Inconsistency with document splitting

Dear All,
I have activated Document splitting option after posting few documents----open itmes. After document splitting is activated now i cannot clear those line items which were posted before document splitting was activated.
Is there any way to remove this inconsistency with the old documents. Any program to be run...or any other solution.
Please help to resolve the issue.
Sap Frido.

hi,
Is there any program which removes this inconsistency. As we have program to run the inconsistency in witholding tax.
Thnaks and regards
Sap frido

Similar Messages

  • Problem with document splitting

    Hi,
    I am encountering a problem with document splitting, where in while doing clearing of down payment against miro invoice profit center of first line item is over ridding profit center of second line item (line items are two different materials in purchase order).

    Hi Milind,
    Thanks for the reply.
    I've done the below configuration and assigned cost/profit center update. It now works for profit center split. It still does not split accordingly per cost center though.
    SAP Customizing Implementation Guide > Financial Accounting (New) > Financial Accounting Global Settings (New) > Ledgers >Ledger > Assign Scenarios and Customer Fields to Ledgers
    In the below configuration, cost center is not an available option. Unlike the profit center which is available here.
    SAP Customizing Implementation Guide > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Define Document Splitting Characteristics for General Ledger Accounting
    The profit center split looks fine now, however the cost center split still is only reflected in the expense items and not on the AP item.
    Any ideas on how to actually split the AP line items according to the cost center assignments ?
    Edited by: Patrick on May 9, 2011 7:46 AM

  • Profit center accounting in ECC 6.0 with Document Splitting

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    Hi,
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    Procedure
    Check the selection criteria by calling up the transaction.
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  • Posting  with document splitting

    What is posting with document splitting ?  Transaction code for document splitting..
    <b>Helpful posts will be rewarded</b>

    Hi
    I have had this problem when there are multiple profit centres in a GR. We did try some configuration options like adding Expenses category to 600 but found that the GR IR line was also being split and that was not the requirement. It is in the Document Splitting Configuration that you will find the answer to this issue, though the results after configuration may not be exactly what you want.

  • Segment reporting with document splitting

    Hi Experts,
    We have implemented newgl without segment reporting and document splitting.  we do not implemented other functions like AP, AR and AA and all. without having with modules is it useful to implement segment reporting with document splitting?
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    2.entering the segment in profit master data
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    Thanks,
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    Hi
    Thanks for your reply
    We have Normal new gl configuration, parallel accounting and foreign currency valuation and In co we have cost centers and profit centers related configuration also. these are all we have in my client.In this situation can we implement segment reporting and document splitting. 
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    if so what are the things that we need to check to implement this and what are the steps that we are going to do to configure this.
    Please help me is this beneficial or not
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  • Problem with document splitting and zero balance clearing account

    Hi SAP Gurus,
    We've already configured the document splitting functionality in our project, however we still encounter some issues with the outcome of posting documents. For some scenarios, the document split functionality seem to work. Below is such example
    Scenario # 1
    Entry View:
    40  Expense (cost ctr 0001)
    31  AP
    GL view:
    40 Expense (cost ctr 0001)
    31 AP (cost ctr 0001)
    However, whenever 2 GL items are included in the document, the document split functionality acts differently.
    Scenario # 2
    Entry View:
    40 Expense # 1 (cost ctr 0001)
    40 Expense #2 (cost ctr 0002)
    31 AP
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    40 Expense #2 (cost ctr 0002)
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    40 Zero Balance Clrg  (no cost ctr assignment)
    50 Zero Balance Clrg (cost ctr 0001)
    40 Zero Balance Clrg (no cost ctr assignment)
    50 Zero Balance Clrg (cost ctr 0002)
    I was just wondering how come the AP item did not split accordingly to the cost center indicated in the entry view. Can anyone please assist me on this one? Thanks in advance and best regards.

