IWork documents not Updating

Hello, I upgraded to OS X Yosemite. When I go into Pages or Numbers, the documents are out of date. I created a document on my Mac, and it isn't syncing to my iPhone. I have iCloud Drive and have updated all my apps.
I really need these documents, so any help would be appreciated.

Just a suggestion... Have you checked that you have iCloud Drive specifically enabled on both devices, or maybe only on one of them?

Similar Messages

  • IWork did not update with maverick download

    I have previously purchased iwork on a cd rom format. After updating to mavericks iwork will not update. How can I fix this

    Have you checked to see if the individual apps - Pages, Numbers, etc - are listed in the Updates? If not,
    see if this applies:
    http://www.apple.com/creativity-apps/mac/up-to-date/

  • RMCVNEUF....billing document not updating

    The business recently made a change to the Item Categories that update LIS/SIS. They want us to load all historical documents with this Item Category to our SIS structures and DW. There was a change made to RMCVNEUF to allow for us to search all billing documents where Item Category = NLC, allowing us to use the statistical updating program to load only the historical documents wanted.
    As a test, I found on NLC document and run it thru RMCVNEUF. I have checked the Redetermine Update Group check box. I get a message back saying: Data from billing document 9000878658 was not updated
    Message no. M2210
    Diagnosis
    Data from documents used as a basis is required for the processing of billing documents.
    System Response
    The data in the billing document 9000878658 will not be updated
    System Response
    Ensure that all sales orders and delivery notes are processed before the billing documents.
    NLC item category is now configured in SPRO to be statistically relevant. Why would this not update using RMCVNEUF? Config was changed on 4/16/10 to allow for NLC to update. It seems any document created with this item category prior to that date will not be updated using RMCVNEUF? Any ideas? Not sure of a better/easier way to get only the documents we want to load to SIS and then DW.
    Thank you
    Theresa

    Note 142349 says
    Summary
    Symptom
    If in the statistical setup of the sales information system you select option 'Redetermine update group', the following error messages may occur:M2206, M2207, M2208, M2209, M2210, M2211.
    The documents specified in the messages may be displayed correctly during an update simulation.
    Additional key words
    OLI8, OLI9, RMCVNEUL, RMCVNEUF
    Cause and prerequisites
    During the redetermination of the update group in the reorganization, information from preceding documents is written to the intermediate tables MCVSRFK (document header) and MCVSRFP (document item), which are relevant for the determination of the update group of the subsequent documents.
    Solution
    To fill these intermediate tables, the reorganization of sales orders must be performed before the reorganization of deliveries or the reorganization of sales orders and deliveries must be performed before the reorganization of billing documents (in each case with option 'Redetermine update group'.
    Note
    After the successful reorganization the above-mentioned help tables should be deleted with report RMCVNEDE to avoid uneccessary data collection and the increasing loss in performance during the following reorganization runs.
    thanks
    G. Lakshmipathi

  • Document  not updated in consolidation(urgent issue)

    Hi all
    actually we are posted one  document in 2006 at the time its generated accounting document.but its not generated in consolidation document.now any option to generate the    only consolidation document.
    Thanks&Regards
    Satish
    09892421477

    Hi Hari,
    Thanks for your reply. I have checked in this transaction code also. The system is showing the message as "The document is already posted".
    But it is not updated any tables except the document number is updated in table  J_1IPART2.
    Is there any other reasons for not updating the tables.
    Regards
    RS

  • RMCVNEUF - document not updated

    The business recently made a change to the Item Categories that update LIS/SIS. They want us to load all historical documents with this Item Category to our SIS structures and DW. There was a change made to RMCVNEUF to allow for us to search all billing documents where Item Category = NLC, allowing us to use the statistical updating program to load only the historical documents wanted.
    As a test, I found on NLC document and run it thru RMCVNEUF. I have checked the Redetermine Update Group check box. I get a message back saying: Data from billing document 9000878658 was not updated
    Message no. M2210
    Diagnosis
    Data from documents used as a basis is required for the processing of billing documents.
    System Response
    The data in the billing document 9000878658 will not be updated
    System Response
    Ensure that all sales orders and delivery notes are processed before the billing documents.
    NLC item category is now configured in SPRO to be statistically relevant. Why would this not update using RMCVNEUF? Config was changed on 4/16/10 to allow for NLC to update. It seems any document created with this item category prior to that date will not be updated using RMCVNEUF? Any ideas? Not sure of a better/easier way to get only the documents we want to load to SIS and then DW.
    Thank you
    Theresa

