Funds Management account assignments

Hi,
I am facing "Checking the Funds Management account assignments revealed an error" error while generating payroll posting document after implementation of new HR patchs in my production server.
Pls. let me know, how to resolve
Urvang

Hi,
Pl. apply the corrections as per SAP Note 625350.
Thanks
Krishna.

Similar Messages

  • Screen validation for funds management account assignments

    Dear Experts,
    I am having the requirement that, functional area has to be displayed based on the budget structure. We are using Fund, Fund Centers, Commitment Item and Functional Area. When user posts the entry all the functional areas are displayed. In this case, user is asking, in the F4 option only functional area relevant to the GL Account has to be displayed.
    Can anyone help me; Is there any other way to achieve this requirement?
    Thanks in Advance.
    Regards,
    Aswin

    Hi,
    'only functional area relevant to the GL Account' what you mean? it's about addresses(where commitment items derives from accounts). And in which transaction do you need it?
    You need to create own search help. In required field(for required transaction) find out which Search help is using(eg in some cases its COBL_EX_FKBER), so you need to enhance it

  • Funds Management for all transaction

    Hi
    I have activated funds management. I want this only for checking budget for non-assigned PO.
    But it will ask comittment items for all business transactions like FI / MM / SD,etc
    What settings needs to be done for the same so that other transactions are affected. Please help

    Hi,
    Bear in mind that the minimum account assignment that must be provided in case of FM, is funds center and commitment item, this is required for postings, budget, avc and so on.
    Funds center can be a combination of cost centers that you should have filled in your PO.
    To be able to derive automatically funds center from the cost center, use FMDERIVE transaction creating  a derivation rule that connects cost centers to the funds centers.
    The FM derivation tool can only be used for deriving Funds Management account assignments. Additional information is
    available in note 881202.
    I suggest you to read also the documentation available in the following menu:
    SPRO -> Public Sector Management -> Funds Management Government -> Prepare Funds Management Installation
    It is only a text document but with links and with all the necessary instructions to start FM in your company.
    I hope that this helps you.
    Best Regards,
    Vanessa.

  • Funds Management  - Wrong Account Assignment getting cleared in PR

    Hi All,
    We are working on Funds Management implementation at our workplace and we are facing a problem relating to account assignment. (SAP ECC 6.0)
    We have defined a Account Assignment Derivation for a material as
    Material Number = A100 assigned to Commitment Item = ComItem1 and Funds Center = FunCen1.
    Now during the creation of a PR for A100, where the Funds Center and Commitment Item fields are mandatory, the wrong commitment item is automatically getting populated (ComItem2 that was defined under a different Funds Center, instead of ComItem1 ;but the fund center field in the PR is alright) and they are also getting passed right up to the MIRO stage, where I get the message "No Commitment Item entered in Item" (here too the wrong funds center and commitment item from the PR are getting populated automatically)
    What's worse is that the budget document contains the new commitment item ComItem2 created under FunCen1.
    I am not clear as to where the assignment to the funds center and the commitment item in the PR happens - and given that the assignment is given as required, how are the wrong values getting populated and then allowed to proceed upto MIRO ?
    Regards,
    Wy

    Hi Eli Klovsky,
    Thanks for the suggestion - was helpful to find out the target fields through the trace.
    We went to the details column for the target field in the rule definition structure, and activated the "Overwrite with New Value" field, and in this case, the new values of fund center and commitment item are getting over-written.
    However, one problem I have faced is that for materials which have no assignments, when we create the PR on the same line as that of the previous PR (By changing the material number), the old values are not getting replaced. They are however getting replaced once we come back and create a new PR, or add the material on another line.
    Have to explore this better - there might be some human errors, where the material number is changed on the same line as that of the previous material PR, in which case, the existence of the previous commitment item and fund centers can result in wrong allocations to other divisions..
    @All,
    Really sorry to be continuing this discussion here, is it possible to move this to the appropriate Public Sector group  ?

