Fs10n

hi friends,
I'm in a support project.....I've seen that in FS10n transaction upon giving the initial input i.e. G/L accs, comp code & Fiscal year we get the G/L accs balances period wise., when we double click on the balance of a particular period it takes us to another screen showing the line items display.....here in the application tool bar I've seen a button (G/L Balances) which is not SAP standard.
Can anybody tell how that could have been added??

If you are working ECC 6 and have activated new GL accounting, then Tcode FS10N is re-directed to t.code  FAGLB03 where by default you get Gl balances display option in Enviornment option of menu bar.
Hope this helps you,
Ketan

Similar Messages

  • Display between open items and cleared items in FS10N

    hello all,
    I have the following problem.
    When I go with FS10N with double click on the initial balance of an G/L account I get the message:
    "A large number of line items were selected
    Recommendation: Only display open items
    Do you want to display open items only?
    Yes or NO?"
    If I click yes, I get the open items only and if I click no, I get the cleared items. The strange thing is that I get same line items in both reports. For example, I can see same line item, one time as cleared (when I click no) and one time as open (when I click yes).
    Do you know the reason for this? For both reports I click on initial balance, so key date should be 01.01.2009, if I run FS10N for fiscal year 2009. Right?
    The user is confused in this situation because he is not sure if the item is cleared or not.
    thanks for quick reply!
    Daniel Nicula.

    If you click yes, you get the open items only , but if I click no, you don't get the cleared items only. With NO, you get ALL items.

  • Balance(total) and line items balance difference in FS10N

    Dear All,
    We are facing an eccentric issue. When we execute transaction FS10N for a particular account,(outgoing cheque account) the balance it is showing is 497,241,737.46. But when we drill down to see the line items balance, it shows a different balance 497,248,376.46. The line items balance is matching with the FBL3N report.
    Can anyone help me for the issue why we are getting different balances in FS10N.
    Regards
    Vinu

    Hello,
    There is a possibility that you have activate line item display for some of the accounts at a later stage. Meaning that earlier postings were not be shown for the earlier postings but only totals will be made available. Therefore, obviously there is bound to be difference between line item report and totals report.
    You need to identify which accounts are being changed with line item display at a later stage.
    In case if you forget to keep GL Line item display for an account, but the posting are already made the following steps you would required to get the line item display retrospectively.
    1. Note that you are NOT required to make the balance of that GL account to ZERO. Please do not confuse with Open Item Management.
    2. Put the check box line item display for the account in FS00. Make sure you are entering right company code.
    3. Block the account for posting in COA Segment and Company Code Segment in FS00
    4. Go to SA38 and run program RFSEPA01 (Give correct GL Account and Company Code)
    5. Now, remove the block you kept on the GL Account in FS00.
    This will reset the line item display retrospectively.
    Hope this will solve your problem.
    Regards,
    Ravi

  • Line items are not showing in fbl3n,fs10n,faglb03,fagll03

    hi experts,
    i am facing a problem to see the line item of inter unit clearing a/c. i am not able to see the line items in fbl3n,fs10n,fagll03 and faglb03. system response is "You have stored account 300000 in company code L001 as a clearing account. At the same time, you use line item management with this account" and"Error message issued because line item display cannot read data for an account in a ledger if line items exist partially in the entry view together with clearing items for which there are no line items. In such cases, only the data with line items would be selected"
    i do not understand the system response. can anyone please help me to solve this problem?
    thanks &regards
    konishko

    sir
    thanks for your reply. as per your suggestion i am trying to change in fs00 to uncheck the line item management but  i am unable to do that,system shows that i have to uncheck the open item managemt also but the said account contain the open item. so i am not able to change the same. is there any other way to do that. can you please suggest me in detail? and one more thing that i am able to see only the balaces in fs10n. but not able to see the line item.this is probably for missing the business area in line item.
    but i needs to see the line items.
    can you please tell me any alternate way in detail to solve this problem?
    thanks and regards
    konishko

  • FS10N cumulative value Table and Fields

    Hi,
    FS10N balances, cumulative balances in which table it will store this values. I am not able to see cumulative balances in BKPF or BSEG. In which table we can see the cumulativie values by period wise for FS10N.
    Thanks
    srinu

    Hi,
    Table GLT0 for classical G/L
    the BAPI is : BAPI_GL_ACC_GETPERIODBALANCES
    These informations will be very useful for your ABAPer if you need an Abap report
    Regards
    Tarek

  • Balance not matching as per FBL5n and FS10N

    When we run the customer balance report FBL5n as on 09/29/2007  on week end it shown a balance ( open item for all customer and recon account  123456 )  of  say 10 M. The same amount we got thru FS10N  we ran on with GL  123456  i.e. 10M. But when we ran the report FBL5n  today ( with same parameter 9/29/07 and recon account 123456,  open items ) we are getting a balance of 13M but our GL balance is still 10M on 9/29/07. Here is my question why the balance has changed  for FBL5N when I am running the report on past date ? I feel it should not. But say there is difference in these two reports, how to reconcile ?
    My problem is I took the balance from FS10N and now I want details of that balance ( customer wise balance )  as on 9/29 . This should match and I need it for auditor .Kindly help me gurus.
    Thanks
    Satya

