Field Profit Ctr is a required field for G/L account

Hello Gurus,
   I am getting the following error message "Field Profit Ctr is a required field for G/L account " at the time of settling  Internal Order using KO88.I identified that this error message is due to invoice been
posted without reference to Purchase Order.Due to which Profit Ctr was not supplied.Please let me know
how to correct this and settle the I/O.
Thanks in advance

Any costing objects should be linked with profit center. You are settling the order against G/L account. Have the check of this FS00 t code either mentioned correctly thro FI team. The accounting currancy , sort key , Commitemnet item . Otherwise discuss with co ask them to link or create the Profit center (KE51 T code) . Here we are linking with controlling area
Then let me know
Thenna

Similar Messages

  • Field Profit Ctr is a required field for G/L account -Posting

    Hello,
    While posting payroll results to FI , I am facing the following error
    "Field Profit Ctr is a required field for G/L account "
    The Field Profit Center is mandatory from FI side,We can  not change it.
    I assigned the profit center to Org-Unit using A-OO3 O-PC relationships.Still I am facing the same issue.Kindly Help.
    Regards,
                 Ahmed

    Hello
    The reason why Profit Center is not filled is that you have activated codist switch in FI but not in the HR side:table T52SWCODIST.
    By the way, take into account only value 1 is allowed for India as per note 1039346.
    Thanks and Kind Regards
    Ramana

  • Field Profit Ctr is a required field for G/L account 1000 205405

    Hi,
    While we are doing MIRO, we are facing a error message - Field Profit Ctr is a required field for G/L account 1000 205405.
    Please guide, what should be error.
    Is there any error in G/L account?
    Regards

    Hi,
    There is no error; your G/L account is defined with field status which requires profit centre. You have to enter it or use a defualt via OKB9 transaction.
    Regards,
    Eli

  • Error in MB1A - Field Profit Ctr is a required field for G/L account 151100

    Hi,
    While we are doing MB1A with movement type 201, we are facing a error message - Field Profit Ctr is a required field for G/L account 1000 151100.
    I check following things.
    1.. Check Field status group of GL 151100 and make optional to Profit center.
    2.. In SE38, enter Report RM07CUFA and execute with 201 movt. type, 151100 Gl no. and 50200 cost center. According to this, no error exist now.
    What should be error..
    Regards..

    hi,
    I think your cost centre is not assigned the above given bussiness area...
    Take help of FI consultant and check whether its assigned at KS02 or not...
    You can also change it...
    or
    if you are just doing testing, then better use other cost centre which assigned to the above given business area..
    Regards
    Priyanka.P

  • ERROR Field Cost Ctr is a required field for G/L account TN 401130

    I get this error when I try to bill a sales document, where do I maintain this setting. I assigned the Account Assigment Group to GL account via transaction VKOA. The AAG si then assigned to the masterial in the sales views. I still get the error of the cost centee field being missing. the setting is not in OKB9, I checked. Check error message from SAP below when I try to release document to Accounting.
    Field Cost Ctr is a required field for G/L account TN 401130
    Message no. F5808
    Diagnosis
    The value for field "Cost Ctr" in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "401130" in company code "TN" linked to the field selection for posting key "50".
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Cost Ctr". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly.

    Hi,
    Change the field status group for the GL account in the bank/interest tab of Tcode FS00.(Example from G004 to G019)
    As the metioned GL will be a revenu account it does not require a cost center, only profit center is requierd.
    Hope it helps
    Regards
    Naveen

  • Field Cost Ctr is a required field for G/L account

    HI SAP Guru,
    I have Created an Asset in Test server, once the Asset was created..
    I did a Depreciation Run in test server.I encounter this error message.
    the cost center was created in the asset master, and the GL account was also define in the GL master.
    Field Cost Ctr is a required field for G/L account  7xxxxx
    Message no. F5808
    Diagnosis
    The value for field "Cost Ctr" in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "7xxxxx" in company code "168" linked to the field selection for posting key "40".
    System Response
    Error
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Cost Ctr". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly.
    Please advise

