Functional Areas in Financial Statement Version in 4.70
I have configured functional areas, assigned them to GL accounts and cost centers. I created a new financial statement version that allows Functional Areas and assigned functional areas to the specific areas of the report (Sales, cost of sales, g&a, etc.) When I run this financial statement version, nothing shows up under functional areas even though there are postings to accounts with functional areas. All accounts show up under not assigned.
I have found a note that references this for 5.0 and 6.0. Is there something out there for 4.7 or am I missing something in my configuration?
Thanks,
Bill
Hi shailender,
Yes, i can try your option but this is not the solution;
i have a requirement, where out of 6 sub items i have to do summation of only 4 sub items and later we may require to do summation of all the 6 sun items.., so i dont want to create seperate two items..,
so, can we achieve the this?
Thanks Vidya
Similar Messages
-
Functional area wise Financial statement version
Hi Friends
I have created Financial Statement version with functional areau2019s and i have assigned all function areas in FSV. But when I run F.01, I am unable to get functional area wise report.
Can anybody tell me, where I am missing..?. Is there any other setting for get Functional area wise report?
Thank & Regards
KiranHi All,
I am also confuse, as my requirement I need to prepare financial statement version as below example.
GL:Salary - 660000
Functional Area:200-Production/100-Marketing
All the posting will happen to GL 660000 with FA 100 & 200
I need to prepare FI statement as follows
Salary:
- Production Salary
- Marketing Salary
OR
Production Expense:
-Salary
Marketing Expense:
-Salary
So I created FI statement version using OB58 with functional area permitted but I cannot link functional area & GL to cater my requirement.I don't understand if we cannot cater this type of requirement why they introduce thin functional area feature? Appreciate some one can give me a better explanation.
Thanks
Nilanka -
Functional Area wise financial Statements
Hi Experts,
Can anyone please let me know whether is it possible to create financial statements according to functional Area.
Thanks&Regards
SrinivasHi,
Definitely it will possible.
Activate cost of sales accounting to your company code(check in OBY6).
Now functional area field is visible in GL master. Otherwise you can assign functional areas to Cost cnters and Internal orders.
There are so many drill down reports available to see the figures functional area wise.
Rgds
Swapna -
Financial statement version:functional area
Hi,
I created a financial statement version with functional area and run it(S_PL0_86000032 ) , most items are correct, however, the item which assigned function area always 0, this means that system can not get any data via function area. would anyone help me?
Rgds,
WubinHello
If you want to define a financial statement version with functional areas, these functions are limited. You cannot use the following functions:
Balance-Dependent Display
You cannot display functional areas dependent on the balance, that is, assign them to a different item dependent on the balance.
· Debit/Credit Shift
You cannot define items to which you have assigned functional areas as debit/credit shift items.
· Check for Completeness
You cannot use the check for completeness for financial statement versions with functional areas.
You also have to carry out the following additional activities:
1. When you enter the general data, set the Functional area permitted indicator.
You then have the option of assigning either accounts or functional areas to an item in your financial statement version.
2. Assign the required functional areas or functional area intervals to your P&L items
Before setting the indicator please go through this help link
http://help.sap.com/saphelp_erp2005vp/helpdata/en/b5/688b8ea30d11d39759006094b969cf/frameset.htm
regards -
Financial Statement Version - Value Help Function Module
Hi,
I want a function module or a bapi which retrieves all the Financial Statement Versions defined in the system, just like bapi_companycode_getlist which list down all the company code.
Thanks,
James.Hi Drogo ( sorry u didn't make it to more sessions )
that Ledger above which Dinesh Kumar Rengarajan menitone is only relevant when New GL is activated. I think you didn't have New GL active or?
Please use simply in F.01 "Special evaluatioins" and field Alternative period selection ( for referenc use simply F1 ... it will show this example
Examples
Company code 0001 with fiscal year end 12
Company code 0002 with fiscal year end 09Calendar reporting period............. 01/01/1990 - 12/31/1990
The periods 1990/01 to 1990/16 are used as reporting periods for company code 0001 and the periods 1990/04 to 1990/16 and 1991/01 to 1991/03 are used as reporting periods for company code 0002. The same is valid for the comparison period.
I think this is what you want or?
Regards
Jan -
Are Financial Statement Versions Transportable?
Hi All,
I was wondering if financial statement versions can be transported from one client to another, and if so, how this can be done.
Any response will be greatly appreciated!
Thanks!!
- DekiHi..
You can copy the FSV(any config setting) from client to other using T.code SCC1.
Use SCC1 in the target Client. All that you need is the request number for the config of the FSV generated in the source client.
FSV can also be transported from one server to the other.