    Satya,
    The possible diffrence between   FBL5N reports run on first time and second time might be.
    There may be invoices posted to that Customer Accounts with past Posting Date after you took first Report.
    To find out which invoice are posted after you run the report , run FBL5N again with the same parameters and select Entry Date column from the layout and sort it out. If you find some invoices where the Entry Date is past the Date you ran the first Report then these are the invoices which are contributing the diffrences.
    Generally this will happen when Sales/Billing documents are released later to Accounting.
    Thanks
    Sivaram

  • Difference between FS10N and FBL3N

    Friends,
    When we run the FS10N report for a G/L a/c in a company code for the year 2007, it only shows an open balance of X amount. This amount is only for a particular business area. I have checked the settings and the report is not restricted for that business area. In fact when I run FS10N by excluding that business area I do not get any line items.
    However, when we run the report FBL3N for the same a/c for the same company code for open items as on 08-Aug-07, we get another amount Y, which is far bigger than X and contains the line items for all business areas.
    Can you please explain why this is so and what needs to be done so that the amounts of the FS10N and the FBL3N reports are same.
    Also, no archiving or deletion of data has been carried out in the system.
    Thanks & Regards.
    Sameer S. Gupte
    Office: +31 40 2586079
    Cell: +31 6 24978676

    Hi Sameer,
    GL account balance- The balance of a G/L account is the sum of the debit and credit balances of the account.
    There are two types of balances:
    Credit balances
    Debit balances
    Structure: The account balance displays the following:
    The opening balance (the balance carried forward from the previous year)
    The total of all transactions for each posting period, broken down into debit and credit postings (transaction figures)
    From these figures the system also calculates the following for the account balance display:
    The balance per posting period
    The accumulated account balance
    From the SAP Easy Access menu, choose Accounting->Financial Accounting-> General ledger->Account->Display balances.
    Enter the G/L account number, the company code, and the fiscal year. You can also limit the display for a specific business area.
    You can save your selection criteria as a  selection variant. The next time you start the account display, the parameters you selected are already set. To save your settings, choose Goto-> Variants->Save as variant...
    Choose .
    ============================================================
    FBL3N- You can display the line items for one or more accounts.
    Line items are document items that were posted to a specific account. In contrast to a document item, a line item only contains the information from the document that is relevant from the account view.
    You can display the following line items:
    Open items
    Cleared items
    Noted items
    Parked items
    Items with special G/L transactions (in Accounts Receivable and Accounts Payable)
    Items with customer or vendor items (in Accounts Receivable and Accounts Payable)
    You can display the line items for the following account types:
    Customer accounts
    Vendor accounts
    G/L accounts
    Prerequisites
    In order to display the line items for an account, the account must be managed with line item display. This means that you have set the indicator Line item display in the master data of the account.
    This setting is mandatory for customer and vendor accounts.
    For G/L accounts, you have to make this setting in the account master data.
    For more information about the Line item display indicator, see  Defining "Line Item Display"
    Features
    If you have posted a business transaction and want to display the line items, you have the following options:
    Display the document and then the line items. For more information, see  Displaying Documents.
    Display the account and then the line items.
    You can use the following functions to display line items:
    Line Item Display with the SAP List Viewer (ALV)
    This is the standard function. The line items are displayed in a list where you can use the functions of the  SAP List Viewer (ALV) for creating the layout, for example, sorting, creating totals, and so on.
    Classic Line Item Display
    You can only use the classic line item display as a modification solution.
    Hope I had beena ble to help you. pleaze assign points.
    Rgds
    Manish

  • How can I tally the fs10n and fbl3n balance?

    Hi sap gurus,
    I have got issue regarding the fs10n and fbl3n balance variance in production system.
    Hence i would like to request you all please provide solution for early.
    Advance thanks
    Regards
    Rakesh

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    the only part you will be able to see is what you would see in this post here: /t5/Nokia-Lumia/Transfer-file-for-920/m-p/1605954#M24335
    the rest is locked unless you have developer access, and even then not much as you would just use the SDK to make your applications.

  • Problem regarding difference in FS10N and FBL3N

    Dear Friends,
         We are facing a problem where the balance of FBL3N does not match with balance of FS10N for all reconciliation accounts for vendors (K). In fact FS10N itself the cumulative balance for a particular month doesn't match with line items if we go from the same report.

    Hi,
    1)FS10N will also carry opening balance of the year...hence the balance of FS10N will not match with FBL3N because FBL3N for current period/year line item display without opening balance.
    2) If FS10N itself is not correct means...may be of morethan one currency could have involved for the same GL.
    Regards/Velumani

  • Problem in F.08 and FS10N reports

    Hi Shiba,
    thanks for your reply ,but i dont want to change all data from faglflexa only business area field updation is required for balance
    sheet instead of blank.
    so plz tell me any idea how there values will reflected in F.08 and FS10N reports.
    Regards,
    Jyotsna

    If you can remember in previous reply I have mentioned three table names. It seems to me FAGLFLEXT is using for both the tcode. But if you are directly changing the table data then think twice before changiging.
    Regards
    Shiba Prasad Dutta

  • Sales order are not coming in FS10N ?

