How can we settle price diff. in profit center valuation to COGS acc?

Dear All,
We have activated multiple valuations/transfer prices.
We do perform cross company code material sale. We have assigned each profit center at company code level.
We have set transfer price variant in t.code 8kez and have customized  accounts in Controlling-Profit Center Accounting-Transfer Prices-Settings for Internal Goods Movements -Define Account Determination for Internal Goods Movements.
We had got posting logic described in http://help.sap.com/erp2005_ehp_05/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
Now after actual costing run price differences in profit center valuation were not transferred to next level as we expected.
They have stayed as not distributed at sender  (company code) profit center level.
How can we distribute price differences in profit center valuation to COGS account of sender profit center defined due to
http://help.sap.com/erp2005_ehp_05/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm?
With best regards,
Kamila.
Edited by: Kamilana Zhakenova on Dec 25, 2011 10:56 AM

Dear Gurus,
There is an addition to post above.
Transfer price was defined in SD module in Sales and Distribution-Basic Functions-Pricing-Pricing Control-Define Condition Types.
Now it is taken during cross company code sale from scheduling agreement and invoice.
(Please, do not take into account that we have customized transfer prices in 8kez)
But the issue is price differences in profit center valuation settlement.
They do settle to the next level  for receiver company code  like in group valuation.
We need to settle them to COGS account at company code sender side.
How we can do that?
With best regards,
Kamila.
Edited by: Kamilana Zhakenova on Dec 26, 2011 11:37 AM

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