    Hi Cathy,
    It is genrated profit center document also but its not updated in Consolidation (Profit center dimension). If u have idea about this please help me.
    Thanks
    K.Satish

  • Accounting Document not updated in BKPF for JV by J1IH

    Hi
    The user posted JV through transaction code J1IH.
    The document number is updated in table J_1IPART2 but when the user is trying to see the same document in FB03 we are getting the error message as "the document is not exist or not archived".
    And we have checked in tables BKPF and BSEG we did not find this document.
    Can anyone please suggest how to find the reason why the system is not updated this document?
    Regards
    RS

    Hi Hari,
    Thanks for your reply. I have checked in this transaction code also. The system is showing the message as "The document is already posted".
    But it is not updated any tables except the document number is updated in table  J_1IPART2.
    Is there any other reasons for not updating the tables.
    Regards
    RS

  • Material document not updated in inspection lot QALS table

    HI
    The inspection lot created for 04 inspection type  during Goods Receipt.
    The material document is appearing in the inspection lot but found not updated in table entries.  i.e.., QALS -MBLNR
    When i checked other inspection lots it was found updated. How this happened ?
    Any Snote to be applied?
    Thanks

    Hi,
    Check the number ranges for material documents. (with year) for document type WE in OMBT transaction code.
    If same material document number repeats in the same calendar year,then document update will be terminated.
    As, document no. will be already existing in tables, system won't allow to update the same no. again.
    Thanks & Regards,
    Anand.

  • Accounting Document not updated after Vf01(billing)

    Hi Gurus,
    After creating invoice in vf01 when i m looking at accounting document, then my value is updated but the quantity is not updated in fb02.
    when i see table BSEG then the value of MENGE is not updated there.
    It is always coming ZERO.
    Thanks in advance

    Hi
    Please check whether FI doculments summarisation is active for this field under procedure VBRK.
    Regards

  • Goods movement document not updating

    Hi Gurus,
    I have created the order with component and external services did the goods issues and service acceptance but while checking in Menu bar of order>Extras>Document for order---->Goods movements no movement document is updared.Pls guide  me why the movement document is not updating,I am sure about the goods issue and service acceptance because Actual cost is coming..
    Thanks,
    Kumar

    Hi,
    For better chances of response, better to post this in MM forum of R/3.
    Thanks - Pawan

  • IWork apps not updating iCloud files automatically

    My iWork apps (pages, keynote, numbers) on my MacBook Pro quit updating iCloud files automatically.  Also the apps will not show files created or updated on my iPhone or iPad automatically.  If I restart or shut down my MacBook Pro, then the iCloud files are updated at the launch of the iWork app.  The iWork apps were updating the iCloud files antomatically until two days ago.  I am looking for suggestions on how to get the automatic iCloud file update feature working again.

    Yes I am using Mountian Lion.  Automatic syncing was working great up to about 2 days ago.  Then it just quit.  I could turn the mac off and back on and it would sync, but still would not automatically.  None of my troubleshooting tricks fixed the issue.  Finally I reinstalled Mountian Lion and now the iWorks apps are syncing.  I still don't the know the reason for the issue, but a complete start over solved the issue for now.  Thanks for your comments.