    Issue:  How is it possible to see number of sales order in the detail of item in the transaction FS10N?
    When i see the Transaction FS10N for 2011 , at item level Sale Documents are Present , but when i Use the Same FS10N for 2012 , Sale Document values are not present ?
    Kindly tell me the possiblities why the Sale Document Values are not Coming ? Its Urgent .
    Best Regards
    Amit Arora

    Did you install any major upgrades or other system changes recently?  I am not saying that that could cause this, but I really cannot think of anything that would suddenly stop populating Sales Document and Sales Document Item when you enter a new fiscal year.  Also, are you sure you are looking at the line items that originated in the SD module?

  • FS10N  g/l Balance not show

    Dear Guru ,
      Issue is , When i Check GR/IR Clearing  /ac in FS10N , the for period 1, 2 and 3 Period toal dr and cr Balance does not display.
    balancy disply only for 4 and 5 Balance .
    I already check in GLT0 Table , thr also sys does not show  G/L Bal.
    When i check for period 1,2, 3 line item showing in the fs10n , but only total  DR/CRbal does not show in FS1ON .
    How to resolve this issue .
    Wear using 4.7 Version .
    Thanks in Advance .
    Milind

    Dear ,
    Yes thr already balance carrie forward process done at the time of year end process .
    an i aleady check every thing in perticulre g/l entris and g/l all tables.
    Please suggest what I can do ..
    Regards ,
    MILIND

  • Error in FS10N transaction or RFSSLD00 report -ECC 6.0

    Hi,
    When I cancelled an invoice, I used VF11 transaction, the system generated a FI document.
    This document is:
    12 "AR account" "Flag -Negative posting"     1000
    40 + "GL account X" + "Flag -Negative posting" 1000
    When I run FS10N transaction or RFSSLD00 to "GL account X", the system have displayed an amount of 1000 on debit at "GL account X" even if the combination 40 + "GL account X" + "Flag -Negative posting" should be displayed on credit.
    I had run RFINDEX report with flag on "Indexes Trans. Fig" and the system shows a difference between "Indexes currency" and "Table currency", could you please tell me how to correct this reconciliation.
    Regards,
    Ionel M.

    Check OSS Note 700015 - MIGO: Customer-specific movement types cannot be used
    Regards

  • BW Extractor for FS10N Repot

    Hello all,
    I have seen few threads on BW extractors for FS10N report.
    I would like to know which is the best BW extractor to use for FS10N report.
    Is it 0FI_GL_4 or 0FI_GL_10 or 0FI_GL_1? Could anyone please suggest.
    Thanks,
    Praveen Tati

    Thank you Murali.
    The table FAGL_ACTIVEC has no entries in ECC. I assume it is not active.
    I will use 0FI_GL_4 extractor and enhance as per the requirement.
    Could you please tell me what setting I need to do to get latest delta's when I run data load from BW?
    I understand that I need to do some settings in tables BWOM_SETTINGS, BWOM2_TIMEST.
    Thank you very much.
    Praveen
    Edited by: Praveen Tati on Jun 17, 2011 11:12 PM

  • To find open line items as in FS10N

    Hi Friends,
    I need your advise since I don't know the accounting funtionality happening in FS10N open items with standard tables (open items).
    The open line items available or showing in FS10N which is not stored in open item tables like BSIS,BSID or BSIK. Some are saved/available in cleard items tables such as BSAS,BSAD or BSAK. But if i consider for my report purpose, ther are other line items of the same document which are coming up in my report those are cleared and not needed as per requirement.
    My FI cons says, those document stored in cleared items table(which are still open items in FS10N) are still need to be cleared.
    *******In FAGLFLEXA table, i couldn't able to find how to filter a document which is open or cleared item.
    Please help me how to differentiate and get my open line items from the tables as same as stored in FS10N.
    thanks & regards
    Sankar.

    Hi,
    Let me explain the link betwee tables so that you understand the flow. All accounting documents are stored in BKPF (header data) and BSEG (Line item). From BSEG, the line items are identified according to their account types - K (vendors) D (Customers) and S (GL accounts) and copied to their secondary indes tables.
    Each of the above account types have two tables (also called secondary index tables) -
    S - BSAS (Cleared items) and BSIS (Open Items)
    K - BSAK (Cleared items) and BSIK (Open Items)
    D - BSAD (Cleared items) and BSID (Open Items).
    Now as per your question, FS10N is for GL acoount balance, so you need to refer to BSAS (for cleared items) and BSIS (for open items).
    If you could explain your rquirement in the report, I can try and give you a logic.
    Hope this helps.
    Thanks and Regards,
    Anit

  • Material description in FS10N Report.

    Hello All,
    We want to populate material description in the FS10N report. The field is available but text is not appearing for any transactions.
    Please provide your valuable inputs, thanks in advance.
    Regards,
    Ratnam

    Hi,
    you will get Material Discription in FS10n through user exit,
    Please discuss with APAPer and find the user exist.
    Regards
    Viswa

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