Fund Flow Report

Can we generate the Fund Flow report in SAP B1. Fund Flow Analysis being a Management Accounting tool, one of our SAP B1 client  is looking for this report.

Gordon,
Thank You.
Can you please let us know whether any of the approaches which you had mentioned is available in SAP B1 ? If available, do let us know how to utilize the report.
Best Regards,
Bharathi

Similar Messages

  • Help needed in funds flow report

    hi anybody worked on funds flow in FI...can you send some sample programs or Specs if possible

    please anybody worked on funds/cash flow...help required

  • Report for Cash flow (fund flow from Bank GL)

    Hi Expert,
    I would like to have your advice on how can I create this type of report?  Is it better using Fund Management?
    My client is asking on cash flow report in which the report should show all fund (cash at bank) movement.  Basically, the report should have 2 main category, which are Cash Inflow / Cash Outflow,for example:
    Cash Inflow
    - Payment received from customer
    - Interest received from FD at Bank
    - Other receipts
    - Government Subsidy Received
    - Government Grant
    Cash Outflow
    - Payment to vendor
    - Finance charge paid to bank (overdraft/loan, etc)
    - Operating Expenses
    - CAPEX
    - Other Payments
    For cash inflow, double entries involve to bank GL is as follows:
    DR Bank
    CR Item listed in cash inflow section, for example: payment received from customer (or CR csutomer), FD interest received (Revenue item of P/L), etc
    For cash outflow, double entries involve to bank GL is as follows:
    DR  Item listed in cash outflow section, for example: payment to vendor (or DR vendor), Payment to non-trade vendor (for asset purchase, etc), Interest paid (expense item of P/L), etc
    Questions:
    Since my debit or credit leg of my bank account, currently does not have any indicator that can explicitly indicator the nature of my inflow and outflow, how can I produce my report of cash flow show above?
    Note: It is extremely heavy for customized ABAP program to extract my bank entry and point back to the opposite leg to find the nature of my inflow/outflow as well.
    Kindly advise.
    Thanks in advance,
    sbmel

    Hi
    In ECC 6.0 EhP4 - A new feature has been added inorder to provide such a kind of cash flow report... You need to activate Business Function PSM_FA_CASH..
    Refer this link http://help.sap.com/erp2005_ehp_04/helpdata/EN/42/e34f2c31023ee1e10000000a1553f6/frameset.htm...
    ... Under Business Functions in SAP ERP > Enterprise Busn Func > Accounting > Public Sector management > PSM, Cash basis accounting & Cash flow reporting
    Once you activate it, you will find additional nodes of IMG under SPRO > Public Sector management.....
    This works the same way as Doc Splitting... technically speaking, this new feature is extended arm of Doc Spliting... In Doc Splitting, you assign item Categories to each GL Account.... Similarly, you will assign a "Revenue / Expense Account" to each GL Account.... This R/E Account can be any alpha numeric text.... This R/E account then gets added as a Doc Splittin Char and is populated in every FI Doc that you post
    I have tried this in a test client a year ago and was more or less satisified with it barring some exceptions....
    br, Ajay M

  • CASH FLOW REPORT FROM FUNDS MANAGEMENT

    Hi All
      I am in the mid of BW implementation for FI and FM reports.
    As part of this i have to create CASH FLOW report..
    Currently the user using a SAP report from , Funds Management, FMEM which points to the structure IFMEISB , Cash Budget Management.
    Is there any datasource is available in FM to access this structure?
    Otherwise any body knows what are tables in FM has to be extracted for this puropes..
    Regards
    Mano

    Hi
    You can check the Financials business contect.
    Funds management
    http://help.sap.com/saphelp_nw04/helpdata/en/71/d3143cb1b8be00e10000000a114084/frameset.htm
    Have a look at these data sources:
    http://help.sap.com/saphelp_nw04/helpdata/en/b5/12163c240a9440e10000000a114084/content.htm
    http://help.sap.com/saphelp_nw04/helpdata/en/d3/29ae399c1a6651e10000000a114084/content.htm
    Data sources for funds management
    http://help.sap.com/saphelp_bw33/helpdata/en/ba/c8ad3928a07c50e10000000a114084/frameset.htm
    Regards
    Naveen
    PS: Assigning point to the helpful answers is the way of saying thanks in SDN