  • Controlling segment of FI document not updated  through FIDCCP02

    hello..
    We are using FIDCCP02 basic type for posting FI document from a third party system via XI.
    IDOC gets succesfully posted and generates FI document as well (visible in FB03)..it is also showing cost center details in the FI line item as per requirement..
    BUT the problem is, while posting the document thru IDOC..<b>it is not updating the controlling document for that Cost Center</b>...though it gets updated when we manually create the FI document.
    we checked out the note 114814 , it says that FIDCCP02 does not update controlling component...so use some other IDOC type !!!
    now the question is...which basic type / Function module should we use for posting CO details for the FI document ??? and moreover how to incorporate this functionality with the process code i have already developed ( working absolutely fine as far as FI document is concerned )..
    please reply to this as soon as possible..
    regards
    nidhi

    <b>Cost Center Accounting</b>
    In this activity, you make settings required for distribution in Cost Center Accounting.
    There is a difference between settings for distribution method one (centralized Cost Center Accounting), and those for method two (decentralized Cost Center Accounting).
    Consistency Check
    The function in this section carries out a consistency check of the settings made here. We recommend you use this consistency check to make the relevant settings.
    Execute the function in the decentralized systems. Then you can check whether the settings between the systems for the required message types have been correctly maintained.
    Double-click on a line in the consistency check log to make the required settings.
    You must have maintained the partner profiles in all the systems.
    Notes on Overhead Cost Controlling
    You make Overhead Cost Controlling settings in Customizing, under Controlling.
    The following settings are required to distribute a controlling area:
    The distribution method must be defined in the controlling area for the basic data in the "Distribution method" field. You can choose between distribution method one or two.
    The logical system name of the central controlling system must be defined in the controlling area for the basic data in the "Logical system" field. The logical system name is defined in the installation and in the client settings. (In IMG under:
    Basis Components
      Distribution (ALE)
       Sending and Receiving Systems
          Logical Systems
            Assign Logical System to a Client
    If you use distribution method two, you also assign all cost centers to a master system, which is the logical system for the cost center.
    If you want to use the profit center accounting, read section Distribution scenarios -> Profit Center Accounting
    If you want to use profitablitity analysis, read section Distribution scenarios ->  Profitablitity Analysis.
    Synchronization of settings using the transport system
    Some settings for overhead cost controlling need to be in all systems in the same form.
    The easiest way to ensure this, is by doing your customizing in a centralized system, and then distributing the data to all systems affected.
    The transport system is normally used for the first time that decentralized controlling is provided with customizing data.
    For information on compiling the transport orders for decentralized controlling systems, see the Implementation Guide (IMG), under the section on Controlling -> General Controlling -> Productive Start Preparation -> Transport System Settings.
    Individual setting synchronization
    If you do not make the settings for overhead cost controlling centrally in a Customizing system, but individually in each of the affected systems, then ensure  that they all contain the following data in the same form:
    Data for all controlling areas:
    Currencies
    Charts of accounts
    Attributes for the controlling area: Basic data
    Distribution method
    Logical system
    Currency type
    Currency
    Chart of accounts
    Fiscal year variant
    Standard hierarchy for cost centers
    Activated reconciliation ledger indicator
    Attributes of the controlling area: Control indicators
    Cost Center Accounting activated
    Indicator for all currencies
    Indicator for company code validation
    Assignment of controlling area - company code
    Assignmeents between controlling areas and company codes can only be maintained centrally and distributed, if the assignments between local and global company codes match.
    Otherwise, you need to make the assignments individually in each system.
    The concept of global company codes is explained in Customizing, under the following path:
      Predefined ALE Business Processes
        Accounting
          Financial Accounting
    Notes on Distributing Plan Prices
    Plan prices for the cost center/activity type combination are distributed using the "COACTV" message category. Before you do this, you need to activate the integration for each planning version used and fiscal year.
    To do this in the menu Cost Center Accounting,
    choose Planning -> Planning aids -> Integration active in
    For distribution method one, you need to activate the integration in the centralized system. For method two, you need activate integration in both the centralized and the decentralized systems.
    Notes on Distributing the Reconciliation Ledger
    When Cost Center Accounting is distributed, you also need to distribute the reconciliation ledger.
