How to carry forward the payment budget to next fiscal year

How to carry forward the payment budget to next fiscal year. Please provide us the Tcode for indivisual and for mass activity also.
Thanks,
Vivek Gupta

Done

Similar Messages

  • Carry forward of residual budget to next fiscal year

    Hi all,
    We are trying to implement Funds Management.  As part of year end closing, we need to carry forward residual budget of a particular budget type which i have created by using program FMMPCOVR.  However, the standard SAP residual key figure does not seem to be providing the correct figures to carry forward.  It throws out all budget types, and all entered budgets, not taking into account the consumed budgets as well.  I have thus created a new key figure which is simliar to the standard key figure, but change the budget type under the "budgeting data" tab to restrict to only the budget type I'm interested in.  It is still not working though, results are the same.  I'm not sure if I have created the key figure correctly.  Can someone please advise?
    Simlilarly, I have also tried to restrict the Funds to carry forward by only selecting a particular fund type by indicating in the "Restriction of FM Account Assignments" on the selection screen of FMMPCOVR.  The filter doesn't seem to be working either.  It throws out all funds of all fund types.  Can someone please adivise on this too? 
    Regards,
    maz

    Thanks Farhad...
    May I ask how did you manage to do some validation in the budget workbench?  Is there any user exit/badi that we can implement?  We wanted to do some validation on the Fund and Fund Center values which users will enter, to prevent them from entering the wrong combination.  In our business requirements, for every Fund entered in the budget workbench, users can only enter a particular group/range of Fund Centers.  Currently, the system allows free entry of any Fund and Fund Center combination.
    We are using Funds Management ECC 6.00.
    Regards,
    maz

  • Carrying forward the parked documents of previous fiscal year

    Hi Experts,
    My requirement is to carry-forward the parked documents of the previous fiscal year to the new fiscal year automatically with a background job that should run at the end of each fiscal year.
    This job should check all the documents that are still parked and must carry them to the next fiscal year. As per standard SAP, the document should be manually posted with posting date of the new fiscal year. Then the system will create a new Document in the new fiscal year, deleting the old document. I need to automate this process.
    For posting a document we use a Customized Workflow (Z copy of FIPP).
    My question is, how can I go about this requirement? What all needs to be done if I want to trigger the workflow in the background on a particular day?
    Thanks!

    Sheryl,
    If you really want to "remove/cancel" the parked documents, then your solution is to delete them as Prashant previously suggested.  Transaction FBV0 allows you to post or delete a parked document.  Deleting the parked documents does not remove the entire document from the system.  It will remove any line item information, but it will leave the header information.  With the header information, you will still have record of the document numbers for audit purposes.  The status on the header will show "parked document which was deleted".  Deletion is the standard SAP solution to "remove/cancel" parked documents - the only alternative to deleting a parked document is to post it.
    Park a document on your test system then delete it so you can see the results.  You will still be able to pull up the header information in FB03.
    I am not aware of any standard SAP reports for listing parked documents that were deleted.  However, if you require such a report, you could create a simple SQ01 query against table BKPF.  You would want to include the Document status field (BSTAT) in the query selection criteria so you can select documents with a status of 'Z' - parked document which was deleted.
    Regards,
    Shannon

  • How to get a Monthly Depreciation Simulation for next fiscal year?

    I need a report that give me the depreciation simulation for next fiscal year, but I need it monthly wise. I run report S_ALR_87012936 with report date 31.12.2011 and evaluation period = month.
    The report gives the error message AA669 Fiscal year 2011 is already closed in Financial Accounting
    I read that this report doesn't work monthly wise for future years. Is there a workarround?
    Best regards!

