How to Customize "CASH FLOW(indirect method) STATEMENT"

Dear Guru's,
this is an urgent task for me.Kindly give me the steps to customize the CASH FLOW(indirect method) STATEMENT.kindly send me the material related to this to
[email protected]
Regards
Sap Guru

Pl send me also [email protected]

Similar Messages

  • Cash flow indirect method drill down report

    Hi!
    I have developed the report for cash flow indirect method ( FSI6) where i have given the selection parameter as year, but users are asking for from period/year to to period/year.
    In FSI3, I am not able to change variable which was already defined as Fiscal year.
    How can change?
    regs,
    ramesh

    Hi Dan,
    Very interesting! Though, I didn't get the answer. Think it would be very favorable for everybody, if you explain in more details.
    AFAIK, data is stored in BCS periodically. So, do you imply that it's possible to create cash flow for any set of data in the system (because of periodicity)?
    Talk about ttypes and breakdown categories are also not very clear for me.
    Anyway, I'd like to talk functional, not SAP (or some other IT) language.
    Here we go.
    Did you say that you used to create the cash flow report on the fly, by using some calculations in BEx?
    And the same for eliminations in cash flow?
    Did you do eliminations in CF?
    If yes, then I would suggest that you were lucky, having local and group currency the same, USD?
    As BCS consultant knows, the indirect cash flow report consists of 3 parts: net cash flows from operating activities, finance and investing ones.
    NCF from operating activities is usually calculated as net profit (before or after taxes) with some corrections that are calculated as differences in reported-beginning balances on some accounts. Would you calculate them in local or group currency? Taking into account that there might be no real movement in cash (local currency), but currency rate has changed?
    Financial & investing activities MUST BE PROVIDED in direct sense, like: dividends received, interests paid for credits and loans etc. There is, usually, no such information, only some netted activities. You need to get them additionally. How did you get them?
    So, the main question is:
    how would you calculate the CONSOLIDATED INDIRECT cash flow report
    having different local currencies (and a different group currency), with some intergroup activities?
    Everybody will appreciate your input on this subject.

  • Implementing Cash Flow (Indirect Method)

    Hi,
    Does anyone know what's required to implement Cash Flow (Indirect Method)? (T-code:S_ALR_87012272)
    Thanks,
    CW

    Hi Dan,
    Very interesting! Though, I didn't get the answer. Think it would be very favorable for everybody, if you explain in more details.
    AFAIK, data is stored in BCS periodically. So, do you imply that it's possible to create cash flow for any set of data in the system (because of periodicity)?
    Talk about ttypes and breakdown categories are also not very clear for me.
    Anyway, I'd like to talk functional, not SAP (or some other IT) language.
    Here we go.
    Did you say that you used to create the cash flow report on the fly, by using some calculations in BEx?
    And the same for eliminations in cash flow?
    Did you do eliminations in CF?
    If yes, then I would suggest that you were lucky, having local and group currency the same, USD?
    As BCS consultant knows, the indirect cash flow report consists of 3 parts: net cash flows from operating activities, finance and investing ones.
    NCF from operating activities is usually calculated as net profit (before or after taxes) with some corrections that are calculated as differences in reported-beginning balances on some accounts. Would you calculate them in local or group currency? Taking into account that there might be no real movement in cash (local currency), but currency rate has changed?
    Financial & investing activities MUST BE PROVIDED in direct sense, like: dividends received, interests paid for credits and loans etc. There is, usually, no such information, only some netted activities. You need to get them additionally. How did you get them?
    So, the main question is:
    how would you calculate the CONSOLIDATED INDIRECT cash flow report
    having different local currencies (and a different group currency), with some intergroup activities?
    Everybody will appreciate your input on this subject.