  • GL account linkage with activity group for AVC- Funds management

    Hi,
    I have activated (BCS) funds management in my system. My client wants that system will give error message for some expense GL accounts and for other expense GL accounts it will only give information message.
    For that i have created new activity group for AVC but i have no idea how we can link GL accounts with activity group for AVC.
    Request immediate help.
    Thanks in advance.
    Manisha

    Hi,
    The correct way to deal with this is not with activity groups, but with tolerance profiles. Create tolerance profiles with error and warning messages accordingly and then create a tolerance derivation strategy, which on the basis of commitment item, will derive the relevant profile.
    Regards,
    Eli

  • Relations with Fund Management and Ledger in General Ledger Accounting

    We have already defined Leading Ledger in General Ledger Accounting. After activating the Fund Management, Leading Ledger is not displayed. We can not use FB01, FB03. How can we solve this problem?
    Wbr.

    Dear expert
    use transaction FB01L or Fb03L,
    i think You dont need to change any settings, as mentioned above you have to select the respective ledger and post in FB01L or FBO3L
    Regards
      Ajeesh.s

  • Funds Mangement - Multiple Account Assignments in Stock procurement (PR/PO)

    In any unassigned Purchase requisition / Order ( purely stock procurement, not for an order, cost center etc.) it is understood that Fund center has to be entered manually if it were to consume budget. How can i assign multiple Fund centers for a single item of a PR/PO.
    e.g. I am procuring 100 units of a material, of which 50 item should consume budget of Fund center1 and other 50 should consume budget of FC2.
    In ME51N screen, multiple account assignment icon is disabled unless we give account assignment category other than blank. is there any enhancement / exit that can be used to make it available to assign multiple fund centers.
    Thanks in advance
    Chris

    If I have 50 fund centers, 50 line items are carried from PR to RFQ and MM has to maintain prices for 50 line items though the material is one and will have problem at the time of partial goods receipts also. Can you think any work around for this ?
    according to Warehouse concept1, FM account assignments are know before purchasing and are entered in MM document. I am hoping SAP would have thought about scenario where multiple FM accounts are too many - Solution to this problem would save us lot of time , energy.
    Thanks in Advance
    Chris

  • Funds Management - Funded program as account assigment in BCS

    Hello All,
    I am facing an issue when I try to activate the funded program as an account assignment element in BCS. The path is IMG>Public Sector Management>Funds Management Government>Budget Control System (BCS)>Budgeting>Basic SettingsUse of Master Data>Activate Account Assignment Elements in Budget Control System
    The error is as below
    Funded program not active with FM area 1000
    Message no. FMCU034
    Diagnosis
    In FM area 1000 the status of funded program is set to "mandatory" or "optional" . The funded program is not active in this FM area and should not be used for budgeting.
    Procedure
    If you want to use the funded program for budgeting in this FM area, you should first activate it for FM posting.
    Otherwise, set the status to "Not used" in budgeting.
    Please sugges what needs to be configured in order to activate funded program in SAP..
    Reponse is high appreciated.
    Best Regards
    Abishay Solomon

    Hi Eli,
    Thank you for your input.
    But the issue is, I want to use Funded program as account assignment element in BCS. when I try to change the status from Not Used to Optional in IMG > Public Sector Management > Funds Management Government > Budget Control System (BCS) > Budgeting > Basic Settings > Use of Master DataUse of Master Data > Activate Account Assignment Elements in Budget Control System the below error is occures.
    Funded program not active with FM area 1000
    Message no. FMCU034
    Diagnosis
    In FM area 1000 the status of funded program is set to "mandatory" or "optional" . The funded program is not active in this FM area and should not be used for budgeting.
    Procedure
    If you want to use the funded program for budgeting in this FM area, you should first activate it for FM posting.
    Otherwise, set the status to "Not used" in budgeting.
    Thank you.
    Abishay Solomon

  • How to release the budget in SAP Funds Management

    Hi
    How to release the budget in SAP Funds Management. Please let me know the proceedure and the transaction code
    Tks