    Hi,
    I'm sorry there is only RASIMU02. Note 396974 describes, this is a missing functionality and there  is no workaround.
    Reports on derived depreciation areas that do not post any values to the
    general ledger are allowed with the evaluation period year. An
    evaluation using month, quarter or half-year is not supported.
    In general, the depreciation forecasted by monthly in report RASIMU02 are only for depreciation area which posts depreciation to GL. For non-GL posting area, we recommend you simulate the depreciation 
    in 'fiscal year' mode. if you simulate the depreciation 
    Basically RASIMU02 is NOT designed to provide period simulation for these non posting areas. This because RASIMU02 uses for periods which have been posted already the created ANLP. But ANLP´s  are not created for non-posting areas. So in these periods where   a depreciation run had been executed already, RASIMU02 will not show
    values.                                                                               
    For AA 669 please see:
    Best Regards Bernhard
    Edited by: Bernhard Kirchner on Nov 25, 2010 9:20 AM

  • GL balance carry forward special period 13 to new fiscal year and Rec acct

    Hi,
    would like to seek for your advice as below question/problem.
    a) User now is doing the year end closing. Normally the closing is up to the period 12 and for the purpose of track the adjustments made by the management and auditors user post to period 13 2008 from the pervious financial year. Our concern is when perform the GL Balance carry forward to new fiscal year which is 2009 does the system carry forward the GL adjustment figure from period 13 to the new fiscal year on top of that when we perform the GL balance carry forward to new fiscal year 2009 and later on find out there is an audit adjustment that need to done and user post in the period 13 fiscal year 2008 can the adjustment auto post to the new fiscal year?
    b) Can we change the Rec account in the vendor master as currently user need to change the vendor from difference Rec account which from joint venture to subsidiary account code? If involve the SPRO configuration how where should we configure? After we change the configuration does all the posting from one Rec account subsidiary will auto post to another Rec account Joint venture?
    Kindly advice.

    Hi,
    Thank you for the prompt reply.
    a)could you provide the path/T-code to view the  vendor master activity screen layout configuration field status for reconciliation account should be Optional.
    b)Beside,what the impact of change the reconciliation account from one to another? It is neccesary/must to do the balance sheet adjustment for change the reconcilation account?
    Can we post the balance through the manual JV (F.02)with the document type is ZD(Debit Note) to post the balance of old reconciliation account to the clearing account and then change of the reconciliation account to the new account then reverse the posting of the JV? By doing so what is the impact in the system? In this scenarion do we need to do the balance sheet adjustment?
    c) You mention balances from the old recon will not be posted to the new reconcilation account unless I do a balance sheet adjustment it is mean after I run the balance sheet adjustment the balance from the old reconcilation account will auto post to the new reconcilation? What other impact will effect the system?
    d) If the company never run the balance sheet adjustment before and due to the scenerion mention above they run the balance sheet adjustment for the first time what are the impact in the system for the company that only have one business area and also for the company which have more than one business area?
    e) What are the prerequisite step/configuation/setting need to be setup in order to run the balance sheet adjustment as the company perviously never run the balance sheet adjustment before? Kindly provide reference/document/guide.
    e) Change of reconcilation account does it related/impact to the account group of vendor master?
    Please help.

  • How to carry forward the leave

    Hai!!
    How can i carryforward the leave.
    Can anybody Tell me.
    I wrote one pcr for that like this.
    Varstcurmo-12
    varstreday-31
    Adddb6655
    updtqa10.
    Thanx

    hi
    My First PCR for getting remained quota is working fine the 2nd pCR for updating carry forward quota in the current year i mean jan 1st quota is not getting updated ,
         VARSTCURMO Current period
           01
             VARSTREDAY Rel. day of period
               01
                 HRS=LL456  Set
                 ADDDB*     Add to day balance
                 UPDTQA60   Abs. Quota Accrual
    this is my pcr
    in Quota function in input i can see value in time type but in oput put the quota is not updated
    can some please check on this

  • How to carry forward the session between two ears when cookie secure is tru

    Hi, We have a couple of ears. I want to carry session details from one ear to another ear.
    Can any one suggest some solution for this

    You might wish to look at Coherence*Web.
    http://coherence.oracle.com/display/COH34UG/Coherence*Web+Session+Management+Module
    Brad

  • How can we consider the Siena project regarding next months/years?