    Hi Milind,
    Thanks for the reply.
    I've done the below configuration and assigned cost/profit center update. It now works for profit center split. It still does not split accordingly per cost center though.
    SAP Customizing Implementation Guide > Financial Accounting (New) > Financial Accounting Global Settings (New) > Ledgers >Ledger > Assign Scenarios and Customer Fields to Ledgers
    In the below configuration, cost center is not an available option. Unlike the profit center which is available here.
    SAP Customizing Implementation Guide > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Define Document Splitting Characteristics for General Ledger Accounting
    The profit center split looks fine now, however the cost center split still is only reflected in the expense items and not on the AP item.
    Any ideas on how to actually split the AP line items according to the cost center assignments ?
    Edited by: Patrick on May 9, 2011 7:46 AM

  • Withholding Tax on Advance paid having issues with Document splitting

    Dear Experts
    Our client deducts TDS on the Advance amount paid and on posting of Invoices from the Vendors. The documents are posted with withholding Tax types configured for these purpose in F-48 and FB60 respectively. Document splitting has been activated in the system with all required configuration.
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    Advance posting:
    vendor a/c....dr   (Profit center 3)
    To bank Clearing (Profit center 3)
    To TDS on payment
    Invoice:
    Expense ....dr  (Cost Center1 / profit Center 1)
    Expense ....dr (Cost Center 2 / Profit Center 2)
    To vendor a/c
    To TDS on Invoice
    Up to here the document splitting works fine with Profit Centers and segments getting displayed in all line items in GL view. The issue comes when we select both the documents in F-53 and try to pay out the balance amount.
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    Edited by: sid_das on Dec 12, 2011 5:32 PM

    Resolved at our end by tweaking the splitting rule to match the Business requirement.

  • Issue with Document Splitting

    HI All,
    After I activated Document Splitting, I have posted an Invoice(F-43). It has splitted correctly.
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    31 Vendor      PC2  10,000 Dr
    40  Exp A/c1  PC1   20,000
    40  Exp A/c2  PC2   10,000
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    Pls let me know what mistake I made in Configuration.
    and why Its showing Zero Balance Clearing A/c in this entry.
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    Niranjan Yandamuri

    Hi Niranjan,
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    http://help.sap.com/erp2005_ehp_05/helpdata/EN/87/3da04028f40160e10000000a1550b0/frameset.htm
    Here is how to configure document split process:
    http://help.sap.com/erp2005_ehp_05/helpdata/EN/49/121407cbff280ee10000000a42189c/frameset.htm
    Hope this is helpful.
    Regards,
    Ming

  • F-04 ERROR WITH DOCUMENT SPLITTING

    Hi Friends.
    I have posted few documents in FI, debiting expenses a/cs and crediting a clearing liability GL A/c, each with different profit centres. 
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    In document splitting, I kept the document type for the above transaction, under the unspecified posting business transaction variant "0000".
    Please advise how to go ahead.
    Srini.

    Hi.
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    Regards.
    Srini

  • Profit Center in New GL with Document Splitting

    Hi
    As per my understanding, from ECC 5.0 onwards you are forced to use New GL, and we are also planning to use Document splitting as some of the period end closing of profit center accounting are avoided.
    Further I want to add that since document splitting is active, the old profit center tables GLPCA & GLPCT are not updated. The profit center details are updated in FAGLEXT, FAGLEXP & FAGLEXA tables.
    I need clarifications for the following: -
    1. How do I plan for the profit centers Profit Center & Balance sheets
    2. How do I do profit center Plan / Actual Assessments / Distributions
    Kindly clarify.
    Regards,
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    I am also facing the same issue. Can anyone please guide how to handle the AUC downpayments  made in the legacy system to SAP?
    The solution I thought of is just create a special GL indicater for AUC downpayments and post the vendor payments in F-48. Please guide is this the complete solution? We are using the Internal Order for AUC with investment measure.

  • Document Splitting with Different Business Area

    HI
    I have a situation, where i need to create a new document type and it needs to be configured in such a way that vendor invoices and credit notes can be booked with the correct doc splitting and using different Business Areas.
    I like to know if this is possible, and if yes how.
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    The client requires that they need to post to a different business area, and the document splitting should happen.
    Any suggestions on this will be great.