    Hi
    Please Check  field status group assigned to the depreciation G/l account as well as G/L account of Asset   by using Transaction Code OBC4
    Make the cost center as optional instead of mandatory
    Check your settings in Transation code  ACSET
    Regards
    Praveen P C

  • Field Cost Ctr is a required field for G/L account TEST 504004

    Dear Sir
    I create Purchase order and I try to make GRN then the following error occured. Please help me.
    " Field Cost Ctr is a required field for G/L account TEST 504004
    Message no. F5808
    Diagnosis
    The value for field "Cost Ctr" in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "504004" in company code "TEST" linked to the field selection for posting key "96".
    System Response
    Error
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Cost Ctr". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly."
    Thanks
    Rajakumar

    Hello,
    Please read the steps you have to follow. I have put some data for the example:
    1,FS05
    G/L account no. 151040
    Company code    0110
    Field status group           G022
    2,OBY6
    Company Code    0110  QCPL - 
    Field status variant           PCPL
    3,OB14
    Field status variant PCPL     Group G022
    Consolid.(TTY=Req Text=Opt Alloc=Opt)
    Cost Center   = required !! (probably the cause)   > change to optional
    Best Regards,
    Arminda Jack

  • Field Prof.Segmt is a required field for G/L account SC01 410050

    Hi all,
    i am getting the following issue when trying to release an SD invoice to FI
    Field Prof.Segmt is a required field for G/L account SC01 410050
    Message no. F5808
    Diagnosis
    The value for field "Prof.Segmt" in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "410050" in company code "SC01" linked to the field selection for posting key "50".
    System Response
    Error
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Prof.Segmt". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly.
    please advise where to look
    thanks
    Brian

    Hi,
    i m receiving the same error! did you figure out the problem, how did you solve it?
    thanks, and regards,
    J

  • Field Cost Ctr is a required field for G/L a/c ...(Co. code) ... (GL a/c)

    Hi,
    When i run depreciation, i am getting following error:
    Field Cost Ctr is a required field for G/L a/c ...(Co. code) ... (GL a/c)
    Message no. F5808
    Diagnosis
    The value for field "Cost Ctr" in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "4750A" in company code "LT01" linked to the field selection for posting key "40".
    System Response
    Error
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Cost Ctr". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly.
    I checked the field status for GL account and posting key - cost centre is "optional" . Can someone pl. help.
    Thanks
    Vedavatee

    Hi:
             Please check in KA03 , enter GL account there and check if this has been created as Cost element. If yes then you will need to enter cost center .KOSTL cost center. This cost center requirement in FI-AA is usually derived from what you maintain in ACSET.
    Regards

  • Field Cost Ctr is a required field for G/L account IN10 73300004 Message no

    Dear Friends,
    I am getting this error message while I posting excise invoice vai J1IIN.   Please help me and provide you expert comments on this problem.
    Field status of this GL is cost center required field.
    Thanks
    Ravi
    this is the message 
    "Field Cost Ctr is a required field for G/L account IN10 73300004
    Message no. F5808
    Diagnosis
    The value for field "Cost Ctr" in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "73300004" in company code "IN10" linked to the field selection for posting key "40".
    System response
    Error
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Cost Ctr". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly.