  • Fund Flow & cash Flow

    hi...
    whr we can get Fund Flow & cash Flow in system?
    Thanks & Regards
    Rekha sharma

    Hello,
    There is no report that is directly gives you cash flow statement with reference to your requirement. The accounts in your chart of account would be different and the requirements are ever changings for organization to organization.
    You have to design a FORM in FSI4. If you have any doubt, then see some reference forms available in FSI6. You should bring these values as FS Items into the FORM from your Financial Statement Version (FSV) which you must have already been created in OB58
    Once you have created the form in FSI4, then assign this form to the report in FSI1.
    Thanks,
    Ravi

  • Fund flow statement

    hai,
    how to configure fund flow statement? there are two methods is available for cash flow statement(direct & indirect) shall i use this or any other methods is available.
    govind.

    Hello,
    Create a form using FSI4 - Refer standard forms available in FSI5 and FSI6.
    Create a report by using FSI1 (assign the form that you have created FSI4) - Refer standard reports available in FSI2 and FSI3.
    Please make sure that you have completed your Financial Statement Version in all respects, before designing your cash flow statement. OB58.
    Cash Flow Statement (Indirect Method) Variant 1 and Variant 2, please note that these reports are coming from the form 0SAPRATIO-03 Cash flow (indirect) (Refer T code FSI5) and Reports 0SAPRATIO-03 Cash flow (indirect method) variant 1 (Refer Tcode FSI2) & 0SAPRATIO-01 Cash flow (indirect method) variant 2 (Refer T code FSI2)
    0SAPRATIO-04 Cash flow (direct) Form
    0SAPRATIO-04 Cash flow (direct method)
    You should know what format you would like to see in the cash flow statement.
    You should use the FS items accordingly copy the standard forms and changed according to your format.
    You should be conversant enough to do basic report painter.
    Pelase let me know if you need further help.
    Regards,
    Ravi

  • Cash Flow Statement & Funds Flow Statement

    Hi,
    Good day!
    I'm currently working on a project where I have to generate a Cash Flow Statement & Funds Flow Statement from SAP. I would just like to ask how to generate the same and what tables or databases I need to consider or check in preparing it.
    Regards,
    Nimish Agarwal

    Dear Colleagues:
    I would like to ask you if you know a Report that cover the requirement of "State of origin and application of Funds" Report. I would need an Standard Report in SAP in order not to make a Z development.
    Your Sincerely
    leonardo lopez
    FI Consultant.

  • Cash Flow & Funds Flow Statement

    Hi
    Can we create the Cash Flow & Funds Flow Statement in SAP as per Schedule 6 of Comapnies Act?
    Regards
    Shelia

    Dear Shelia,
    You will get the cash / funds flow statement as per AS3 thru creating ur own form from FSI4 & running the standard SAP report S_ALR_87012272 / 2273 - Cash Flow (Indirect Method) Variant 1 / 2.
    Thanks & Regards
    CA. Anuj Agarwal

  • Funds Flow BPC 10.0 NW

    Hello Experts,
    We have to prepare "Funds flow Statement" for BPC 10.0 NW.
    The requirement is as follows:
    Data is coming from BI which comprises of Trial Balance.
    2 reporting period shall be selected. If the diff. between the group comprising of GL A/c. is positive it is to be considered as "Sources of Funds" and if it is negative it will be considered as "Application of Funds"
    I would like to know how it is possible in BPC reports.
    Regards
    CA

    For sure it's possible:
    1. You can do it on the report level
    2. You can do it with script to calculate additional accounts Sources of Funds/Application of funds.
    Vadim

  • Re: Cash flow statement&Funds flow statement

    Hi team,
         I have a requirement regarding the cash flow and funds flow .Cleint wants to see the cash flow and funds flow statement and totall outsattnding and the total fund to be consumed.We didnt immplimented treasurey.without treasury how can we retrive this report .Please do the needfull.
    Regards,
    Suma.

    Dear Colleagues:
    I would like to ask you if you know a Report that cover the requirement of "State of origin and application of Funds" Report. I would need an Standard Report in SAP in order not to make a Z development.
    Your Sincerely
    leonardo lopez
    FI Consultant.