    Dear,
    I am an IT teacher from Italy (not far from Siena by the way :)
    I found your tool so cool that I'd like to run some lessons at the school, focused on it. The real interesting thing is that one can re-use Excel files and RSS files to create reach applications with no effort and code headaches. A very beautiful way to
    make young students interested in programming apps. 
    That being said, I really do not know if Siena will have a future, if it is going to change its name and be part of other projects (like TouchDevelop) so, I really do not know if in, let's say, one year, I can find still the app on the store, to let my students
    download it. 
    I know you can't give me an answer, but I was guessing if there exist a Siena installer, out of the store, which I can distribute during the lessons. This would make me more comfortable in proposing this tool. 
    Well, sorry for the strange question. An answer, even if I know that you can not reveal too many info, would be highly appreciated.
    I asked it in the forum because I wanted to share this question with all here.
    Again, compliments for the tool, I think that MS is doing really good with its software. A lot of interesting tools. Apple and Google are far away from stuff like this!
    Fabio

    Exactly! While trying to let the school (by the way, it is an university) run a course on a software, there are always concerns about the product's life, being stated that no software is eternal. But the concern, being in a beta stage, is there.
    Now, the only solution would be to have the Siena installer. If we had this, there would be chances to see the course come to life. 
    Understand me right, I do think that Microsoft won't dismiss the project, but there is always a concern in these cases.
    By having an installer of the app, regardless of store availability, I would make everyone sure that Siena is usable, even in an academic environment.
    Again, why Siena: I think this is a project which is missing by Google or Apple, for example, for their OS. A project which lets users be developers is pretty unique. And this is the real innovation, in my humble opnion.
    So, could you help me with the installer?
    Thank you
    Fabio

  • Carry forward the PR/PO doc in new fiscal year?

    hi dear all,
    How to carry forward the PR/PO doc in new fiscal year?
    upesh

    Hi,
    This error comes from FI side. For the Account assigned PRs, POs should be carry forwarded in new budget
    Refer this error to your FI guys, they'll make relevant settings
    Umakanth

  • HOW TO CARRY FORWARD RG1 CLOSING BALANCE TO OPENING BALANCE FOR NEW FISCAL

    Hi Experts
    How to carry forward the RG1 closing stock at the year end to opening balance of Rg1 for new year.
    Wt are the steps required for closing activity of RG1 and carry forward closing balance of last year to opening balance of  new year.
    Thanks

    Hi Rohan,
    For RG1 and RG23 A Part I and RG23 C Part I
    Go to SE16, here enter Table Name - J_2IRG1BAL and Click on "Create" button in initial screen, it will give the maintenance screen. Here mainatin following;
    For each of these materials, you have maintained the material form in table J_2IRG1BAL as below. Do not make any entries in fields that are not listed below:
    EXGRP - Materialu2019s excise group
    DATUM - Date from which RG1 report is required, normally the date of going live
    MATNR - Material
    FORM - Enter P (Packed) or L (Loose). Do not leave this field blank.
    WERKS - Leave this field blank.
    OP FN UOM, OP BN UOM, CB FN UOM - Leave these fields blank. All quantities in this table are updated in the base unit of measure of the material
    USNAM - User ID of the person filling out the table.
    CPUDT - Date of entry
    CPUTM - Time of entry
    Note: - This is to be done before J1I5, J2I5.
    Also refer link;
    Update of Registers RG 1 and RG 23 (Part I)
    For RG23 A Part II, RG23 C Part II and PLA
    Go to SE16, here enter Table Name - J_2IACCBAL and Click on "Create" button in initial screen, it will give the maintenance screen. And maintain following;
    Excise Group
    Data element for Register names
    Date
    Plant
    Basic duty (OP BAL)
    Basic duty (CL BAL)
    Basic duty (EXAMT)
    Extract Indicator
    User name
    Entry Date
    Entered at
    Note: -
    1. Enter OP BAL, CL BAL and EXAMT all as same as opening balance. For e.g. opening balance for RG23ABED is 1400 then this value is to be entered in all the 3 fields.
    2. You have to enter separate line items for all the accounts;
    RG23ABED
    RG23ASED
    RG23AAED
    RG23CBED
    RG23CSED
    RG23CAED
    PLABED
    PLASED
    PLAAED
    PLACESS
    RG23AECS
    RG23CECS
    PLAECS
    RG23AAT1
    RG23CAT1
    PLAAT1
    3. Enter Date is one day before of the opening. For e.g. if opening date is 01.04.2008 then enter it in 31.03.2008
    Then go for J2I5 - Extract and J2I6 - Print Utility
    use following
    http://help.sap.com/bp_bblibrary/470/Documentation/J33_BPP_32_CHEM_EN_IN.doc
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/18/8e113999724854e10000000a11405a/content.htm
    Reefer this link for complete Excise transactions
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/09/ebf138cdd78a4be10000000a114084/frameset.htm
    Re: Excise -initial upload
    Hopefully this will helpfull to resolve your answer.
    Thanks & regards,
    Pankaj Mahajan