  • Consolidated Cash Flow (Indirect method) from BCS

    Hi all,
    I would like to find out how consolidated cash flow using indirect method be generated from BCS? Anyone has any ideas.
    Thanks in advance.
    Regards,
    Jasmine

    Hi Dan,
    Very interesting! Though, I didn't get the answer. Think it would be very favorable for everybody, if you explain in more details.
    AFAIK, data is stored in BCS periodically. So, do you imply that it's possible to create cash flow for any set of data in the system (because of periodicity)?
    Talk about ttypes and breakdown categories are also not very clear for me.
    Anyway, I'd like to talk functional, not SAP (or some other IT) language.
    Here we go.
    Did you say that you used to create the cash flow report on the fly, by using some calculations in BEx?
    And the same for eliminations in cash flow?
    Did you do eliminations in CF?
    If yes, then I would suggest that you were lucky, having local and group currency the same, USD?
    As BCS consultant knows, the indirect cash flow report consists of 3 parts: net cash flows from operating activities, finance and investing ones.
    NCF from operating activities is usually calculated as net profit (before or after taxes) with some corrections that are calculated as differences in reported-beginning balances on some accounts. Would you calculate them in local or group currency? Taking into account that there might be no real movement in cash (local currency), but currency rate has changed?
    Financial & investing activities MUST BE PROVIDED in direct sense, like: dividends received, interests paid for credits and loans etc. There is, usually, no such information, only some netted activities. You need to get them additionally. How did you get them?
    So, the main question is:
    how would you calculate the CONSOLIDATED INDIRECT cash flow report
    having different local currencies (and a different group currency), with some intergroup activities?
    Everybody will appreciate your input on this subject.

  • How to prepare cash flow statement (Direct Method)?

    Dear Master,
    I go through forums I got below the some points, this point I couldnu2019t understand.
    Please explain detail how to prepare in cash flow statement (Direct Method).
    Cash flow statement ( I Got some points)
    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 Financial Statement Version in all respects, before designing your cash flow statement. OB58.
    0SAPRATIO-04 Cash flow (direct) Form
    0SAPRATIO-04 Cash flow (direct method)
    You should know what format you would like to see in the cash flow statement.
    You should use the FS items accordingly copy the standard forms and changed according to your format.
    You should be conversant enough to do basic report painter.
    Thanks & Regards
    Selva

    Selva,
    The tool you are looking for is SAP Liquidity Planner. We have succesfully implemented direct cash flows in SAP ECC 6.0 with this tool and it works like a charm. Cash flow calculation is done in SAP ECC and reports in BW (optional). You may also complement your cash flow model by using BW-BPS for future cash flow planning and forecasts.
    Please refer to SAP Help Online Documentation link regarding the Liquidity Planner (LP is part of SAP Financial Supply Chain Management - FSCM):
    http://help.sap.com/erp2005_ehp_04/helpdata/EN/47/f23d4050d89523e10000000a1550b0/frameset.htm
    Direct Cash Flow calculation had long  been a lagging issue in SAP R/3 until the arrival of the Liquidity Planner. As far as I know, before this there was no straight-forward solution for the direct method. You might be going down the wrong path by asuming that building a Direct Cash Flow is just a "reporting  issue". I strongly suggest you take a look at the Liquidity Planner before anything else.
    Let me know how it goes.
    Regards,
    Rodolfo Bermúdez Neubauer

  • Cash Flow (Direct Method ) Report ( T-Code S_ALR_870_12271 ) not Working

    Hi All,
             I am trying to run Cash Flow (Direct Method ) Report with T-Code S_ALR_870_12271 but it's showing Output  as following .
         No records were selected          
         Table     Financial Statement Key Figures
         Report name     0SAPRATIO-04
         Report long text     Cash Flow (Direct Method)
         Form     0SAPRATIO-04 Cash Flow (Direct)
         Report type     Form report
               General information          
         A     uthor          SAP
         Created on     06.02.1996
         Last changed by     ABAP1
         Last changed on     25.03.2009
         Last changed at     17:42:09
         Last displayed on     25.03.2009
         Number of times displayed     18
         Basic list     Detail list
               Additional selection conditions     
         C     ompany Code     101     0 HGSL INDIA
         Currency Type     10 Company code currenc
         G/L Account     60000000
         G/L Account     60000000
         Bal.sheet type     1 Standard financial s
               General data selections          
         P     lan./act. ind.          0    Actual
         Fin.Stmt Vers.     INT  Financial Statement
               Variable          
         F     iscal year          
         Fiscal year     2008 2008
               Selected characteristics ( Online sort order )     
         G     /L Account     *     
         Business Area     *
         Company Code     *
         Period     *
               Columns selected for drilldown list     
         F     iscal Yr ;2008          
         Fiscal Yr ;2007     
               Rows selected for drilldown list     
         +      Sales revenues          
         + Incr.dwn pmts rec.     
         - Incr.recvbls f.G&S     
         Sales collections     
         + Material costs     
         - Incr.in pybls G&S     
         + Incr.dwn pmts made     
         Material disbursmnts     
         + Personnel costs     
         - Incr.in pens.prov.     
         Personnel disbursmts     
         + Oth.int./sim.incme     
         - Interest expenses     
         - Increase in discnt     
         + Inc.fr.investments     
         + Due to prof.trans.     
         + Inc.f.oth.securits     
         Financial collectns     
         + Other operat.inc.     
         - Gns f.retr.sp.itms     
         + Increase in AE/DI     
         Oth.operat.collectns     
         + Oth.operat.expnses     
         - Optional add.items     
         - All.sp.itms w.res.     
         - Incr.in oth.provs     
         + Inc.prpd/defr.itms     
         Oth.operat.disbrsmts     
         + other taxes     
         - Incr.in tax.prov.     
         Income tax     
         = Cash flow (total)     
               Particular sort orders          
         G     /L Account          G/L Account Long name Ascending
         Company Code     Company Code        e Ascending Long name Ascending
    Plese Help me out ...
    Thanks
      Amit