    Hi,
    The answer depends on if you are using Former Budgeting or BCS.
    1) If you are using Former Budgeting:
    a. You should use transaction FR51 to enter Release or FR55 to distribute it.
    2) If you are using BCS:
    a. Within FMBBC transaction you have the option to release the budget, use document type as REL (release).
    b. You can activate the automatic release for each budget profile in Customizing of Funds Management Government.   To do this, in IMG select Funds Management Government ® Budgeting and Availability Control (Former Budgeting) ® Budget Profiles (Former Budgeting) ® Set Up Budget Profiles.
    With the automatic release, the corresponding background releases for expenditures FM account assignments with budget transfers are also posted. Take note that the maximum amount that this automated release can transfer from the sender is the amount that has already been released.
    If you do not activate the automated release, the maximum amount that can be transferred from the sender is that which has not yet been released.
    c. You can use the mass transaction for release, which is FMMPRELE.
    I hope that this answer your inquiry.
    Best Regards,
    Vanessa Barth.

  • FM account assignments need to be assigned for each grantee year

    Hi experts!!
    I have a problem when i execute GM_REVAL (Revaluation of Currency for Grants Management). System gets an errror: FM account assignments need to be assigned for each grantee year (Message no. GRANTMGMT363).
    I've customized FMDERIVE in order to derive Fund center, commitment item, grant and fund. And GMDERIVE to derive Sponsor Program and Sponsor class. In a FI postings (FB01 or FBCJ), these derivations works ok.
    Anyone knows how can i solve this error?
    Thank you.

    Hello Dolors,
    for the revaluation you need to maintain default FM settings in the
    customizing. See IMG - GM - master data - revaluation. Note that these
    FM master data objects must be valid throughout the budget validity
    period.
    I hope this helps..
    Best regards,
    Mar.

  • Internal Data Transfer to Funds Management

    Hello All,
    We are implementing the Funds Management in the middle of the Fiscal year, now all the settings are done and budget also uploaded.
    Now my question is How to convert the previous documents into funds management which were posted from the year starting 01.04.2008.(FI and MM documents including park documents)
    For this I am refering the following IMG steps, i.e Internal Data Transfer to Funds Management-Supplementary Account Assignment-Select Documents-Convert Worklist-Display Worklist
    Here I am unable to understand what is happening in the first step and second step
    Can any one pls clarify and give correct solution
    Regards
    Uma

    Hello Uma,
    In PSM-FM you have similar processes in two-steps (select and run), first selecting the data and after that processing the data.
    In the step "Select Documents" (step 1) you select the documents, based on your selection criteria, for which you want to provide a supplementary account assignment within your company code. The documents selected are displayed in a worklist.
    You can provide the documents with a supplementary account assignment in an additional step by converting the worklist (step 2).
    In the Convert Worklist section (step 2), you add account assignments to the documents contained in the work list (generated by the step 1) for your FM area. The documents to which an account assignment is added are displayed in a list which shows the original account assignment and the changed account assignment for each document.
    With each program run, the system assigns a run number. You can use this run number as a selection criterion for selective deletion or selective display of the work list. This is very useful if you do not want to do the running process (convert worklist) in one step, you can convert in more than one step.
    To convert (step 2) you must first have selected the documents (step 1) to which you want to add an account assignment.
    For example, you can in the step 1 select ALL the documents that you want to convert and in the step 2 you can split in more than one process (due to performance or checking reasons) the data generated in the step 1.
    The option "Display Worklist" is to check the worklist generated in the step 1 for a specific FM area based on particular selection criteria. If no data was deleted from the worklist, the worklist contains all the information on the supplementary account assignment:
    The system assigns a run number during each program run for converting the work list. You can use this number as a selection criterion when displaying the work list.
    You can display these documents by starting the program without specifying a run number.
    You can test this process with a single document in step 1 and step2 and you will see that the step 1 only makes the document as selected and the real change will happen in the step2.
    I hope I could clarify the process
    Best Regards,
    Vanessa.