    If centralized Cost Center Accounting is used in a system other than the centralized general ledger, then you also need to make some more settings in Customizing in addition to the setting for the message flow between decentralized and centralized cost accounting. This is for the distribution of the reconciliation ledger.
    The "RCLROL" message dispatch (from decentralized and centralized Cost Center Accounting to the centralized general ledger) must also be inserted in your distribution model with the company code filter object.
    You need to maintain these two message flows in the communication parameters.
    There is a restriction, whereby reconciliation postings can only be made on company code level.
    Distribution Method One: Partner profiles
    Partner profiles in the centralized cost accounting system
    In the centralized cost accounting system, you need to maintain outbound partner profiles for each decentralized cost accounting system.
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
    COAMAS Activity types
    COGRP1 Cost center groups
    COGRP2 Cost element groups
    COGRP5 Activity type groups
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    (RCLROL Roll-up reconciliation ledger
    if the centralized system
    for the controlling area and
    the company code are different)
    You need to maintain the inbound partner profiles for the each decentralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    CODCMT CO document
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-up reconciliation ledger,
    in the centralized system for
    the company code
    if the centralized system for
    the controlling area and
    the company code are different)
    Partner profiles in the decentralized cost accounting system
    In each decentralized cost accounting system, you need to maintain outbound partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    CODCMT CO-Beleg
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-Up reconciliation ledger
    in the centralized system for
    the company code
    if the centralized system for
    the controlling area and
    the company code are different).
    You need to maintain inbound partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
    COAMAS Activity types
    COGRP1 Cost center groups
    COGRP2 Cost element groups
    COGRP5 Activity type groups
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    (RCLROL Roll-up reconciliation ledger,
    if the centralized system for
    the controlling area and
    the company code are different).
    Note
    The COSCOR (cost centers (core)) and COACOR (activity types (core) message types are obsolete, and should not be used any more. Under no circumstances should they be used with the ZH>COSMAS (cost centers) and COAMAS (activity types) message types.
    Distribution Method Two: Partner profiles
    Partner profiles in the centralized cost accounting system
    You need to maintain outbound partner profiles for each decentralized cost accounting system for the following message types:
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
    COAMAS Activity types
    COGRP1 Cost center groups
    COGRP2 Cost element groups
    COGRP5 Activity type groups
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    CODCMT CO document
    (RCLROL Roll-up reconciliation ledger
    if the centralized system for
    the controlling area and
    the company code are different).
    You need to maintain the inbound partner profiles for each decentralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    COTOTL Totals records
    CODCMT CO document
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-up reconciliation ledger,
    in the centralized system of
    the company code,
    if the centralized system for
    the controlling area and
    the company code are different).
    Partner profiles in the decentralized cost accounting system
    In each decentralized cost accounting system, you need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    COTOTL Totals records
    CODCMT CO document
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-up reconciliation ledger,
    in the centralized system for
    the company code,
    if the centralized system for
    the controlling area and
    the company code are different).
    You need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
    COAMAS Activity types
    COGRP1 Cost center groups
    COGRP2 Cost element groups
    COGRP5 Activity type groups
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    CODCMT CO document
    (RCLROL Roll-up reconciliation ledger,
    if the centralized system for
    the controlling area and
    the company code are different).
    Note
    The COSCOR (cost centers (core)) and COACOR (activity types (core)) message types are obsolete and should no longer be used. Under no circumstances should they be used with the COSMAS (cost centers) and COAMAS (activity types) message types.
    Error handling
    Specifying responsibilities for workflow error processing in the distribution environment.
    Workflows are created to problems in cost accounting in the distribution environment. You need to specify employees who are responsible for the errors. You can use ALE-customizing for maintenance:
    Basis Components
      Distribution (ALE)
        Error Handling
    Distribution Method One:
    Specifying responsibility in the centralized cost accounting system
    Maintain assignments for the following standard tasks:
    Standard task: Identifier Name
    COSFET_Error COSFET Inbound error
