cash journal/cash desk (FPCJ) and closed the the lot. Now I want to reverse the payment, however SAP function module 'FKK_CJ_PROHIBIT_RVRSL_OF_DOCS' is throwing an error - 'reversal not performed'. Does anyone know how to reverse a payment document posted through cash journal if it's lot has already been closed?
    Thanks,
    Suhas.

    HI Ravi,
    If a payment is posted through the FPCJ and lot is closed , payment cannot be reversed that's is standard functionality, there are lot of notes on this which gives you alternative steps that need to be taken.
    check note 644870.
    thanks,
    Vikram

  • Cash Journal - Payment reversal

    Hi,
    I have posted a payment through cash journal/cash desk (FPCJ) and closed the the lot. Now I want to reverse the payment however SAP function module 'FKK_CJ_PROHIBIT_RVRSL_OF_DOCS' is throwing an error - 'reversal not performed'. Does anyone know how to reverse a payment document posted through cash journal if it's lot has already been closed ?
    Thanks,
    Amol

    Thanks Bill. Unfortunately it has been posted incorrectly by the front office. So we can't issue a refund check to the customer. But as you clarified that it's not possible to reverse it any longer, we can go ahead and get it transferred to a dummy account or post a debit against it. Thanks again.
    -Amol

  • User Exit in Cash Journal (FBCJ)

    Hi
    Does anyone knows if there are any User Exits / BADIs or other enhacements in transaction FBCJ for the Cash Journal??
    Thanks in advance
    Federico

    Afeter saving the cash journal entry with the corresponding expense, we need an extra step to authorize the expense before posting it.
    For Example
    Employee                             --> Inputs the expense in the cash journal and save it (standard functionality)
    Cash Journal Responsible   --> Aproves the expense (Non standard functionality)
    AP                                        --> Post the cash journal entry  (standard functionality)
    In order to achieve this process, we are developing a transaction in which the Cash Journal Responsible can approve the expense. That transaction will save in a Z Table the Cash Journal Document together with an approval indicator (among other fields).
    Hence, we want an enhacement so that before posting the expense, SAP validates against the Z table that the expense in the cash journal is approved. If so, it will allow to post, otherwise an error message will be issued.
    Hope this can clarify the scenario.
    Thanks for your help!
    Federico

  • Banking functions and Cash journal

    Hi,
    Can someone advise me on the full setup and configurations of the above ? And the usage.
    Thanks.
    Angel.

    Hi,
    I have set up the cash journal following the instruction in the link.
    I have some problems and questions regarding the actual posting of cash journal, FBCJ.
    1) The petty cash acct created has a zero balance. How do I record the opening balance if I have some cash on hand ? What is the double entry ? I have also set the acct to "Post Automatically" as advised by the link.
    2) To test the settings above, I manually post an entry to debit petty cash acct and credit bank acct. So that there is a balance in the petty cash acct for me to do the testing. Although this might not be the correct way to record. Waiting for advise in Qn 1 above.
    3) I tried to use FBCJ to post. However, it kept prompting me an error message.
    "Payment amount is larger than cash on hand. Change amount".
    How did the system determine that ? I already posted an amt of 100,000 in the petty cash acct.
    Can you advise me how to do a posting using FBCJ ?
    4) Under FBCJC2, I have set up one business transaction for misc expenses. Is this enough ? Or advisable to create a few more business transactions ?
    5) Under FBCJC0, instead of using GL doc type AB, is it ok if I created a doc type "SK" and used this one ?
    Please help.
    Thanks alot.
    Angel.

  • CUSTOMER Payment  Receipt  with  clearing   in  cash journal

    Hi
    I  have   to  record  a  payment received from a customer  in  cash  journal.  I  want  to know  how  do  I  clear  the  receipt  against  the open invoice  when   doing the posting in cash journal.
    Thanks
    kamala

    This clearing is not possible while making cash receipt in FBCJ. So you will have to do clearing separately through TCode: F-32.

  • How to create print document for payment to customer through cash journal

    Dear Sirs,
    I have a problem with print document from cash journal. I enter a payment to customer (when I turn the money to customer) and the system makes right posting, but when I try to print this point, system printing document for incom from customer. I'm using business transaction for customer posting in cash journal. I would like to know how I have to manage this posting - payment to customer, or incoming from vendor (returnes advances from emploee)?

    Hi,
    please check whether the two solutions below work:
    1. create a contract with milestone billing plan where there are only down payment billings, so that on the basis of the contract you can generate down payment requests and then relevant down payments, release the contract to a sales order which can then be delivered and billed, manually clear the billing document with the down payments
    2. from FI module, create down payment requests via t-code F-37 directly, and then down payment posting, generate sales order directly, and then deliver and bill, manually clear the billing document with the down payments

  • Cash journal authorization

    Dear all,
    We have created seperate cash journals for each plants(CJ01,CJ02,CJ03,CJ04),but problem here user in h.o(CJ01) wrongly posted it in CJ02,We can reverse it,We have single user id for individual plants to create cash journals,
    Question: How to restrict users to post petty cash in their respective cash jounrals only ?