Please assign points if useful
Regards
Aravind -
Financial statement version in gl accounting
hello all,
What is a financial statement version in G/l accounting. How do we replicate it on BW side. I am trying to do reports like cash flow, net assets, and the functional consultant provided me with information saying that you will get financial statement version so we do we use that.
Are there any particular tips that someone can provide to develop queries for there reports?
Thanks in advanceHave loaded hierarchy of FSV from R/3 to BW. Hierarchy is getting displayed in 0GL_ACCOUNT. There is a second level node called Net Profit / Loss, where there is no child node. But when we run the query then some value comes corresponding to that node also under 0COA/0PLRESULT (which is some sort of a calculation or net off happening & value gets correspond to this node).
Now this value is getting displayed, similarly here is a node getting displayed under Source of Funds node, called Share holders Funds, now a child node of this is P & L Profit which is similar to the earlier blank node i.e. without any child node. In R/3 side this corresponds to
0COBSPLRESULT. But this is not getting displayed in the query. That particular node itself is not appearing in the query. In the query instead of appearing under the respective node this value is appearing under unassigned nodes.
What checks can be made to bring the value in query corresponding to the hierarchy how it is in hierarchy screen ?? -
Uloading Financial Statement Version
Hi Gurus,
I have a requirement, where need to update Financial Statement Versions(FSV) using FSE2.
Need to develop a report to update the FSV.
Need to know the funcation module which can update the same.Hi,
(not a solution, some hints...)
The FM FI_IMPORT_BALANCE_SHEET_TEXT copies FSV texts into internal table X011Q.
The FM FI_IMPORT_BALANCE_SHEET_POS copies FSV values into internal table X011Z, X011P, X011S and X011V (try the function in SE37 for understanding the contents of theses internal tables).
I'm using these functions in some programs for finding the general accounts under a given node.
I have seen the existence of FM FI_EXPORT_BALANCE_SHEET_TEXT and FI_EXPORT_BALANCE_SHEET_POS, so I think it is also possible to copy the data from internal tables to FSV, but these functions are not released and I don't know any official program in which they are used. I didn't see any documentation for the usage of these functions, so I should not use them ...
(I'm working in 4.7) -
Hi All,
I am trying to update the Financial Statement Versions in lower systems with that of Production.
Am using Xml to bring on the data from Production system to DEV box.
I have the data as follows:
Node_tab:
Record Type - Record Type A, P, G etc
Record Name - Name of the Record
Level - Node Level
Parent - Parent of the current node
Child - Child of the current node
Next - Next node for the current node
Desc - Description of the node
Can someone tell me the criteria on which following tables are populated.
FAGL_011PC
FAGL_011ZC
FAGL_011SC
FAGL_011VC
FAGL_011FC
We have a Function Module FAGL_FSV_POS_UPDATE, that is based on these tables for updation of a FSV.
Regards
RajClient is looking upon TDMS (Test Data Migration Server) to replicate the PRD data into lower systems.
-
How to extract the Financial statement version from R/3 to BW
Hi all,
I've used the business content to extract the details of SAP R/3 G/L account details to BW. Now, I need to extract the Financial statement version also from R/3 to SAP. Is there any business content object available for the same?
Thanks in advance,
Sam.Use cube: 0FIGL_C01 with 0GL_ACCOUNT. Load the text and attributes for 0GL_ACCOUNT and the hierarchy based on FSVs in R/3.Build your Balance Sheets and Income Statemments in this.
If your FSV has balance dependancies: say if the accounts in the FSV move from one node to another depending on their balance at run time, then you will have to use the virtual cube (0FIGL_VC1) along with info-object 0GLACCEXT. However from my experience with VC1, there are a lot of restrictions and inconsistencies that you will have to contend with while working with this cube.
Cheers
Anand -
Runtime Error while creating FINANCIAL STATEMENT VERSION
Hi Experts,
The major concern of the problem is related with the new creation of FINANCIAL STATEMENT VERSION.
(SPRO --> IMG --> Financial Accounting --> General Ledger Accounting --> Business Transactinons --> Closing > Document> Define Financial Statement Versions.)
My quries is that is it possiable to maintain more then one FSV for the same company code or for same chart of account.
If yes then we are trying to do it . But the problem reflect, be the indication that we can`t maintain more then one code.
Its giving an runtime error
Runtime Errors SAPSQL_ARRAY_INSERT_DUPREC
Except. CX_SY_OPEN_SQL_DB
Date and Time 15.03.2008 18:36:04
Short text
The ABAP/4 Open SQL array insert results in duplicate database records.
What happened?
Error in the ABAP Application Program
The current ABAP program "SAPLFAGL_FSV" had to be terminated because it has
come across a statement that unfortunately cannot be executed.