  • Funds Management Report

    Hello,
    This Standard Report in the Funds Management FMRP_3FMB4004 does not show the Assigned Values & Balance amounts. I have already carried out the reconstruction of budget values. In spite of this, I'm not able to get the values in the column "Assigned Values" & Balance budget Value" in the above report.
    Can somebody guide me?
    Thanks & regards,
    Chandrakant

    hi Chandrankant,
    You can find it via: SPRO-IMG- Public Sector Management
    If you can't see it, you need to ensure that you activated it. The first step is the activation of the SAP R/3 Extension Set in the Implementation Guide. You must have the proper authorization to maintain this table (cross-client maintenance).
    SPRO-IMG- Activate SAP ECC Extensions
    In this table, make sure the flag IS-PS is active. Without this setting, you will not see the PSM menus or Customizing trees.
    In case you do not see the menu or IMG path for Public Sector Management after the activation, please check in transaction SCPR20,
    in SCPR20 you have to choose EA-PS-IMG and then to activate it (button 'Activate BC set' on the panel or F7). Then check IMG and if no impact, then check for the error messages in SCPR20:
    select Goto - BC-Set - Activation logs
    Customizing
    In FM Customizng under
    In the relevant step in the Funds Management IMG.
    Define Account Assignment Derivation
    Master Data ® Allocations to Account Assignments from other Components ® Define Account Assignment Derivation
    Define Account Assignment Derivation
    Assign Update Profile to FM Area
    Actual and Commitment Update/Integration ® General Settings ® Assign Update Profile to FM Area
    Assign Update Profile to FM Area
    Define number ranges for actual transactions
    Actual and Commitment Update/Integration ® Basic Settings ® FM Line Items ® Define Number Ranges for Actual Transactions
    Define Number Ranges for Actual Transactions
    Assign FM Area Number Range
    Actual and Commitment Update/Integration ® Basic Settings ® FM Line item ® Assign Number Range to FM Area
    Assign FM Area Number Range
    Activate Funds Management
    Actual and Commitment Update/Integration ® Activate/Deactivate Funds Management
    Activate/Deactivate Funds Management
    Application
    In the Funds Management documentation, under:
    Specify a complete FM account assignment when posting
    ● by deriving from allocations of account assignment elements
    ● or by manual entry
    Account Assignment Derivation
    Pls see the belwo link
    http://help.sap.com/printdocu/core/Print46c/en/data/pdf/FIFM/FIFM.pdf
    Regards
    Assign the pioints....
    Ranjit

  • Funds Management - Online Payment Update

    Hi -
    I am trying to have payments updated in FM.
    "I have used update profile 101 -Pmt Bud, Pmt basis, Posting date ( earlier I have used 102 then changed to 101). I have cheked the box for "" Payment Update online"" in settings for payment transfer.
    We ahve New GL activate with FAGLFLEXT with document splitting.I made VOBELNR and KOBELNR as additional charcteristics for document splitting with clearing account 'zero'.
    I have read in some treads that we have to make FMGLFLEXT totals table attached to leading ledger, but I have not see in any of the SAP help or SPRO texts that we have to do this way ?.
    My Bank account GL is assigned to 90/1 commitment item and the Vendor GL is assigned to 60/3.
    After all this Payments are not getting updated in FM. Do i have to do something at the time of payment with respect to account assignment ...
    Currently working on ECC 6.0 Sand box with EA-PS lvl 11.
    Thansk in Advance
    Chris"
    Edited by: Chris Farr on Feb 11, 2009 2:47 PM

    My Problem is solved now, there were inconsistancies in my commiment item categories. My vendor GL was wrongly assigned to a commitment item with 40/3 instead of 60/3, thats why payments were not updated. Now I can see payments getting updated.
    Settings required were -
    1) Tick for Online Payment Update ( FM- Actual and commitment update - Integration - Define settings for online payment transfer)
    2) The online payment update requires the use of the new general ledger and suitable Customizing for document splitting in Financial Accounting (new) -> General Ledger Accounting (new) -> Business Transactions -> Document Splitting. Here you can use the standard splitting procedure 0000000012 as a basis. You must also define the fields KNBELNR and VOBELNR as document splitting characteristics of the general ledger.
    check this tread also - Funds Management - Online Payment Update
    I have one more question   - I have a PO with multiple FM account assignments (e.g two items with Fund center1 and Fund center2) and the same is invoiced. When I do the partial/Full payment Payments are only getting updated in one FM assignement i.e Fund center1. I think the payment has to be split among the FM account assignments. Can spmebody  please clarify.
    check this tread also
    Thanks
    Chris
    Edited by: Chris Farr on Feb 16, 2009 10:41 AM
    Edited by: Chris Farr on Feb 16, 2009 10:46 AM
    Edited by: Chris Farr on Feb 16, 2009 10:48 AM