  • Cash Flow report in Report Painter

    Hi,
    I am trying to make a cash flow report in Report Painter.
    Can any one help me with steps or config material so that i can prepare and tally the cash flow report being generated in Report Painter.
    Also there are report line items where by the figures are getting populated but are not tallying with the GL balance, if seen individually by going to GL line item display
    Thanking You,
    Parin

    HI
    GOOD
    I NEVER WORK ON THIS BUT HERE I AM GIVING SOME LINKS , I HOPE YOU WILL GET SOME IDEA FOR YOUR PROBLEM.
    http://www.asug.com/client_files/Calendar/Upload/BPS%20presentation%20to%20Indiana%20ASUG%202-10-06.ppt
    http://sap.ittoolbox.com/groups/technical-functional/SAP-R3-ACCT/cash-flow-report-642778
    THANKS
    MRUTYUN

  • URGENT..How to Run Cash Flow Report.

    How do I run the cashflow report. I opened the cash flow report by going in t.code S_ALR_87012272. I entered the co. code and the g/l accounts, and the fiscal year and executed the report. But it opened a screen with no records found, although the g/l accounts have balances. Why are they not getting picked up. Is there a special way to run the cash flows report. Is it different from Financial Statement version. It is very urgent, so if I can get some help, I will greatly appreciate it.
    Thanks
    Lakshmi

    Hi Krishnan,
    Can you please tell me why is the cash flow report not picking any data though I assigned the correct FSV to it. There is another thing that I wouldlike to mention here. When I go in report painter and display the form for cash flow,though I have assigned the correct FSV in General selection, I see the FS item as 300000 which is not what is on the financial statement. On the financial statment version it is the text like petty cash and not any number like 300000 as financial item. Do I need to set up petty cash in the form in place of 300000 (because 300000 does not exist in fsv as a finacial item) Does it eman I will have to enter for each items on the cash flow report
    Thanks in advance
    Lakshmi

  • Cash Flow Report

    What are the different ways or steps  to study SAP Standard Cash Flow statement?
    Actually My client want to check Working Capital Report Can I compare it with Cash Flow or not?

    Hi,
    There is no Working capital report in SAP B1. Use standard cash flow report.
    To know difference between working capital and cash flow, please refer below link,
    Difference Between Cash Flow and Working Capital | Chron.com
    Thanks & Regards,
    Nagarajan

  • Financial Statement - FGI3 for fund balance reporting from FMGLFLEXT

    Hi Guys,
    We are on ECC 6.0 with PSM and new GL turned on. The issue is that my users want to see the same financial statement as they saw in classic GL with their R/3.
    SAP has a fund balance report or otherwise the financial statements for public sector with its ISPS components like fund and grants from FMGLFLEXT, which is the totals table.
    To arrive at the financial statements, we have a report group which can be run from FGI3 and it pulls values out of FMGLFLEXT and SAP's standard combination for slicing on the report feature are
    1. account number
    2. FS item/account description (the further click on this account name gives you account number)
    3. Funds and
    4. possible account assignments from FM like grants or business area depending on your active components.
    Is there a standard display, wherein, it gives a FS Item/Acct number/account name like the standard reporting feature in classic GL. It makes it so easy to read the financial statements. Since they being a report painter/writer reports, we can tweek them to get the desired output but shouldnt it be the standard feature of SAP to provide that.
    I was curious to know, if SAP delivers that reporting feature and i am not able to spot it or is it that we have to change it.
    It will be very helpful, we are going live in a very short time.
    Thanks

    Hello
    Business area balance sheet extracts are not legally or statutorily complete because there are certain GL account balances like, reserves, equity, some unsecured loans which are difficult to be assigned to a specific business area.
    Ideally, business area analysis is restricted to profitablity and an overview of assets & liabilities specific to BA.
    So your requirement is tough and even if you shift to PCA, these issues still arise.
    Since they are internal to the client, better look for workaround solutions.
    Reg
    Suresh

  • FI Cash in flow and Out flow report

    Hi  Experts,
    How to get a report from BSEG and SKA1 tables based on refrence key and g/L account.
    the user asked a report cash in flow and cash out flow report by joining these two tables.
    Pls suggest how to achive this?
    thanks,
    Anand Reddy

    Hi Reddy,
    0GL_ACCOUNT_ATTR is the datasource for table SKA1.
    0FI_GL_14 is the data source related to table BSEG.
    create an infoset or MP on top of these two and build the report.
    Edited by: prashanthk on Oct 1, 2010 1:18 PM

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