Error analysis
An exception occurred that is explained in detail below.
The exception, which is assigned to class 'CX_SY_OPEN_SQL_DB', was not caught
in
procedure "FSV_TEXTS_CONVERT" "(FORM)", nor was it propagated by a RAISING
clause.
Since the caller of the procedure could not have anticipated that the
exception would occur, the current program is terminated.
The reason for the exception is:
If you use an ABAP/4 Open SQL array insert to insert a record in
the database and that record already exists with the same key,
this results in a termination.
(With an ABAP/4 Open SQL single record insert in the same error
situation, processing does not terminate, but SY-SUBRC is set to 4.)
We are trying Its giving an abap dump
Rest the technicall aspect that is comming in ABAP Dump i am not
getting.....so pls inquire according to yourself.
Kind Regards,
SudhanshuHello
Logically speaking, a company code can have more than one FSV as long as they share the same chart of accounts.
When COA is common, the FSV pattern can be designed seperatly to serve the purpose of varied reporting.
The dump you are getting is a temporary snag. Take a screen shot from SM54 after you execute the report and pass it to BASIS for analysis. They would fix that.
Reg
assign points if useful -
Financial statement version in fs00 how do i change the lanugage to english
Hi Experts
I am currently asked to train a beginners course AC010 for FI. Below is one of the tasks i have to take the students through.Please look at F is where my question is??
Enter the new G/L account 700## in the financial statement version INT so that it
appears as the correct balance sheet item when the balance sheet is run.
1. The new account has to be entered in financial statement version INT. Enter
it in the same financial statement item as reference account 70 000.
a) If you have exited the previous screen, choose Accountingu2192Financial
Accounting u2192 General Ledger u2192 Master Records u2192 G/L Accounts u2192
Individual Processing u2192 In Company Code.
Fill in the following data.
Field Name Value
G/L account 700##
Company Code 1000
b) Choose Change.
Continued on next page
68 © 2006 SAP AG. All rights reserved. 2006/Q2
AC010 Lesson: G/L Master Records
c) Choose Edit Financial Statement Version.
d) Enter the following in the Select Financial Statement Version dialog
box.
Field Name Value
Financial statement version INT
e) Click Choose.
If you did remain in the screen from the previous exercise, the financial
statement should be automatically expanded to show you where the
reference account, 70 000, is located in the financial statement version.
If you have to call up the screen again, the financial statement version
does not automatically open at account 70 000. In this case, execute
the following step.
f) Drill down to the Liabilities u2192 Equity Capital u2192 Subscribed Capital
balance sheet item by clicking the folder icon in front of the balance
sheet item.(ALL these are displayed in another language how do i change to english??????????????????????????????????????????)
g) Select Subscribed Capital and choose Assign Accounts at the top of the
screen. Insert in the line From acct. To acct. the interval 700## to
700##. Select D & C (for debit and credit balance). If you do not see a
free row where you can enter your account, use the Next Page icon at
the bottom right of the dialogue box to insert an empty row. Do not type
over an existing account, as you will replace it with your account!
h) Choose Continue (Enter).
i) Choose Save.Hello,
If you want to change the GL account language, then FS00 check last tabs.
If you want to change FSV language, then copy the FSV to another language in OB58
Regards,
Ravi -
Guru's
Everytime when we want to change the Financial Statement Version we are getting an erro " client 900 has status 'not modifiable'.
At the same time we are not interested in client(900) to be opened for one such transaction.
Is there any other way to solve this issue.
Please help.
ThanksHarish,
It is standard to Transport FSV, the only complication in transporting is if it has been translated into additional Languages.
Kind regards -
Financial Statement Version Extract
Hi,
I have to down load the Financial Statement Version.
We can see it using T-Code 'FSE3'.
Requirement is to download the structure in CSV file.
File layout is:
PARENT,CHILD,DESCRIPTION OF CHILD
Is there any BAPI or Function module available that gives the structure or any other way to get it.
Will appreciate response.
Thanks
RohitSee report bellow, execute and see content of internal table <b>node_tab</b> before "WRITE 'Hello'.":
REPORT ztemp_estructura_balance MESSAGE-ID fe.
TYPE-POOLS:
fibs.
TABLES: t011, rfgbst.
TYPES:
t_flag TYPE c,
t_bs_node_id TYPE fibs_bs_node_id,
t_bs_node_tab TYPE t_bs_node_id OCCURS 50,
t_bs_type TYPE i.
TYPES:
BEGIN OF t_bs_info,
* info about BS given out to clients
ktopl LIKE t011-ktopl,
xauto LIKE t011-xauto,
type TYPE t_bs_type,
END OF t_bs_info.