    Thanks Naveen,
    Everything is in place but problem is system is not reading defined cost center in OKB9. Whatelse any other problem, ?
    Thanks
    Ravi

  • Field Cost Ctr is a required field for G/L account 5500

    Hello Experts,
    I need your help for one of the issue related to the cost center.
    While posting the accounting document I am getting the below error -
    Invocie Nr are: 95867831 and 95876503
    Message is: Field Cost Ctr is a required field for G/L account 5500
    52301203
    Message no. F5808
    Diagnosis
    The value for field "Cost Ctr" in the interface to Financial Accounting
    is an initial value but you are required to make an entry in the field
    selection for G/L account "52301203" in company code "5500" linked to
    the field selection for posting key "40".
    Looking in the history of one of the two contracts I find the following:
    Invoice 0095639591 from 16.11.2010, an accounting document was created
    and in the accounting document CO object is cost center (and not COPA)
    14901.
    Account 52301203 has Field status group Z103 (cost - mad CostCenter)
    Our user is saying that (eq 3529183592, invoice 95639591)
    should have a cost center assigned in the equipment master. After
    entering that cost center (14901) the accounting document was created
    correctly.
    However when we checked the "DefaultAcctAssgmnt" of the cost element 52301203, the filed Cost center is empty.
    Can you please help with your suggessions?
    Regards,
    Reshma

    from Note 518060 - FAQ: Physical inventory
    12. Question:
    Can I manually specify an account assignment (for example cost center) during the update of inventory differences?
    Answer:
    No. No. A direct entry of an account assignment for difference postings in the physical inventory (both MI07 and MI10...) is not possible.
    A differentiation to different account assignments is only possible via a differentiation of the cost elements - refer to Note 13423.
    In my words: FI has to change the field status

  • Field Cost Ctr is a required field for G/L account BP01 44972001

    Dear Experts,
    When I am Creating J1IIN I am getting this error
    Field Cost Ctr is a required field for G/L account BP01 44972001+ Message no. F5808
    For this I Checked 1. Field status Group of GL account
                                2. Corresponding Posting Key Field Status
                                3. OKB9 Settings
                                4. Cost Element KA02-Default Account assignment
    But still sytem showing above error message.
    But same gl when i am using in J1IS and Gener posting Cost center picking automatically.
    Please suggest me on this.

    Hello,
    J1IH transaction does not update business area and you can check this in the note 945101.
    I suggest you to manually enter the bussiness area since the current system design is like that.
    So when you go into the detail screen please ensure that you enter business area at each prompt from the system. THis is because the system validates both the balances for each account & business area,
    so you might have to enter it twice.
    The system will dump when you try to exit the transaction without or forcing yourself out of an error.
    This is peculiar to this transaction.
    I hope it answer your inquiry.
    Best Regards,
    Vanessa.

  • Field Prof.Segment is a required field for G/L Account 2100 454010

    Hi Controlling Copa Expert,
    user facing problem, at the time of Business Transaction , getting error while MIRO, " Field Prof.Segment is a required filed for GL 454010, kindly let me know where and wht input parameters for the same. Prof. Segment.
    we have made Copa Report. as per client requirement. in this regard , as i understand ,all P&L GL Cost element field status group Profit Segment Required entry. just wht happened while doing Miro, getting error for 327225 i.e Price Diffrence gain. earlier FSG was G029 but i did changed Profit Segment Required entry . copy from G029 and given new name COPA . and copa FSG Profit segment required entry.
    but finally we have change like earlier FSG i.e G029, coz at the time of Miro Profit segment filed was there but is was not active for input parameters. finally we have resolve the issues without Profitability segment... but its not right.  so kindly requested to you ... where i have to config in Copa report.
    Kind regards
    Pranav Kumar
    SAP FICO Consultant.

    HI Hursikesh,
    i want to give PSG at any how, if  i give as optional problem resolved but Profitability denouement will not generate. we want to give PSG at any how, because we have made FSV financial statement version in FI . client want match through COPA Report. kindly help me how all the business transaction updated with Profitabilty Document generate.plzzze.
    client want material cost under GL Group Head :- Manpower ,Consumables and  Energy GL already assign in PA Structure, under Conversion cost . and revenues. so it will come gross Profit. but revenues updated based on Condition Types .. i don knw why nt updated.. as i understand user skip the PSG thats the reason , thats why i given FSG as mandatory in relevent GL FSG .now tell me wht should i do . for this issues scenarios matching with FSV with COPA report.
    Note : in FSV P&L Account if m not wrong. not balance sheet item. FYI.
    yr quick action will be highly appreciated.
    Kind regards
    Pranav
    SAP FICO Consulatant.

