Error: The CO cost center account ssignment object.. PR05

Hi Experts,
In our SAP scinario we are moving employees from one company code say 1000 to 2000.
Now when in transaction PR05(Travel expense manger) we try to create claims for back date (when comp code 1000 was active) then the transaction gives a error saying:
The CO account assignment object belongs to 1000 not to 2000.
where as it should fetch the current company code and and do the posting.
Can any one tell me what can be the reason for this error,
Thanks

Solved by myself, with help of OSS Note: 44381 - Profitability Segment Not Required in SD Postings. Have a CO substitution rule to clear away the Profitability Segment number based on certain conditions. Thanks!

Similar Messages

  • The CO cost center account ssignment object.. PR05

    Hi Experts,
    In our SAP scinario we are moving employees from one company code say 1000 to 2000.
    Now when in transaction PR05(Travel expense manger) we try to create claims for back date (when comp code 1000 was active) then the transaction gives a error saying:
    The CO account assignment object belongs to 1000 not to 2000.
    where as it should fetch the current company code and and do the posting.
    Can any one tell me what can be the reason for this error,
    Thanks

    Solved by myself, with help of OSS Note: 44381 - Profitability Segment Not Required in SD Postings. Have a CO substitution rule to clear away the Profitability Segment number based on certain conditions. Thanks!

  • About cost center accounting  (Transaction based posting with CO assignment

    Hi,
    I m working on cost center accounting ,and i m stuck in transaction based  posting ,i m post transaction through FB50,
    i m given concern G/L account Dr 8000 and credit to bank account with account assignment cost center 10100.after i simulate this transaction the system accepts and i m enable to see the transacion after simulation,but after that i m going for save it at this time system geting error ,and error is like ---
    Not possible to derive owner from account assignment/bank details
    Message no. REEXFI054
    Diagnosis
    In the condominium owner company code, the system attempts to determine a unique condominium owner for each document.
    To make this determination, the system analyzes:
    The profit centers in the document. Usually the system derives the profit centers from the account assignment objects in the individual line items. In the condominium owner company code, the system determines the profit center for real estate objects from the condominium management contract for the rental object.
    The house bank data in the document. Therefore, the affected bank account has to be entered uniquely in each bank line item.  You can enter the house bank and the account ID in FI posting transactions by choosing Additional Data. The system then searches for the condominium management contract that has these bank details.
    In the current case, the system is not able to determine a unique owner.
    System Response
    The system cannot post the document.
    Procedure
    Check the account assignment data and bank details.
    So plz guide me about this ,
    Regards,
    Pramod Kulkarni

    Hello again,
    First off all thank you both for your answers.
    Dirk,
    When I said enhancing I was not thinking of developing the hole thing. That seems to be a hugely complex task and I do not have the time for that in the project were I am presently working. What I meant was: Is there a SAP Enhancement available? A function exit? A Customer Include? Something that is half way done?
    If this is not the case the solutions I thougth were:
    i) Replicate my infocube's data into a ODS. Develop a report on the R/3 side that reads that data via a RFC and uses Batch Input (Call transaction) to update the data on the R/3 side;
    ii) Develop a function module (similar to the standard one) on the BW side to use in a planning function of type exit which would update a Z database table on the R/3 side and, afterwards, develop a report (also on the R/3 side) which would read that database table and update transactional tables via Batch Input (or Call Transaction with a developed log transaction).
    From the point of view of performance I believe the solution involving the ODS is better because we are talking about 300 000 materials.
    As for your proposed solutions 1) and 2) althougth they seem very nice and elegant I would like to avoid changing the R/3 customizing. Regarding your proposed solution 3) I am going to take a look at the function group you mentioned and the respective note.
    Once again thanks a lot for your answer. You have been very helpfull.
    Best Regards,
    Vasco

  • BPS Retraction for Cost Center Accounting - Cost Element - Compounding with

    Hello everybody,
    I'm using the "BPS Retraction for Cost Center Accounting" described in the blog from Praveen Mayalur. I have customized the BPS system  (3.5) as described.
    But if i started the retraction i receive a dump. I have debug a little bit and i found out that there is a problem with the InfoObject "Cost Element". It is compounding with two InfoObjects "Source system ID" and "Controlling area".
    PERFORM FILL_RSRDEP USING I_AREA
                              I_CHANM
                              ITO_CHADEP
                        CHANGING LT_RSRDEP
                                 L_SUBRC.
    IF L_SUBRC NE 0.
    *Abhängige Merkmale müssen in der ITO_CHADEP stehen
      MESSAGE X099(UPC).
    ENDIF.
    Does anybody have this problem before. ?
    Regards Detlev

