Generating cash flow statement
Dear friends
We need to generate cash flow statement as per the accounting standard.How to get that.
Again if it is not possible to generate as per accounting standard then pl. tell in the normal way.
Thanks
Shivaji
Dear Shivaji,
You can check the following SAP standard reports: S_ALR_87012271
S_ALR_87012272
S_ALR_87012273
but in order to use it, you need to first define your own form and program as well through t code FSI4 & FSI2 & map your GL account accordingly.
Regards
Anuj Agarwal
Similar Messages
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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 AgarwalDear 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 statement report..
How is the consolidated cash flow statements are generated. What are the specific movement types configured for this. Is all MT created and data collected from ECC with MT or it is part of BCS data collection only...
Do we have to create specific group account or group account created for the normal consolidation function will help.
Appreciate your inputs on this..Hi Dan,
Can you please clarify the following :
For indirect method, I typically creat item hierarchy to facilitate cash flow reporting.
Question: What does this mean..a hierarchy to reflect the cash flow grouping?
For movement types most may originate in ECC as long as the Field Status Group allows this or requires this. These are usually used for assets and the corresponding accumulated depreciation, as well as equity, debt, certain reserves such as allowances for bad debt, etc.
Question: Besides the assets , the MT will be required for all accounts for report purpose in BCS. How to handle this alone in BCS, if ECC is not going to support the MT for anything other than asset account -
Cash flow Statement via Direct method using BW
Hi Gurus,
I have an requirement to prepare Cash flow statement via direct method using BW. Can anyone advice or point me to the steps need to be done in order to achieve this
Thank you
BRHi,
It depends on your format of cash flow. You have to obtain a cash flow format and work accordingly to include the relevant GL accounts. I have given a sample format.
Operating Profit before Depreciation
Add (Less): Decrease / (Increase) in Working Capital
(Increase) / Decrease in Debtors
(Increase) / Decrease in Inventory
(Increase) / Decrease in Loans & Advances
Increase / (Decrease) in Creditors & Provisions
Less: (Capital Expenditure)
Net Cash generated from operations
Add: Opening Balance of Cash & Cash Equivalents
Less: Closing Balance of Cash & Cash Equivalents
Net Cash Outflow
Thanks
Aravind -
Cash Flow Statement Indirect Method India
Hi,
Can anyone provide me the link as to how to configure Cash Flow Statement in R/3 through indirect method to meet the Indian Companies Requirement.
Aravind BoddupalliHi,
Though I am not clear what is your exact requirement, I have some inputs. The Cash & Liquidity management module will enable you to generate cash position & liquidity forecast statement. These reports include, cash position, liquidity forecast (for receivables, payables.. data from invoices, PO/SO, etc.). I think this is what do you mean by indirect method.
thanks,
Kumar -
Consolidated Cash Flow Statement
In ECC 6.0 is there a way to generate a consolidated Cash Flow statement in Group Currency when there are 4 different company code currencies?
I attmepted to use Mutltiple Local Currencies but I quickly found out why you can't start using this functionality after the Company Code has already been up and running.
Any suggestions on how to generate a consolidated Cash FLow Statement?
Dan
Reposted this in ERP Financials
Edited by: Daniel Goodhart1 on Jul 1, 2008 4:32 PMMoved to ERP Financials. No need to keep it open in this area.
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R12 EBS: Cash Flow Statement using FSG
Hi,
I am looking for white papers/guidance for building Cash Flow Statement using FSG. I want to develop the Cash Flow statement using Indirect method.
http://www.accountingtools.com/cash-flows-indirect-method
Any help is highly appreciated.
Thanks,The trick is you should be able to trace cash items.
For the Depreciation and Amortization you can use the depreciation expense a/c and amortization a/c.
Provision for losses -- Provision for doubtful debt a/c
Increase/decrease in AP,AR and Inventories- You can use PTD balance
Creating Financial Statement Generator Reports (Doc ID 176371.1)
How to Make FSGs Function/Work (Doc ID 160445.1) -
Cash Flow Statement - Opening and Closing balances!
Dear Friends,
I have created cash flow statement (Indirect Method) using T code FSI1 and FSI4 (Form)..........but i am not able
Why wouldnu2019t Cash and Cash Equivalents at the End of the Year (Fiscal 2008) be EXACTLY equal to Cash and Cash Equivalents at the Beginning of Year (Fiscal 2009)...?
How do we need to set up for Cash for Current year closing balances and Next year's opening balances....?
Thanks,
Elan N.Hi,
I tested in ECC6.0 and i could able to do so, you try as mentioned below.