    Hi Srikanth,
    In my config setting under Document Splitting i have the Zero Balance ticked for it.
    My Scenario is as an Ex. I am debiting a G/L account for 1000, and giving Business Area X, with a cost Center which is assigned to Business Area X.
    And Crediting a Vendor for 1000 with Business Area Y.
    Will this scenario work with Document Splitting enabled, i am doubtful on this, but my client needs this.
    Can you tell me if this is a possible scnerio.
    If yes then how?

  • Document splitting: vendor invoice with VAT cannot be posted because of tax

    Hello
    I try to post a vendor invoice with document splitting active. I can post a document without VAT but with VAT (input tax 21%) I get the message "Posting possible only with zero balance" balance; balance on other line items is 210 EUR.
    001 31       0000105675 Vendo                      1.000,00-                V4
    002 40       0000601000 Purchase of consuma           500,00                 V4
    003 40       0000601000 Purchase of consuma           500,00                 V4
    In customizing for document splliting I have following categories assigned to the GL accounts:
    100     399999     01000     Balance Sheet Account
    411000     411000     05100     Taxes on Sales/Purchases
    440000     441000     03000     Vendor
    451000     451000     05100     Taxes on Sales/Purchases
    500000     580000     01000     Balance Sheet Account
    600000     699999     20000     Expense
    700000     759010     30000     Revenue
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    kr
    Arjan

    Hi,
    This problem does not seem to be of Document Splitting. When you post the document, balance of the document does not come to zero. This problem somewhat relates to Parrelel currency configured.
    Please depict entire scenario. Let me know in which currency you are posting document and which transaction and what message system is shooting.
    Straight solution can be you manually change the 210 EUR balance into document by clicking on more data.
    Regards,
    Chitnan Joshi.

  • Deletion of GL Accts in Classify G/L Accounts for Document Splitting screen

    Hi Friends,
    I am working with Document Splitting and I have assigned GL Accounts in Classify G/L Accounts for Document Splitting and also posted documents, now the functionality is working fine.
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    Messages:
    "Changes to Customizing settings can affect behavior of document splitting
    Message no. GLT1414"                                                   
    "Problems may first occur in the target system after the transport
    Message no. GLT1411 "                                                  
    "Role of Current Client: SAP reference
    Message no. GLT1410"                                        
    I can able to delete these GL Accts, but before deleting I would like to know what is the impact in the system for already posted documents.
    Can any one explain me, If I delete these assigned GL Accts from the system, Is there any system inconsistency will occur.
    I would like to assign the same GL accounts again.
    Best Regards,
    Chandra

    HI,
    Document splitting is based on Item categories
    and Item categories are assigned to GL account hence if you change
    or delete any GL account or change the Item categories then document
    splitting behavior will change.
    If those Gl accounts and Item Categories is having open items then
    inconsistency will create.
    Hence before change of any setting you need think twice.
    Reg
    Madhu M

  • Document Split for Currency Exchange while posting Incoming payment

    Hi Experts,
    Scenario:
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    > posting entered today (14 Jan 2009), but posting date is 30 Dec 2008)
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    I was able to post the incoming payment in Client 005.  However, in Client 001, I got error message:
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    Diagnosis
    The accounts for posting exchange rate differences could not be determined. For the specified G/L account and the specified currency key, the accounts are only specified incompletely. Either the accounts for the implemented exchange rate difference, the accounts for the valuation differences or the balance sheet adjustment account are missing.
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    The system cannot generate the exchange rate difference posting.
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    Hope someone can help me.
    Thanks...

    problem solved: add relevant Open Item GLs in OBA1 (Account Determination for OI Exchange Rate Differences)

  • Document Splitting problem while posting asset acquisition using F-90

    Hi,
    We are using ECC 6.0 with document splitting functionality and are facing problem while posting asset acquisition using F-90.
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    Regards,
    Ramanand

    Please follow the below path and do config :-
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    here you have to put KOSTL (Cost center) for both against APC and Dep run for each Dep area.
    Thanks
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