    Hi,
    it looks that your 0COSTELEMNT has been changed and the additional compounding object 0SOURSYSTEM has bben added. In BI Content it is only compounded to 0CO_AREA. So may be this is the problem.
    To be sure that it works you must make the change in your source system to and "compound" 0COSTCENTER to 0SOURSYSTEM. Or you have to chabge the retraction that way that it ignores the source system and only reads 0CO_AREA and costcenter.
    Regards,
    Juergen

  • Company code currency in cost center accounting

    Hi,
    If I have 2 company codes with different local currencies (SEK and NOK) in a common controlling area with SEK. How do I get the amounts in cost center accounting in company code currency NOK?  Is this possible? I can only see reporting currency, object currency and transaction currency.
    Regards,
    Agneta

    Hi,
    If your CO objects for company code with NOK are set to NOK as well, you can use object currency.
    Regards,
    Eli

  • 1_CO_PA_AFS_CCA(cost center accounting) DS enhancement

    hi friends,
    i'm trying to extract COPA : Profitability Analysis data using 1_CO_PA_AFS_CCA(cost center accounting) to custom cube directly(i.e Data source to custom cube without any staging in between datasource & cube).
    In ECC6.0 (tcode: CK40N and then  costs ), per material wise i want to extract labour costs, deprecision, power & fuel, sub contract charges,other manufacturing costs along with this i want to extract i field information "costing lot size".
    I want to extract "costing lot size", but data source doesn't have this field. Is it possible to enhace DS.
    If yes, how to do that?
    Thanks,
    naresh

    Hello Shruti,
    Can you give more explaination about the problem
    Thanks & Regards,
    NK.A

  • BPS Retraction for cost center accounting

    hi guys,
       When i create sender structure for retraction,need to specify the retraction target(eg UPB_RET_COPS) using drop down to find.But i can't find any value after using drop down button.So i want to know how  and where to define the retraction target,in BPS or R/3?
       The dictionary structure has the same problem.
       And what do mean the fields of 'offset'  and 'sender field lgth'?
       Need your help!
       thanks a lot!
    frank feng

    Hi,
    Go through following links where u can get a fair idea for u r problem:
    /people/praveen.mayalur/blog/2006/07/01/bps-retraction-for-cost-center-accounting--i
    /people/praveen.mayalur/blog/2006/07/11/bps-retraction-for-cost-center-accounting--ii-primary-cost-qty
    Thanks,
    Debasish

  • BPS retraction part for Cost center accounting

    hi All
            Can any body help me regarding the retraction part for cost center accounting bw-bps, how the retraction is exactly done . when part is where the data
    comes sits in bw and R/3 .
    how exactly plan data sits in r/3 what is the relation
    while extrating the data into the bw, what is procedure for extracting in to the transactional cubes
    prs

    This post could give you some info:
    CCA Retraction with BW BPS
    Hope it helps.
    Regards

  • Cost Center Report in Object Currency

    Hi there,
    Any idea if it is possible to display the SAP standard Cost Center Reports in object currency instead of controlling area currency.
    Thank you.

    Hi there,
    Thanks for the reply. What about the SAP Standard report, i.e., S_ALR_87013611 - Cost Centers: Actual/Plan/Variance ?
    How can we have the object currency displayed?
    Pls advise.
    Thank you.

  • Deactivate Cost center accounting in controlling area

    Hi all,
    Could you describe the consequences of the deactivation of CO-CCA in the controlling area?: should I expect incoherencies ?
    The activation (deactivation) code setting is free in OKKP transaction. My first deactivation test show me it's possible to make new postings in FI (FB60) and the cost center is not necessary anymore.
    In fact in my case I don't need to check FI-CO reconciliation.
    Regards
    Pascal Cuenin

    Hello
    Why this type of requirement is coming into our mind. SAP controlling has very good funtionalities for internal reporting. If you deactivate cost center accounting then how your management would see...cost center reporting, budgeting, controlling
    for example you have cost element salary,,,,,with one gl for a company,,,how you will distinguish salary with reference to a division , dept, location....
    how you will get your assessment, settlement, costing all these for which CO functionalities are developed
    regards
    dinabandhu

  • Substitution written under cost center accounting is not working for tcode MB1B but working for MIGO_GI

    Hi All
    Do you know why this behaviour different for subtitution written under cost center accounting.
    We have written substitution using coding block table. Logic of substitution is in case of any GL maintained in a set is being used for posting , then we will replace the cost center with profit center vlaue. Reason being we have same naming convention for Cost center and Profit center.
    Thanks
    Sonia

    Hi,
    MB1B is t-code for stock transfer posting.
    Stock transfer posting generate FI document using balance sheet account, not P&L account.
    Because you don’t create cost elements using balance sheet accounts related to stock, I think that Substitution written under cost center accounting is not working for tcode MB1B is right.

