GL accounts per Movement type

Hello all,
I have a doubt. Can you please tell me how to get the list of GL accounts by Logistics movement types for trading goods???
Please advice.
Thanks and Regards,
Umakanth.

Hi Umakanth
G/L a/c is decided not only by Movement type, but also material master/plant/type of transaction key
In transaction OMWB ,go to the simulation mode, then in menu Simulation --> Go to Report. There, you can give the plants, valuation classes and movement types and execute the report.
you can download it to excel

Similar Messages

  • GL account for movement type 309

    How to find GL account for movement type 309. Tcode etc
    Stop Cross-Posting

    Hi,
    Try using transaction code OMWB (press cancel on pop-up) >
    Press "Simulation" button and enter plant + mat + movement type >
    Press "Account assignments" button
    Dr/Cr G/L accounts displayed for posting lines.
    Kind regards,
    Robert

  • Different Consumption Account for Movement type 201 and 261

    Dear All ;
    Client want use different consumption account for movement type 201 and 261  .
    How we canmap this in SAP
    Kindly suggest .
    Regards;
    Joydeep Mukherjee

    This you can acheive by setting account assignment indicator is checked.
    OMJJ >>> Movement Type >>>Account Grouping >>Check account Assignment
    If this indicator is set, the system checks whether a G/L account or an account assignment has been specified on the item screen when user post transactional data. If so, the system copies this data to the posting line for account determination.
    If this indicator is not set, the system always uses the G/L accounts or account assignments determined automatically.

  • Integration FI-MM ( consignment stock) - Accounting entries & Movement type

    I want to understand the integration of FI & MM from consignment stock account.
    Scenario
    In Tcode OBYC what pre-requisite are required.
    1. In which transaction ( BSX) where Finished good stock Account (Balance sheet Account) in maintained.
    2 In which transaction (????)  consignment stock GL is menetioned.
    3 In which transaction (KON)  change in consignment stock account ( P&L Account) is created.
    4 In transaction (GBB) maintenance of cost of good sold account (P&L account) is required with account group
    Suppose i have 10000 Inr worth of finished stock.  We issue goods of 4000 inr worth to consignee & incurring 1000 packing charges.
    The consignee sells 2000 inr worth to final customer & The consignor should be paid commison 10% & 5% charges for maintaining stock.
    Ten consignee returns 2000 inr worth of goods
    Please tell what accounting enteries will be passed along with movement types.

    FI-MM: The integration between FI-MM happens in T-code OBYC. 
      1. When PO is created :
    No Entry -
      2. When GR is posted 
          Inventory Account dr (Transaction Key BSX in OBYC)
                To GRIR account (T.Key WRX in T-code OBYC)
      3. When Invoice is posted
          GRIR account Dr.
          Vendor account  Cr.
      4. Payment made to Vendor
          Vendor A/c Dr
                To Bank Clearing A/c Cr.
    Points to know : Movement Types, Assignment of Movement types to T-keys (T-code OMJJ), Value string (I also need some information on this) , OMWN and OMWB transactions. 
    There is a close integration b/w FI & MM, actually document flows from MM to FI in the following areas such as,
    1. Movement Types:
    Used to enable the system to find the predefined posting rules determining how the accounts of financial accounting system are to be posted & to update the stock fields in the matrl master data.(Goods Receipt, Goods Issue, etc)
    2. Valuation Class:
    Assignment of material to grp of gl account, used to determine the gl accounts that are updated as a result of goods movement.
    3. Transaction/Event key:
    Used to control the storage or filing of documents & assignment of documents.Used to differeniate b/w various transactions such as goods movement tht occur in inventory.
    4. Material Type:
    Each material should assign mtrl type in mtrl master record used to update whether changes made in qty are updated in material master record & change in value also updated in stock account.

  • Hide Cost Center & GL Account in Movement Types 551-556

    All,
    Requirement - Movement Types 551-556 should not allow the user to see or enter the Cost Center or G/L Account.
    How can I remove the user from having to enter and see the cost center and G/L account fields from movement types 551-556?
    I see I can make them both optional but this does not seem to be working. When I got into MB1A, I am still forced to enter both values. I
    Please advise!
    Thanks!

    He wanted the cost center (or any other account assignment) is to be displayed only but not ready for input in MB1A screen. Then how can user enter the cost object to post the loss. System by design enables user to enter his own GL account (if that GL is configured to the process).
    Automatic account determination helps to identify the correct GL account only for any movement type (say process) but not the account assignment objects like cost center, WBS element, order etc..