In the output screen of MB5B, goto menu details > click on list > select save > select file > select spreadsheet. Here you can save tthe output in excel format.
Regards,
Prabu -
SAP Reporting on Cash flow statement
Hi all,
in SAP, how can we configure / set up Cash flow statement report, especially for China? How?
Thanks in advance.Hi Suma,
No, you dont need to have cash management active in your system to get cash flow and funds flow statements.
Cash flow report defenition / design would depends on company to company.
Please go thru the below link to understand basic concept.
[Cash Flow Statement Example|https://www.zionsbank.com/pdfs/biz_resources_book-4.pdf]
Hope you must be fully aware of the above concept.
You can design your own cash flow statement using the financial statement items of your balance sheet in report painter/writer itself.
But you may need to fully acquainted with the report painter tool first.
Regardz,
Srinu -
Cash Flow Statement - Average Delay Field Effects
Hi Everyone,
Can somebody please explain exactly how the average delay on the business partner record affects the cash flow statement?
I ran a cash flow statement for 7/01/2008 thru 7/31/2008. I then found an invoice that was to be paid the week of 7/28/2008 (it hasn't been paid yet), and opened up the corresponding business partner record and changed the average delay from 0 to 10. I then re-ran the aging and nothing has changed. The invoice still appears in teh 7/28/2008 week to be paid. Am I missing a step or something? If I understand correctly, the invoice should have moved into the next week on the cash flow statement as this is when the customer will be paying it according to past payment schedules.
Thank you for your help.
AmandaHi Amanda
I just tested on 2007A PL37 and it worked fine. Moved to week based on due date + average delay. Are you sure you ticked the "Consider Delays in Payment" box? Also check again if the master record was updated with the average delay value you gave it. Let me know what version of SAP Business One you are running.
Kind regards
Peter Juby -
Doubt in Cash flow Statement Query
Hi all,
In FI module i am trying to create query 'Cash flow statement' using infocube 0figl_c01.
For 'cash inflow' i restricted to debit postings for G/L account char. with two account number (200602 & 200611 as given by finance dept.) But the values are not matching as it extracts all the entries which come to that account for the posting period. But my requirement is to take only the entries related to document type 'DZ - Customer Payments' (for which there is no char. in the infocube or in the R3 Extractor).
How to solve the issue. do i have to create a generic data source and change the infocube?
Thanks,
PrakashHi Vachan,
Thx for the reply.
The entries in the InfoCube is correct. Is there any other method by which i can solve this problem. Because changing the datasource and InfoCube is tedious at this time.
Regards,
Prakash -
Cash Flow Statement Direct Method
Hi:
I was asked about how to prepare Cash Flow Statement via direct method. I noticed that in SAP GL, we do have a cash flow - direct method available, but the layout seems not perfectly matching to financial requirements.
So if I want to create a Cash Flow Statement via direct method up to financial management layout requirements, how many approaches that I could have?
(develop drill down report in GL?)
(using liquidity planner and SEM BCS?)
or is there any more efficient approach that you could recommend? Thanks.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 Fiscal Year Variant in all respects, before designing your cash flow statement.
Regards,
Ravi -
Hello,
I need a document stating the configuration of a Cash Flow Statement (Direct / Indirect).
Also, special information on how formula components are used or configured. When i tried to create a cash flow I could see there are some defined formula components like Z001, Z116 ...etc....
regards,
SameerHi Sameer,
Please find below links for your needful:
Re: Cash Flow Statement Direct Method
http://help.sap.com/saphelp_ides/helpdata/en/6e/1220c59f0411d189b80000e829fbbd/content.htm
Regards,
Santosh -
Is it possible to see cash flow statement in sap fico ? ;How
Is it possible to see cash flow statement in sap fico ? ;How
Re: Cash Flow statement
Forum Rule: Please search the forum before posting a thread. -
Hi,
I had used the RSZC transaction to migrate query 0FIGL_VC1_Q0002 - Cash flow statement, based on 0FIGL_VC1 to a custom virtual cube which extracts data from a cube containing general ledger accounting (New) data. on execution of the query, no data is displayed.
In a similar fashion the query 0FIGL_V10_Q0001, which is based on virtual cube 0FIGL_V10 was migrated to the same custom virtual cube and was found to be executing.
has anyone faced similar issue with cash flow statement query?
Regards,
SainathLook at the import parameters - there is a hard coded and change it to Z version
https://forums.sdn.sap.com/click.jspa?searchID=10104420&messageID=5012838
Hope it Helps
Chetan
@CP..
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