  • Posting Error: Field Pers.No. is a required field for G/L account

    When I am trying to run the simulation posting run (PC00_M99_CIPE) then is getting an error that u201CField Pers.No. is a required field for G/L account 2275 504566872u201D
    Field Pers.No. is a required field for G/L account  2275  504566872
    Message no. F5808
    Diagnosis
    The value for field "Pers.No." in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "504566872" in company code "2275" linked to the field selection for posting key "50".
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Pers.No.". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly.
    Please help.

    First of all did you required to post with personnel number or not....if it is not required then goto FS00 enter your GL account 504566872....find Field Staus Group under tab Create/Bank/Interest........then goto t code OBVV and select your field status group then click on field status and select Additional account assignments and check personnel number status and change as per your requirement optional or required.
    If personnel number required then create symbolic a/c with account type Q and assign gl account to this symbolic a/c.
    Mohan

  • Field Bline date is a required field for G/L account 1200 122400

    While posting a Good receipt document using MIGO for a PO I am recieving the following error
    Field Bline date is a required field for G/L account 1200 122400
    Though both the document date and Posting date fields are filled with appropriate date.
    The detailed message reads as follows, now my question is how to change the baseline date  for the Cocd 1200 for GL account 122400
    Field Bline date is a required field for G/L account 1200 122400
    Message no. F5 808
    Diagnosis
    The value for field "Bline date" in the interface to Financial Accounting is an initial value but you are required to make an entry in the field selection for G/L account "122400" in company code "1200" linked to the field selection for posting key "81".
    System Response
    Error
    Procedure
    It might be an error in the configuration of the G/L account field selection. The initial application, used to call up the interface must otherwise define a value for field "Bline date". If this is the case, contact the consultant responsible for the application used to call up the interface or get in contact with SAP directly.

    Hello Ravinagh,
    Heres what I did:
    OB41> Double clicked on posting key 81> clicked on field status> Payment transactions> Both Due date and Value date have already been set to optional.
    For OB14 it asks me to input a field status variant.
    There are three of them. Now here is the tricky part, how do I find out which field variant has been assigned
    0001     Field status for 0001
    1000     Field status for CoA 1000
    3000     Field status for CoC 3000
    I went further and check for all the three variants one by one
    and found out that in the field status> Payment transactions for the following entry in the field status group
    G045     Goods/invoice received clearing accounts
    The DUE DATE and  VALUE DATE are suppressed. What do I need to do here?
    Next I checked OBB8 to find  the following three Options I dunno which one of them is applicable to the GL account 122400 for Cocd 1200. Where can I find the assignment? How can I find which payment term is being used.
       PayT        Sales text                                                                    
      Day limit   Explanations                                                                  
      0001                                                                               
    0           Payable immediately Due net                                                                               
      0002                                                                               
    0           Within 14 days 3 % cash discount                                              
                  Within 30 days 2 % cash discount                                              
                  Within 45 days Due net                                                                               
      0003                                                                               
    15          Within 14 days 2 % cash discount                                              
                  Within 30 days 1.5 % cash discount                                            
                  Within 45 days Due net                                                        
                  Baseline date on 30 of the month                                              
    Entry 1 of 40                                                                               
    Well I went ahead and clicked on each of them
    For 0001 the Default for Baseline date is set to Posting date (Do I need to change anything here?)
    For 0002 the Default for Baseline date is set to Document date (Do I need to change anything here?)
    For 0003 the Default for Baseline date is set to Posting date (Do I need to change anything here?)
    Please guide me here. If you need screenshots I would be glad to mail it to you.
    I hope you understood the scenario.
    Thanks
    Ron

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