Maintain account assignment model

what's the t-code to maintain account assignment model

Hi,
T Code for account assignment model: FKMT - Account Assignment Model
Path: SAP EA - Accounting - Financial Accounting - General Ledger - Posting - Reference Documents - FKMT - Account Assignment Model
Thanks
Chandra

Similar Messages

  • How to add entries in possible fields in Account assignment model/Note 2596

    Hi Friends,
             I want to know How to apply OSS Note 2596, The basic requirement is to to add entries in the list of possible fields in Account assignment model( Exactly in program SAPDFKA6 in screen 120).
    I found the note 2596 to achieve this, and the field that I want to add is KMZEI-PAOBJNR.
    I gone through the note and it is very confusing for me .. If any one knows how to achieve this or how to apply this note, please let me know.
    Thanks,
    Rk

    I got this myself.
    Thanks,
    Rk

  • Issue with Account Assignment Model - FI - GL Account

    Hi SAP Guru's...
    We are facing an issue while trying to post F-02, by selecting an account assignment model. This issue started when we updated the Production client with Support Packs (SP-12 and SP13)..this weekend.
    While going for F-02, and selecting Account Assignment Model. A message Pop up with the following information - " Screen template VNU06 of acct assignmnt model Changed"..
    _In the HELP Screen the following details are appearing :-_**
    Screen template VNU06 of acct assignmnt model changed.
    Message no. FX260
    Diagnosis :-
    The entry screen VNU06 of the selected account assignment template has been changed inappropriately.
    System Response:-
    The account assignment template can only be loaded when screen VNU06 has been corrected.
    Procedure:-
    If entries exist for a screen variant, the relevant entry screens must contain all fields that have already been filled (technical note: In this case, at least field AUFNR on screen VNU06 is missing).
    Carry out the following activities:-
    Add the fields to screen VNU06 (In the following transaction, choose Posting -> Account Assignment Template
    Proceed)
    Only then can you assign a new screen to the account assignment template or delete the fields not required.
    1.) Interestingly i went and check whether any value  is there in field (AUFNR - ORDERS) in the Table KMZEI...No Value is seen.
    2.) Also this field (AUFNR) is not selected in the VNU06 Screen varient templete, by us.
    Please help us.. This being a Critical Issue.. any of your valuable suggestion, is awaited.
    Thanks
    VinodRao

    Hi Ravi,
    Tks for response. I'm looking for ME_REQ_POSTED but it doesn't exist in se18. The only BADIs I can see starting with 'ME*' are:
    ME_CIN_LEINRF2R    
    ME_CIN_LEINRF2V    
    ME_CIN_MM06EFKO    
    ME_CHANGE_CHARACTER
    ME_CHECK_ALL_ITEMS 
    ME_DEFINE_CALCTYPE 
    ME_HOLD_PO         
    ME_PO_SC_SRV       
    ME_REQ_HEADER_TEXT 
    ME_TAX_FROM_ADDRESS
    ME_TRIGGER_ATP     
    I'm using 4.6C version... any other suggest???
    Edited by: George Navarrete on Dec 21, 2007 4:40 PM

  • Account assignment model for customer line items

    Hi all
    As per SAP, account assignment models can be used for creating the entries for GL accounts. I have a scenario which requires similar type of feature for Customer and vendor items also..
    Is it possible to create an account assignment model for Customer and vendor line items..with posting key 01..?
    Thanks and Regards
    Rakesh

    Hi,
    Account assignment model is created using transaction code FKMT. It does allow using posting key 01, however unlike in GL Account - Customer accounts will not be always same. Hence, normally used for GL postings.
    In case if you are going to use for the same Customer / Vendor Account you can try it using transaction code FKMT.
    Thanks
    Murali.

  • Creation of Account Assignment Model - FKMT

    Hi All,
    We are trying to copy & paste the data from excel file into FKMT (Create Account Assignment Model).
    Is there any way that all excel data get updated in FKMT in one go?
    I tried to create an account assignment model from the values in excel sheet but, FKMT is taking data equal to lines appearing on the screen in one go and then, we have to page down and enter the data.
    There are more than 200 line items to update in FKMT.
    Kindly, let me know the best way to copy the data from excel to FKMT.
    Points will be assigned.
    Quick response will be appreciated.
    Thanks & Regards

    I doubt if that is possible, at the most you can do 17-19 lines per template at once.
    if you change(reduce)  your screen size and make it smaller it will add few for lines into it, but not whole excelsheet at once.
    Assign points if helpful.