  • Datasource for plan value in cost center accounting

    Hi
    I would like to create query for plan value that maintain in source system via tcode KP06
    (Controlling > Cost center accounting > Planning > Cost and activity inputs). Can experts please share with me which datasource to turn on in order to send the data to BI for reporting?
    Thanks
    Kang Ring

    Hi,
    Try 0CO_OM_CCA_1.

  • Library develop report with report painter in Cost Center Accounting

    Dear experts!
    Now, I'm getting some issue about finding library for developing report with report painter.
    Really, i don't know libraries that are used to develop report with report painter for Cost Center Accounting.
    Can tell me about them?
    Help me, please.
    Best regards, Huy

    Hello Huy,
    CCA reports would be based on table CCSS, you can go to transaction GRR2 and check the various libraries listed there and find a suitable one. You can also use libary 1AB which contains the various cost center variance reports or you can use transaction GR21 to create your own library.
    Kind Regards // Shaubhik

  • Cost center account determination

    Hello All,
    When I created outbound delivery for a sales order, on the goods movement tab, cost center automatically assigned to the line item.
    Could you please inform me how the system derive this cost center?
    Thanks in advance!
    Best Regards,
    JHeRo

    Hello Raj,,
    Thanks for the feedback.
    But I am looking for cost center account determination and not GL.
    Could you please help me on this.
    Thanks in advance!
    JHeRo

  • Help to find business / technical content for cost center accounting

    Hi all,
    I am a new to BW. Where can i find the technical and business content for cost center accounting info cube (data from R3) and the equipment info cube ZMXCART_XX(data from flat files). These are the two cubes which i learnt from training.
    Does SAP BW provide techinal and business content for its demo cubes and how can i find them?
    Please forgive if my question is too basic and crude.
    Thanks
    ak

    hi AK,
    you can find from help.sap.com or bi best practice
    http://help.sap.com/saphelp_nw04s/helpdata/en/cb/149b3979e90e1be10000000a114084/frameset.htm
    the steps ...
    http://help.sap.com/saphelp_nw04s/helpdata/en/3d/5fb13cd0500255e10000000a114084/frameset.htm
    Financial ... Controlling ... Overhead Cost Controlling ... Cost Center Accouting ...
    http://help.sap.com/saphelp_nw04s/helpdata/en/6e/d80c3c99d56448e10000000a114084/frameset.htm
    see infocube
    http://help.sap.com/saphelp_nw04s/helpdata/en/43/d90c3c99d56448e10000000a114084/frameset.htm
    http://help.sap.com/saphelp_nw04s/helpdata/en/cb/149b3979e90e1be10000000a114084/content.htm
    hope this helps.

Maybe you are looking for

  • N91 problem sending SMS with non English character...

    Hello I own a N91 4GB version. I have upgraded to version 2.20.008. I checked recently and have not found a newer version available for download. When composing an SMS a counter appears on the upper part of the screen, which shows how many characters

  • Address Book help

    I accidentally overwrote the Address Book in the application folder. I saved my old address book to an external fire wire drive as a precaution, bought a 20 inch iMac Pentium and then dragged the old app into the new app folder. Yes I'm an idiot and

  • Can't start WebLogic6.0 sp1 server on win2000

    I'm getting this error when I try to start the weblogic 6.0 sp1 server on win2000, please help C:\bea\wlserver6.0sp1>"C:\bea\jdk130\bin\java" -hotspot -ms64m -mx64m -classpath .;.\lib\weblogic_sp.jar;.\lib\weblogic. jar -Dweblogic.Domain=weblogic -Dw

  • ISSUE METHOD

    Dear All I have a query regarding issue method of batch item. What I want actually to create a batch item & at the time of Issue from production i want that item will be issued automatically it should not show the batch item window. Waiting for your

  • Xfa.host.beep

    I have a button that I want to make a Windows error sound when certain conditions are met. I've tried variations of xfa.host.beep() (e.g. xfa.host.beep("1"), xfa.host.beep("2")), but they never generate any sound. I tried both Acrobat and Reader (11.