  • Funds Management cut over of Open PR and PO

    Hi,
    In case of cutover, we are using following link to update FM account assignment in open PR/PO.
    SPRO>Funds Management Government>Actual and Commitment Update/Integration>Internal Data Transfer to Funds Management>Supplementary Account Assignment-->Select Documents
    and
    SPRO>Funds Management Government>Actual and Commitment Update/Integration>Internal Data Transfer to Funds Management>Supplementary Account Assignment-->Convert Worklist
    1) But in this case, for open PO of which GR is not done FMRP_RW_BUDCON report is not updated after doing above mentioned process. when I make GR, commitment get updated in FMRP_RW_BUDCON report. This does not show actual status of budget consumption as budget consumption is shown at the time of GR only.
    2) If GR is already done for PO and after doing above mentioned process, if GR get reversed then Negetive commitment shows in FMRP_RW_BUDCON report and after deletion of that respected PO, commitment of PO gets zero. But negetive GR commitment remains open which leads to wrong status of budget consumption. e.g. GR of Rs 5000 is reversed. Then report shows two documents as -5000 for GR reversed and 5000 for PO commitment getting open. IF I reversed this PO then PO commitment of 5000 become zero. but GR reversing amount -5000 still remains open. So it shows less consumption of budget by Rs.5000.
    Do I am missing any process. Suggest.

    Hi,
    Firstly, after you convert the open commitments, you'll need to run FMAVCREINIT to reconstruct AVC. FMRP_RW_BUDCON will then reflect the converted commitments.
    Secondly, based on your posting, it seems that you do not want PO commitments (VT 51) to be counted as budget consumption. You can achieve this in the ledger 9H configuration:
    Public sector management > Funds management government > BCS > Availability control > Settings for availability control ledger > Define filter settings for commitment/actual values. You will want to exclude both value type 50 and 51 from ledger 9H. After you change the setting, you will need to run FMAVCREINIT again.
    Hope this helps.
    Regards,
    Ming

  • Error while settlement of WBS - Funds Management

    Hi,
    We have maintain derivation rule as - WBS to Fund Center. This Fund center is DUMMY because we need not want to control WBS through Funds Management.
    There is always one Cost center in each WBS. while settling this WBS we are getting error as -
    Asset ABC 000127000000 0000: no subnumber with FM assignment DUMMY / /
    Message no. AW851
    ABC - Company code
    000127000000 - asset number
    DUMMY - Fund center
    suggest.

    alex ice wrote:
    Hi, 1 change FC in AS02 to dummy if it applicable.
    > 2 Check note 618269 it applicable.
    > 3 remove FC from asset master data
    Hi Alex, how are u!?
    I've got the same issue than Harsh Vaidya in my system ...
    Ive already read this notes: [618269|https://service.sap.com/sap/support/notes/618269] (no apply to me, because Joint Venture Accounting isn't active), [844262|https://service.sap.com/sap/support/notes/844262], [1473357|https://service.sap.com/sap/support/notes/1473357], [446029|https://service.sap.com/sap/support/notes/446029] and [440396|https://service.sap.com/sap/support/notes/440396]
    All very interesting notes :P
    But... I couldn't find the solution
    I try to TRACE from FMDERIVE too, but when I go to KO88, FMDERIVE's trace doesn't track anything.
    Any help to throw some more light on this thread, would be very useful.
    Thanks a lot!
    Regards from Argentine.

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