    Hello Ajay
    It happens due to different settings mostly in FORM e.g. FSV set in the form would be INT where as you have your own FSV.  Similarly you need to check each and every item and change suitably.
    Run the report via above tcode again, then a screen will appear saying u201CNo records were selectedu201D
    In this screen you can see the FSV used in General Data Selection (4th box) which you need to change by pushing u201CFORMu201D push button on the extreme left side, > Go to edit menu>Gen data selection > make changes suitably.
    However do not make changes to the standard report / form, so copy the standard report with your own naming and make the changes where ever required.
    Hope it works!
    Ambadas

  • How to issue cash flow report?

    Hello everybody:
    Can anyone tell me what is the standard method for SAP to issue cash flow report? Is it Cash Budget Management?
    I am using SAP version 470.
    rgds!
    Andy.

    Could you give me more explanation on the logic of SAP how to issue cash flow report?
    Andy

  • How to delivery cash flows from loans management (BaS 8.0)

    Hi All,
    According to the official materials, BaS 8.0 enables delivery cash flows out of Loans Management to Bank Analyzer. Does anyone know how to do that? I see configurations in BA regarding how to generate cash flows on cash flows delivered by LM, however I've no idea how to delievey them from LM.
    Can anyone help here?
    Thank you so much!
    Regards,
    Jing

    Data from TRBK is replicated to BA system using the SOA services. Check the relevant services at :
    http://sap.com/xi/FS-TRBK/Global
    Also go through the IOA configuration for more details.

  • How to Ececute Cash Flow Tcode:S_ALR_87012271/72/73

    Dear all,
    here i am using ECC 6.0 in india.let me know how to use cash flow tcodeS_alr_87012270/71.when i am going to execute these tcode system give me massage:No records were selected.
    Thanks & Regards,
    Jayant Kumar

    Hi
    Follow the Note given by SAP at the time of executing the above TCodes in Version 6.0
    USE new GL Reports instead of old GL reports and the path is
    SAP Easy Access - Accounting - Financial Accounting - General Ledger - Information System - GL Reports (NEW)
    Srinivas

  • How to prepare Cash Flow Statement ?

    Dear All,
    I have performed these following steps to get Cash Flow Statement But not getting how to deal with step
    number 3.
    Can any one please tell me how to configure this step 3,  or what exactly to do in FSI1 ?
    I copied standard form i.e. 0SAPRATIO-04 in FSI4 and created new TEST 1 for my system.
    changed FSV to 1000 which is define in my SAP system.
    The steps I have performed :-
    1) FSI4 => Form type: Financial Statement Key Figures => Copy Form: Name and Text for the new form
    Copy from: 0SAPRATIO-04
    2 ) FSI5 => find and double click the new form just created => Edit Gen. data selection => change the FSV to what you want to use
    3 ) FSI1 => Report type: Financial Statement Key Figures  => Create Report: Name and Text for the new report With form: Name of the new form details please refer to standard SAP report 0SAPRATIO-04
    4 ) FSI3 => find and excute the new report to check if you can get the result you want
    Please help.
    Regards,
    Pankaj.