CONSTANTS:
true TYPE t_flag VALUE 'X',
false TYPE t_flag VALUE ' '.
DATA: versn LIKE t011-versn VALUE 'CTIY'.
DATA: node_tab LIKE snodetext OCCURS 0 WITH HEADER LINE.
DATA: bs_info TYPE t_bs_info.
SELECT SINGLE * FROM t011
WHERE versn = versn.
* Load the structure from DB
PERFORM load_versn
USING versn.
* Create the node table for the function module displaying the tree
PERFORM create_node_tab
TABLES node_tab.
WRITE 'Hello'.
* Load the version (again) *
FORM load_versn
USING versn.
* Load the version
CALL FUNCTION 'FI_BS_LOAD'
EXPORTING
version = versn
IMPORTING
bs_info = bs_info.
* Load the texts
PERFORM load_versn_text.
ENDFORM. " LOAD_VERSN
*& Form LOAD_VERSN_TEXT
* Load the texts of the version *
FORM load_versn_text.
DATA:
flg_langu_maint TYPE t_flag VALUE false,
flg_sylangu_not_found TYPE t_flag,
maint_langu LIKE sy-langu.
CALL FUNCTION 'FI_BS_LOAD_LANGU'
EXPORTING
flg_langu_maint = flg_langu_maint
IMPORTING
flg_sylangu_not_found = flg_sylangu_not_found
maint_langu = maint_langu
EXCEPTIONS
OTHERS = 1.
* if maintenance language was loaded, because sy-langu was not found
IF flg_sylangu_not_found = true.
MESSAGE s741 WITH sy-langu maint_langu.
ENDIF.
* if maintenance language is wanted, but is different from SY-LANGU
* tell him
IF flg_langu_maint = true AND
maint_langu <> sy-langu.
MESSAGE s742 WITH maint_langu versn.
ENDIF.
ENDFORM. " LOAD_VERSN_TEXT
*& Form CREATE_NODE_TAB
* text *
FORM create_node_tab
TABLES node_tab STRUCTURE node_tab.
REFRESH node_tab.
DATA:
root_id TYPE t_bs_node_id.
* Get the root
CALL FUNCTION 'FI_BS_GET_ROOT'
IMPORTING
root_id = root_id
EXCEPTIONS
not_found = 01.
* Recursively add nodes
PERFORM add_node_with_subtree
TABLES node_tab
USING 1
root_id.
ENDFORM. " CREATE_NODE_TAB
*& Form ADD_NODE_WITH_SUBTREE
* Recursively add a node with its subtree *
FORM add_node_with_subtree
TABLES node_tab STRUCTURE node_tab
USING value(level) TYPE i
value(node_id) TYPE t_bs_node_id.
DATA:
children_node_tab TYPE t_bs_node_tab WITH HEADER LINE.
* Get the display info
CALL FUNCTION 'FI_BS_NODE_GET_SNODETEXT'
EXPORTING
node_id = node_id
with_gl_accounts = rfgbst-glac_on
IMPORTING
attr = node_tab
EXCEPTIONS
node_not_found = 01.
node_tab-tlevel = level.
APPEND node_tab.
* And do the same for its children
level = level + 1.
CALL FUNCTION 'FI_BS_NODE_GET_CHILDREN'
EXPORTING
node = node_id
with_gl_accounts = rfgbst-glac_on
TABLES
children_node_tab = children_node_tab
EXCEPTIONS
node_not_found = 01.
LOOP AT children_node_tab.
PERFORM add_node_with_subtree
TABLES node_tab
USING level
children_node_tab.
ENDLOOP.
ENDFORM. " ADD_NODE_WITH_SUBTREE -
Import / Export Financial Statement Version
My customer wishes to edit the Financial Statement Version, particularly the Account Group Hierarchies, in the Production environment. This can be accomplished by implementing OSS Note 200674.
However, our issue is, how do we get those changes to the FSV to be reflected in our lower (Development) environment? We have an ALE in place for GLMAST which pushes down the account numbers themselves. But changes to the FSV, movements of an account from one node in the hierarchy to another, are not reflected in the lower environment. Is it possible to export the FSV from Production to an external file, then import that file into the Development environment? Is there an ALE object that could handle this task.
Thanks in advance for any help you may be able to provide.
Regards,
ShawnHi,
You can transport the FSV from the producton system.
Go to SPRO to Define Financial Statement Versions node. select your FSV, click on "Tableview" on left corner of screen & click "Transport".
Create a transport request. Here you may need BASIS help---Download the CO file & Data file of this request on your system (desktop).
Import these files to development system. This will bring the necessary changes to FSV on Development system.
Hope this helps.
Regards,
Ashutosh
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