    COAFET_Error COAFET Inbound error
    CODCMT_Error CODCMT Inbound error
    RCLROL_Error RCLROL Inbound error
    Specifying responsibility in the decentralized system
    Maintain assignments for the following standard tasks:
    Standard task: Identifier Name
    COSMAS_Error COSMAS Inbound error
    COELEM_Error COELEM Inbound error
    COAMAS_Error COAMAS Inbound error
    COGRP1_Error COGRP1 Inbound error
    COGRP2_Error COGRP2 Inbound error
    COGRP5_Error COGRP5 Inbound error
    COCOKA_Error COCOKA Inbound error
    COACTV_Error COACTV Inbound error
    Distribution Method Two:
    Specifying responsibility in the centralized cost accounting system
    Maintain assignments for the following standard tasks:
    Standard task: Identifier Name
    COSFET_Error COSFET Inbound error
    COAFET_Error COAFET Inbound error
    COTOTL_error COTOTL Inbound error
    COCOKA_Error COCOKA Inbound error
    COACTV_Error COACTV Inbound error
    CODCMT_Error CODCMT Inbound error
    RCLROL_Error RCLROL Inbound error
    Specifying responsibility in the decentralized system
    Maintain assignments for the following standard tasks:
    Standard task: Identifier Name
    COSMAS_Error COSMAS Inbound error
    COELEM_Error COELEM Inbound error
    COAMAS_Error COAMAS Inbound error
    COGRP1_Error COGRP1 Inbound error
    COGRP2_Error COGRP1 Inbound error
    COGRP5_Error COGRP1 Inbound error
    COCOKA_Error COCOKA Inbound error
    COACTV_Error COACTV Inbound error
    CODCMT_Error CODCMT Inbound error
    Note
    In the distribution model, you must maintain a company code or a controlling area as a filter object for the "RCLROL" message type.
    Check consistency
    After you have made the settings for distributed Cost Center Accounting, you can check the settings for consistency (see Set up Communication , Partner Profiles, and Check Model Settings).
    Cost Center Accounting
    In this activity, you make settings required for distribution in Cost Center Accounting.
    There is a difference between settings for distribution method one (centralized Cost Center Accounting), and those for method two (decentralized Cost Center Accounting).
    Consistency Check
    The function in this section carries out a consistency check of the settings made here. We recommend you use this consistency check to make the relevant settings.
    Execute the function in the decentralized systems. Then you can check whether the settings between the systems for the required message types have been correctly maintained.
    Double-click on a line in the consistency check log to make the required settings.
    You must have maintained the partner profiles in all the systems.
    Notes on Overhead Cost Controlling
    You make Overhead Cost Controlling settings in Customizing, under Controlling.
    The following settings are required to distribute a controlling area:
    The distribution method must be defined in the controlling area for the basic data in the "Distribution method" field. You can choose between distribution method one or two.
    The logical system name of the central controlling system must be defined in the controlling area for the basic data in the "Logical system" field. The logical system name is defined in the installation and in the client settings. (In IMG under:
    Basis Components
      Distribution (ALE)
       Sending and Receiving Systems
          Logical Systems
            Assign Logical System to a Client
    If you use distribution method two, you also assign all cost centers to a master system, which is the logical system for the cost center.
    If you want to use the profit center accounting, read section Distribution scenarios -> Profit Center Accounting
    If you want to use profitablitity analysis, read section Distribution scenarios ->  Profitablitity Analysis.
    Synchronization of settings using the transport system
    Some settings for overhead cost controlling need to be in all systems in the same form.
    The easiest way to ensure this, is by doing your customizing in a centralized system, and then distributing the data to all systems affected.
    The transport system is normally used for the first time that decentralized controlling is provided with customizing data.
    For information on compiling the transport orders for decentralized controlling systems, see the Implementation Guide (IMG), under the section on Controlling -> General Controlling -> Productive Start Preparation -> Transport System Settings.
    Individual setting synchronization
    If you do not make the settings for overhead cost controlling centrally in a Customizing system, but individually in each of the affected systems, then ensure  that they all contain the following data in the same form:
    Data for all controlling areas:
    Currencies
    Charts of accounts
    Attributes for the controlling area: Basic data
    Distribution method
    Logical system
    Currency type
    Currency
    Chart of accounts
    Fiscal year variant
    Standard hierarchy for cost centers
    Activated reconciliation ledger indicator
    Attributes of the controlling area: Control indicators
    Cost Center Accounting activated
    Indicator for all currencies
    Indicator for company code validation
    Assignment of controlling area - company code
    Assignmeents between controlling areas and company codes can only be maintained centrally and distributed, if the assignments between local and global company codes match.
    Otherwise, you need to make the assignments individually in each system.
