Imortance of FAGLF101

Hi All,
I know I am asking a basic question, but still I have not get a solution from forum.
1) Why are we using FAGLF101?
2) How the postings while executing this will impact the Financial statement report at the end of financial year?
3) Could you please give me a guidance on what are the parameters I need to select in the selection screen?
Regards
Shanu

Hi Sanil,
Thanks for your reply.
I understood that it will use for the following purpose.
1. Vendors with a debit balance and customers with a credit balance
We can post this balance to Target Account and post reverse document on next day. But in my system it is posting for "Vendors with a credit balance and customers with a debit balance". While running this t.code getting below error. GL account has already assigned in OBBV.
"Account determination for transaction V05 is missing for account 0000230000 C1 1000"
Please advice where I need to check and correct.
Regards
Shanu

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    Dear
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    Morning
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  • FAGLF101 reclassification of payables and receivables

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    Edited by: Sridhara Rao.D on Oct 13, 2011 1:09 PM

  • Double postings after running transaction FAGLF101

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  • Help on FAGLF101

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    Kindly help me to know the functionality of the transaction code FAGLF101.
    All the relevent settings have been done for the above transaction by some others, Now client wants to know and understand the purpose and the functionality how to use it. What is does and when it should be used.
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    Moderator: Please, search SDN

    Hi Nagesh,
    FAGLF101 / F101 is created for Balance Sheet Supplement - OI - Analysis
    This report structures the *payables and receivables* into a sorted list and executes transfer postings.
    Additional adjustment postings are required in the following cases:
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    - Changed reconciliation accounts or partners (VBUND)
    - Investment reporting
    All accounts are processed that are carried with open item management.
    The functionality in the standard program as you requested is not available
    I hope this helps
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