  • Account assignment model

    Hi SAPians,
    I am executing account assignment model and the model is:
    40 476000 10000
    40 470000 5000
    50 160001 *
    where 4xxxxx are my expense a/c's and 160001 is my liability a/c but instead of liability a/c if i give my cash a/c 113100 and trying to post it using F-02 i'm getting an error saying check the marked items pointing my cash a/c.
    my question can't we give cash a/c in a/c assignment model n pay. is it compulsory to give liability a/c. bcoz in F-02 its creating a document only after giving the liability a/c.
    please help me.
    points will be awarded.
    Thanks,
    Vijay

    You can post it to your cash account. Check the FSGs, Posting Keys of your cash account and liability account and see the difference.
    If the business has decided something earlier that you cannot, you need to check with them.
    Thanks,
    Nandita

  • Sample document, Recurring document and Account assignment model

    Hi,
    Can anybody clarify in detail what is the difference of the above and how it can be used in SAP.
    If anybody explains with examples it will be very useful.
    BSR

    Hi,
    Recurring dcoument .......  for example Rent ever month posted every month so prepare an entry which will be posted monthly.
    Account Assignment model........  For example expance bill are paid by one company and shared by our companys..  and ratio changes ever time ............  we configure the system for this and give the ratio each time.
    Sample ....  an enrty is passed and if you want to pass then same kind of entry we can use the sample document .
    So give me some points.
    With Regards,
    Krishna Singareddy

  • Reference documents and account assignment model

    Hi gurus,
    can anyone explain me the difference in using the account assingment model and reference documents.

    Hi,
    Account assignment model is defined as a reference for any document entry that provides default values for posting business transactions. This model can contain any number of G/L account items and can be changed or supplemented at any time. yet another point to note is that the GL line items can be incomplete also.
    Check out the SAP glossary as below:
    http://help.sap.com/saphelp_sm40/helpdata/en/35/2a381e61025cd5e10000009b38f974/content.htm
    Whereas in the case of reference documents - data from this type is used to create default entries .
    It merely serves as a data source
    Thanks
    Janani
    award points if helpful

  • Regarding Account Assignment Model

    Hi, I would like to know whether can customise by add the "Profitability Segment" to Account Assignment Model screen template? Thanks.
    Message was edited by:
            LOI ESTHER

    Yes, you can add any field, even Z.
    Check note 2596.

  • Difference between account assignment model and recurring entry?

    difference between account assignment model and recurring entry?

    Hi
    Account  Assignment model  is a   template used for document creation in which default values are provided for the posting of a business transaction.
    An account assignment model may contain any number of G/L line items, and can be changed or enhanced as needed. Unlike sample documents, account assignment models may contain incomplete G/L line items.
    A  recurring entry     is   when    an expense    is  distributed   thru  out the  year  or  for   selected period.     You  create the  entry  once and  execute  it   during  period  end  closing.  Posting happens   to related  accounts  only on  execution in the period  concerned.
    Thanks
    kamala

  • What is Account Assignment Model & Sample Document ?

    Hi Friends
    What is Account Assignment Model & Sample Document ?
    Thanks
    Neha

    Hi,
    Account Assignment Model:
    Account Assignment Model is a reference for document entry that provides default values for posting business transactions. An account assignment model can contain any number of G/L account items and can be changed or supplemented at any time. In contrast to sample documents, the G/L account items for account assignment models may be incomplete.
    Use
    During document entry you can change, add to, or delete the proposed data. You can also call up any number of account assignment models and switch from a model to standard item entry procedure and back again.
    You can also assign equivalence numbers to account assignment models. In this case, you simply enter a total amount which is then distributed to the items within the model according to set ratios.
    Account assignment models can also be used across company codes and can include company codes from non-SAP systems. If you do not enter a company code when using an account assignment model, the last company code used is proposed.
    Sample documents:
    Sample documents are the data sources for an accounting document. Sample documents have a separate number range. Their advantage is that you can change or enhance them. You therefore use a sample document rather than an accounting document if you need a reference document for which you want to define the layout yourself.
    When you enter and post a sample document, the system stores the document, but does not update any transaction figures. Your system administrator defines a number range for sample documents. The system assigns a number from this number range to each sample document.
    I hope it will help.
    If helpful, please assign points.
    Regards,
    Manju