  • Carry forward a Cost and Profit Center Budget to the next fiscal year

    Good day SAP Gurus
    How do i carry forward Cost Center and Profit Center  Budget from one fiscal year to the next fiscal year?

    Hello,
    You would not be able to carry forward these plan values becuase they are planned with respect to a particular period and year. The budgets only get carry forward for cost objects like orders and WBS where the objective is to accomplish a particular job.
    Kind Regards // Shaubhik

  • How to carry forward remaining Earned leaves to the next year.

    HI Experts,
    How to carry forward remaining Earned leaves to the next year.
    Do I need to write a PCR for that? If yes then which PCR to modify?
    Or is there any other way around.
    Regards,
    Tomesh

    Most of the time you will find easier to create a rule for that.
    Which one to use: it all depend of your schema! you can also create a specific small rule for it.
    The proper day, you can store the remaining balance in a time type (or the day before if your "old" quota is closed)  and and store it either in the existing time type that generate entitlement, or in a new one and you create a specific entitlement rule in v_T559E for this time type, valid only once a year

  • How to Carry Forward Beginning Balances for CTA

    Hi Experts,
    We're doing a multi-currency AppSet wherein I need to carry forward the ending balances of the cumulative translation adjustment to it's beginning balance the next year but the problem is:
    1. CTA resides only in USD reporting currency(not in LC).
    2. My carry forward rules applies only to local currency. I've tried to include USD but when I run the default formula wherein I've included my currency conversion rule, the beginning balance for CTA zero out. I've tried removing the ratetype on CTA, replace it with blank, AS_IS,NOTRANS so as not to translate that account since it will be converting from a blank opening balace in LC(since CTA is only calculated in USD) to USD so it's reasonable that it would zero out, but still it's trnaslated.
    Any idea how to work this out?
    Thanks,
    Marvin

    Hi Marvin,
    Set your CTA account ratetype to something like "HISTX" or whatever you want, add this ratetype to RATE dimension and in your business rule, set this rate type to [AS_IS].
    We use it here and it works.
    Thanks,
    Regis

  • Carry forwarding the closing  balance as opening balance

    hi,
    i need  to carry forward the closing balance of the 1 month to the opening balance of the next month. how to do this in the query.?

    Hi Enthu,
    I think, you could use data function of a formula.
    You will have to create a RKF for closing balance of previous month.
    Try the SUMCT<Closing balance of prev per> in the opening balance column of this month.
    You can check the link below for further information
    http://help.sap.com/saphelp_nw70/helpdata/en/e3/e60138fede083de10000009b38f8cf/frameset.htm
    However, determining all opening balances by carrying forward closing balances in the query, I think, is not a good idea, since this would mean that you have to run the query from the timepoint the data was first reported. This means querying and reporting a lot of data. I would rather suggest you to have another Cube may be over this DSO and do the carry forward in modeling.
    Hope it helps,
    Best regards,
    Sunmit.

  • How to carry forward  RE prior year for each period?

    Hi,
    I have a Retained Earning (RE) prior year. How do i carry forward the opening balance for each period?
    I have tried to use the copy method (using the same version but copy from period 1 to 2) however encountered message stating that " Posting in identical currencies: Amount disagree".
    Please advise.
    Regards, Renee

    Renee,
    What has remained unclear
    how SEM BCS handled balance carried forward?
    Re: BCS Calculation for retained earnings

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