  • GL account for Movement type

    Hi ,
    I have made a Z movement type which is a copy of movement type 561 . To this Z movement type I want to assign the GL that is assigned to movement type 101 .
    How do I assign.
    Regards
    Nandini

    Hi Nandini,
    G/L a/c is decided not only by Movement type, but also material master/plant/type of transaction(transaction key).  Movement type in OMJJ is contains transaction key / Account modifier which is the link for GL a/c.
    In material master we maintain valuation class.  Hence when we do let us say GR for Purchase order(101), the G/L account is decided as below:
    Let us say movement type 101
    Account modifier = space
    Check in OBYC
    As you are aware for any transaction there will be +ve and -V entry in GL a/c
    Which a/c has to be -ve and which has to be + is decided by posting key depending on transaction.  Hence When we do GR...Stock a/c will be +, GR/IR will be -Ve and any price difference(if price control is -S) will be posted to price difference account.
    Inventory posting is done through BSX
    Price difference will goto PRD
    GR/IR will goto WRX
    In OBYC, check the transaction BSX, for a given Chart of A/c, for a given valuation modifier(it is nothing but plant grouping) and valuation class, you can see the G/L account. This data is available in table T030
    You can see the posting key for debit and cr. That means when we do 101, then Stock will be credited and that posting key is used, if you do reverse GR-102, then same stock a/c will get debited with that posting key
    For the transaction PRD, you will get addition to the above, one more column General modifier, this is nothing but the account modifier in OMJJ for that movement type, i.e. Same transaction i.e. GR, if i define a different account modifier, I can change the G/L account so that new movement type PRD (variance) can be collected at different G/L account.
    Like that WRX, in which it is maintained at client level no a/c modifier, no valuation class etc...that means GR/IR account determination will not depend on movement type/material/plant etc.
    Source : http://www.sap-img.com/materials/movement-type-and-gl-account-determination.htm

  • Field selection per movement type

    Hi,
    Vendor is an optional entry for 201 movement type. I've checked it from
    SPRO->Materials Management->Settings for Enjoy Transactions->Settings for Goods Movements (MIGO)->Field Selection per Mvt Type
    and it seems to be an optional entry thus its not asking vendor in MIGO, but when I go to MB1A tcode, there seems the vendor is required. How could I change that? Is there a special transaction for MB1A's field selection?
    Thank you
    Irem

    Hi
    You need to check if any screen variant has been activated fot the Trnsaction MB1B.
    Using screen variants also we can activate such checks.
    Check in transaction SHD0.
    Here enter the transaction code and check the screen variant that is active.
    Thanks & Regards
    KK

  • Account assignment for Movement type 561

    Dear Professionals
    Hi,
    I am new to SD.
    Pls give me ur advice.
    In my environment,
    MB1C:"Enter Other goods Receipt"
    -> Journal: "dr.Inventory/cr.COGS"
    (Movement type: 561)
    VL01N:"Outbound Delivery Create"
    -> Journal: "dr.Inventory/cr.COGS"
    (Movement type:601)
    I guess that the journal for MB1C is incorrect.
    I configured BSX and GBB on OBYC,
    but I have no idea how to change the account assignment per Movement type.
    Use OBWM?
    BR
    Y.Kaneko

    In OBYC for Transaction GBB,  instead of BSX,  maintain BSA, VAX & VAY for each Valuation Class of material and its respective G/L Account.
    For example, if you are trying for a FERT material, then the entries should be
    0001::::BSA:::::7920::::::4XXX30
    0001:::VAX:::::7920:::::::5XXX30
    0001:::VAY:::::7920:::::::6XXX30
    Also check in OMJJ whether you have the settings as follows:-
    MvT::S::Val.Upd:::Qty.upd:::Mvt::Cns:::Val.stng:::Cn:::TEKey:::Acc mod:::Check acct.
    561::::::::::::X::::::::::::::::::::::::::::::::::::::::::::WA01:::::2:::::GBB:::::::BSA::::::::::::::::X
    561::::::::::::X::::::::::::::::::::::::::::::::::::::::::::WA01:::::3:::::PRD::::::::PRA:::::::::
    561::::::::::::X::::::::::::X:::::::::::::::::::::::::::::WA01::::::2::::GBB:::::::BSA:::::::::::::::::X
    561::::::::::::X::::::::::::X:::::::::::::::::::::::::::::WA01::::::3:::::PRD:::::::PRA:::::::::
    Check whether your settings are similar to above.
    thanks
    G. Lakshmipathi

  • Movement type wise GL accounting entry report

    Hi,
    Is there any standard report available in SAP which shows movement type wise GL accounting enty report apart from MB51. Because in MB51 accounting document is avaibale one by one you click the accounting document button with corresponding material doc number. That accounting entry will show side by side as per movement type wise.
    Regards,
    Anindita

    Hi Mahmud,
    Thanks for your reply.we have done configuration through ome9.All movement types are working fine except 411 q.
    My MM consultant is trying to transfer with movment type 411 Q (MIGO,A8-Transfer posting) inventory with less cost.When we are transfering PRD gl will be placing but PRD gl has given default cc also OKB9.System is showing same error posting key field status to change as per gl.
    Regards,
    Nivas.