    Dear
    You need to create separate GL Accounts for cash journals of different profit centers and authorisation should be restricted cash journal wise.  So that person operating cash journal in plant 1 cannot post in cash journal in plant 2 since he will have no authorisation.  Also  user IDs for different cash journals are to be different.
    Regards

  • CASH Journal ---------------------Urgent

    Hi all
    pls this is very urgent
    my client is posting FBCJ Cash journal
    when cash journal posting vendor
    system was Calculating   Td's also
    my client asking no need tds Calculation
    pls how it possible

    Hello
    In Cash journal we can post documents which require TDS calculation and documents which do not require TDS calculation.
    If you have already set the tax calculation indicator in the config, the system would automatically calculate.
    So, if your client want's no calculation, if it is actually required by law, then try some substitution rule for specific vendors or type of transcations. Maybe the ABAPer could also help in debugging the whole process and identify from where the tax is picking up and you could go there and make the tax code inactive.
    Reg
    *Assign points if useful

  • Cash Journal Problem

    Hi gurus,
    When I post a cash journal (expenses) in last fiscal year i.e. 2006 it is getting posted. But when I click on that particular expenses item it is showing two accounting documents. 1 is for 2006 and another is for 2007which  is already posted with different amount.. why it is happening like this. The reference key in the header document are same for both the documents. Some times it is posting 1 profit center document  sometimes it is posting 2 profit center document. When we reverse cash such kind of document journal with reversal reason  05 what will be the impact. What is reversal reason 05?
    Thanks in advance.
    Regards,
    Vikas.

    please check your number ranges assigned to document type SK cause the reference key used while posting to FI doesnot contain a year key thats why two document has been displayed
    reversal reason 5 is reverse the acruals and deferals

  • While posting cash journal giving error

    Hi friends,
    I have updated cash in hand balance through f-02.
    When i am posting payments to vendor through FBCJ,(amount is 10 Rs.) giving error as Payment amount is larger than Cash on hand. Change amount.
    I updated cash in had account by 1000 rs.
    Please suggest.
    Regards,
    Suresh

    Hai
    See Cash journal is a seperate interface..
    You should have posted this cash in hand 1000 rs thru cash journal itself as reciept business transaction u are getting error bcz if u see ur opening balance it will be zero thats why system is  giving amount is higher.
    So again post cash in hand account 1000 rs in recirpts business transaction.
    Before to that u have to create a business transaction with cas in hand gl account.
    Regards
    Raghavendra.M
    SAP-Practice

  • *FBCJ - CASH JOURNAL POSTING - ABAP RUN TIME ERROR*.

    Hai,
    My problem is, while FBCJ cash journal posting, Error message comes as Programme terminated, short dump is beeing formatted. The screen is quitting out to ABAP RUN TIME ERRORS.  Short text of error message- For object, CAJO_DOC2 101, numer range interval 01 does not exist.( I have given the number range, but result is same.) - Pls advice, document type for cash journal is DZ ?.expecting valued support- Iam working on SAP R/3 4.7 enterprise.- TITUS GEORGE.

    Hi,
    GOto SNUM, Input CAJO_DOC2...
    Click on change and click on document number ranges.
    Maintain the document number ranges for your company code..
    That should solve the problem.
    Good Luck
    Cheers,
    Redoxcube

Maybe you are looking for

  • Acrobat 8 Pro not compatible with Win 7 Pro 64

    When I changed from Win XP Pro to Win 7 Pro I could not transfer Acrobat 8 Pro. Adobe Support just informed me that Acrobat 8 Pro was not designed for Win 7 and that's it. This was pretty frustrating and gave me the opportunity to search the market.

  • File adapter - change of encoding in the header of the xml message

    Hello! I would like to change the encoding in the header of an xml message (sent to a a receiver file adapter) from <?xml version="1.0" encoding="UTF-8" ?> to <?xml version="1.0" encoding="ISO-8859-1" ?> We have XI 3.0 with SP15. Can anybody help me

  • Oracle Warehouse Management System system implementaion concepts.

    Hello, we are using an old version of Oracle Warehouse Management System(back in Retek time). Anyways I think the concepts remaon the same. Can someone please point me to some implementation details document please. Hoping for docs that explain, for

  • Clearing of Feedback Node

    Greetings, Is it possible for the Feedback Node to be cleared from our VI? So that the feedback node will not use the previous value for the next execution. My project is dealing with optics and motorized stages. After running it once, for about 1 de

  • Convert ListViewWebPart to XsltListViewWebPart after migration

    Hi, I'm facing an issue after the migration of our sharepoint 2007 sites to sharepoint 2010. Some of my previous list (most of them are tasks lists, but not only) are still using the old ListViewWebPart instead of the XsltListViewWebPart. We cannot a