    Hi,
    I executed that said T.code it's for Cash Journal , I want Cash Flow Statement.
    I used the following T.code for Cash Flow Statement :-
    S_ALR_87012271   For  Direct Cash Flow Statement.
    S_ALR_87012272   For  Indirect Cash Flow Statement Variant 1.
    S_ALR_87012272   For  Indirect Cash Flow Statement Variant  2.
    and after inputting all details in fields and execution the result shows message line that *No records
    were selected.*
    How to deal with this ?
    Please help.
    Regards,
    Pankaj.

  • Cash flow direct method report is generating by using report painter

    Dear all
    i am preparing cash flow statement direct method report by using  standard t.code s_alr_87012271
    in this report i am maintain values by using T.code FSI5 in report painter form name 0SAPRATIO-04
    there i am maintain GL accounts codes which cells are not having formula
    for example second  row item Increase in down payments received it contain the formula Z004-z003
    and third row character Increase in receivbls frm gds & services it contain the formula z007-z006
    where can i maintain formula components and how to create and  link the GL Accounts.
    please guide me.
    Thanking you
    Kranthi

    Hi Victor,
            Cash Flow S_ALR_87012271 is the std cash flow where you have to assign gl. After excuting report. Click on form and assign gl to FORM :-  0SAPRATIO-04 Cash flow (direct).
       But it's std format so you will not get the report of cash flow which will show the total inflows and outflows in the bank account as per comapny scenario. For this   u have to take ABAP person help to create cash as per comapny requirement.
    Nikhil

  • URGENT..How to Run Cash Flow Report.

    How do I run the cashflow report. I opened the cash flow report by going in t.code S_ALR_87012272. I entered the co. code and the g/l accounts, and the fiscal year and executed the report. But it opened a screen with no records found, although the g/l accounts have balances. Why are they not getting picked up. Is there a special way to run the cash flows report. Is it different from Financial Statement version. It is very urgent, so if I can get some help, I will greatly appreciate it.
    Thanks
    Lakshmi

    Hi Krishnan,
    Can you please tell me why is the cash flow report not picking any data though I assigned the correct FSV to it. There is another thing that I wouldlike to mention here. When I go in report painter and display the form for cash flow,though I have assigned the correct FSV in General selection, I see the FS item as 300000 which is not what is on the financial statement. On the financial statment version it is the text like petty cash and not any number like 300000 as financial item. Do I need to set up petty cash in the form in place of 300000 (because 300000 does not exist in fsv as a finacial item) Does it eman I will have to enter for each items on the cash flow report
    Thanks in advance
    Lakshmi

  • How to link cash flow (VICDCFPAY/VICDCFOBJ) to condition (VICDCOND)?

    Hi,
    in one of RE-FX enchantments which I am writing I get some cash flow data (VICDCFPAY structure). I need to find condition (VICDCOND table record), which was used to calculate this cash flow. Do you know any easy way to connect them?
    I know, that on VICDCFPAY (and VICDCFOBJ) structure there is CONDGUID field, but it does not always give the proper connection.
    Kuba.

    Hi,
    You are correct, the link is only CONDGUID and INTRENO.
    you can check view v_vicdcfpaycn_ds or class cl_redb_vicdcfpay, but the those methods are also uses the same logic (CONDGUID + INTRENO).
    rgds,
    Srini

  • Cash flow report - S_ALR_87012271 - Cash Flow (Direct Method)

    I tried to run the above report. But the report does not fetch any data from system
    Can anybody tell whether any config settings are required to display the above report.
    Regards
    Ajay

    Hello Ajay
    It happens due to different settings mostly in FORM e.g. FSV set in the form would be INT where as you have your own FSV.  Similarly you need to check each and every item and change suitably.
    Run the report via above tcode again, then a screen will appear saying u201CNo records were selectedu201D
    In this screen you can see the FSV used in General Data Selection (4th box) which you need to change by pushing u201CFORMu201D push button on the extreme left side, > Go to edit menu>Gen data selection > make changes suitably.
    However do not make changes to the standard report / form, so copy the standard report with your own naming and make the changes where ever required.
    Hope it works!
    Ambadas

  • Cash Flow Statement Configuration

    Hi all fi experts,
    how can we config the cash flow statement? what are the requirement to make Cash flow statement?
    give me full details.
    bye
    Anil

    please check the following:
    S_ALR_87012272 Cash Flow (Indirect Method)
    Variant S_ALR_87012273

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