    The concept of global company codes is explained in Customizing, under the following path:
      Predefined ALE Business Processes
        Accounting
          Financial Accounting
    Notes on Distributing Plan Prices
    Plan prices for the cost center/activity type combination are distributed using the "COACTV" message category. Before you do this, you need to activate the integration for each planning version used and fiscal year.
    To do this in the menu Cost Center Accounting,
    choose Planning -> Planning aids -> Integration active in
    For distribution method one, you need to activate the integration in the centralized system. For method two, you need activate integration in both the centralized and the decentralized systems.
    Notes on Distributing the Reconciliation Ledger
    When Cost Center Accounting is distributed, you also need to distribute the reconciliation ledger.
    If centralized Cost Center Accounting is used in a system other than the centralized general ledger, then you also need to make some more settings in Customizing in addition to the setting for the message flow between decentralized and centralized cost accounting. This is for the distribution of the reconciliation ledger.
    The "RCLROL" message dispatch (from decentralized and centralized Cost Center Accounting to the centralized general ledger) must also be inserted in your distribution model with the company code filter object.
    You need to maintain these two message flows in the communication parameters.
    There is a restriction, whereby reconciliation postings can only be made on company code level.
    Distribution Method One: Partner profiles
    Partner profiles in the centralized cost accounting system
    In the centralized cost accounting system, you need to maintain outbound partner profiles for each decentralized cost accounting system.
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
    COAMAS Activity types
    COGRP1 Cost center groups
    COGRP2 Cost element groups
    COGRP5 Activity type groups
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    (RCLROL Roll-up reconciliation ledger
    if the centralized system
    for the controlling area and
    the company code are different)
    You need to maintain the inbound partner profiles for the each decentralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    CODCMT CO document
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-up reconciliation ledger,
    in the centralized system for
    the company code
    if the centralized system for
    the controlling area and
    the company code are different)
    Partner profiles in the decentralized cost accounting system
    In each decentralized cost accounting system, you need to maintain outbound partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    CODCMT CO-Beleg
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-Up reconciliation ledger
    in the centralized system for
    the company code
    if the centralized system for
    the controlling area and
    the company code are different).
    You need to maintain inbound partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
    COAMAS Activity types
    COGRP1 Cost center groups
    COGRP2 Cost element groups
    COGRP5 Activity type groups
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    (RCLROL Roll-up reconciliation ledger,
    if the centralized system for
    the controlling area and
    the company code are different).
    Note
    The COSCOR (cost centers (core)) and COACOR (activity types (core) message types are obsolete, and should not be used any more. Under no circumstances should they be used with the ZH>COSMAS (cost centers) and COAMAS (activity types) message types.
    Distribution Method Two: Partner profiles
    Partner profiles in the centralized cost accounting system
    You need to maintain outbound partner profiles for each decentralized cost accounting system for the following message types:
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
    COAMAS Activity types
    COGRP1 Cost center groups
    COGRP2 Cost element groups
    COGRP5 Activity type groups
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    CODCMT CO document
    (RCLROL Roll-up reconciliation ledger
    if the centralized system for
    the controlling area and
    the company code are different).
    You need to maintain the inbound partner profiles for each decentralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    COTOTL Totals records
    CODCMT CO document
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-up reconciliation ledger,
    in the centralized system of
    the company code,
    if the centralized system for
    the controlling area and
    the company code are different).
    Partner profiles in the decentralized cost accounting system
    In each decentralized cost accounting system, you need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSFET Requesting cost centers
    COAFET Requesting activity types
    COCOKA Control data object/cost element
    COACTV Prices for cost center/activity type
    COTOTL Totals records
    CODCMT CO document
    RCLROL Roll-up reconciliation ledger
    (RCLROL Roll-up reconciliation ledger,
    in the centralized system for
    the company code,
    if the centralized system for
    the controlling area and
    the company code are different).
    You need to maintain outgoing partner profiles for the centralized cost accounting system for the following message types:
    Message type Meaning
    COSMAS Cost centers
    COELEM Cost elements
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