  • How ETT is picking based on movement type

    Hi all
    Please tell how Excise Trasction Type (ETT) is picked based on movement type?
    Also for Retrun delivery to vendor (mvmt type: 122) ETT picking is OTHR, if i want to make it to pick OTHR Sub trasaction type 10 how should i want to do it?
    Regards
    K.R.Srinivasan

    Hi,
    First of all ETTs are not picked up as per movement types. These are defined in SAP Standard program to be picked for different transactions.
    For e.g. GRPO for Goods Receipt against PO, DLFC for Outgoing Excise Invoice, OTHR for J1IS, etc....
    And it will not pick up the Subtransaction type 10 automatically during J1IS (or any transaction), you have to specify this manually during J1IS.
    For this you have to do necessary Account Determination for ETTs, Excise group and Subtransaction type 10
    Check in SPRO > Logistics - General > Tax on Goods Movements > India > Account Determination > Specify Excise Accounts per Excise Transaction
    And in SPRO > Logistics - General > Tax on Goods Movements > India > Account Determination > Specify G/L Accounts per Excise Transaction

  • Movement Type 201

    Hi All;
    I want to configure automatic account assignment for material type FERT for a specific plant to do following.
    When I issue finished product using movement type 201, It should automatically defualt to a specific cost center anf G/L account instead of me being entering it manually.
    How do I do it??
    Thanks

    Hi,
    I dont think you can make default values as cost center and G/L account  to material type FERT .
    However I would like to suggest a woraround to  resolve this issue
    You can use parameter ID SAK for G/L account and KOS for cost center.
    Maintain these parameter values in the user master record and assign the G/L account and cost center to these parameter
    After this system will default the same G/L account and movement type whenever you make goods issue.
    I hope this will resove your issue. If it helps award me the points
    Cheers
    Umakanth

  • How can I add Vender Batch FIELD for Movement Type 511

    Hi, guys,
    I tired to add a Vender Batch FIELD (LICHA) entry for Movement Type 511 through OMJJ/Field selection(Enjoy), but it's not allowed, is there any approach else to get it done? Thanks.
    Michael

    Hi,
    Try this path as SPRO-Materials Management-Inventory management and physical inventory-settings for enjoy transactions-settings for goods movement(MIGO)--field selection per movement type.
    If you add the field LICHA for movt 511.Make it optional or required entry whatever you want. It will come at the time of MIGO.
    Regards,
    Goraksh.

  • Open TR the movement types 930 up to 935 have to be added

    Hi guys
    LL01 open TR the movement types 930 up to 935 have to be added to warehouse 001
    How can I do this requirement
    Thanks In Advance
    SAP MM

    IMG > Logistics execution > WM > Planning and Monitoring > Warehouse Activity Monitor > Define Critical Parameters
    there you have to define the critical parameters per movement type.

  • LL01 open TR the movement types 930 up to 935 have to be added to warehouse

    Hi Guys
    LL01 open TR the movement types 930 up to 935 have to be added to warehouse 001
    How can I do this requirement
    Thanks In Advance
    SAP MM

    IMG > Logistics execution > WM > Planning and Monitoring > Warehouse Activity Monitor > Define Critical Parameters
    there you have to define the critical parameters per movement type.

  • Define field in a particular movement type

    Hi everyone!
    I would just like to know if its possible to define a required field, example the Material Slip field(MTSNR) in a transfer posting transaction but in a particular movement type only like for 303? Because the OMJN defines the field selection for the entire good movement transaction and not particularly for its movement type. While in Settings for Enjoy Transactions -> Settings for MIGO -> Field Selection per Mvt Type, for mvmt type 303, only the fields SGTXT, UMWRK, & WEMPF are only define in here. Is it possible to include the MTSNR here?
    Thanks in advance to all replies!
    Regards,
    car

    >
    avinash goswami wrote:
    > use t-code OMBW, here u can define field selection as per movement type
    >
    > regards
    >
    > Avinash
    Hi avinash!
    I already used the OMBW but I can't find the Material Slip (MTSNR) field here in Materials Mngt tab or in the transfer posting tab. Is there any procedure I'm missing to configure that's why the field isn't reflecting in Settings Enjoy transaction??
    Thanks,
    maricar

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