  • Error: Maintain account assignment Message no. PAMS151

    include transaction code iw21
    then click notification
    insert partner names
    choose tab pool asset tab
    choose date of req.start & reaq.end
    push to save icon then the error occurred
    i try to search about error there is no answer and nothing for Sap note
    any body have the same problem and solve it or any idea to solve this error

    Greetings Mohamed,
    Have you looked at the SAP Note 1569665 - PAMS151: Warning msg. regarding account assgmt not
    necessary?

  • GR and GR Non Val indicator in R/3 PO for multiple account assigned SC's

    Hi,
    We are on SRM 3.0(EBP 4.0) and R/3 4.7.
    We have implemented the BBP_CREATE_PO_BACK badi for setting or clearing the GR and IR indicators under certian conditions.
    But for Multiple account assigned SC's we get an error message "06181 With non-valuated GR, please also enter GR i ndicator ".
    We have tried implementing note# 872000, but this has not solved the issue.
    The PO's get created only if we force the GR indicator when transferring the data into R/3.
    It seems clear that while creating the PO the system is encountering the GR Non Val indicator but not the GR indicator, so its throwing the error message (we get the same error message when we create the PO from R/3 with GRnon val indicator checked and GR ind unchecked).
    The proposed solution is that in the same BADI, along with clearing the GR indicator, we will also clear the GR non val indicator.
    This can solve the issue if the indicators are transferred as it is from EBP.
    But can anyone tell me if these indicators are also checked/changed in any FM/program in R/3 before the PO is created?
    Is there any customizing setting which is affecting this particular behaviour?
    Regards,
    Srivatsan

    Hi Srivatsan ?
    In ECC, you have a configuration point :
    Materials Management->Account Assignment->Maintain Account Assignment Categories
    Here you can untick the indicator you want by account assignment category;
    Kind regards,
    Yann

  • How to grey out the Account Assignment Group Fld  in Billing Doc Line Item

    Hi SD Guru's
    I have a small doubt.
    I have maintained account assignment group in material master. Now when i create an order , the account assignment group gets picked from material master into this sales order.
    Now i go to VF01 for doing the invoicing.
    Now i can still go to billing document line item against the material and change its account assignment group before raising the invoice. When i change this field, i can still post to accounts.
    I want to know is there any way in which we can restrict the way in which this field is greyed out and is made non-editable, so that only correct entries with account assignment group maintained in material master are posted.
    Answers will be appreciated.
    Kind Regards
    Ravi

    Hi,
    Sandeep can you please give me step by step process of using SHD0 in this case.
    Now if i apply this to transaction VF01 and VF02, would it apply for all billing document types? I dont want that, i want it to work for a specific billing type
    Kind Regards
    Ravi

  • PO Account Assignment Tab in ECC - with Split Accounting

    Hello,
    We currently are using Funds and WBS Elements within our SAP system.  When both a fund and a WBS Element are used on one line item within the shopping cart, I am able to see all of the information (fund, wbs element, fund center, cost center, commitment item, etc).  However, after the purchase order is created and transmitted to ECC the "Account Assignment Category" is marked as "X - All aux.acct.assgts." and the account assignment tab only has the following column headers:
    - Sequential Number of Account Assignment
    - Quantity
    - Distribution Percentage in Case of Multiple Account Assgt
    - Cost Center
    - G/L Account Number
    - Order Number
    - Asset Subnumber
    - WBS Element
    - Sales and Distribution Document Number
    - Sales Document Number
    - Delivery Schedule Line Number
    - Unloading Point
    - Goods Recipient/Ship-to Party
    - Deletion Indicator: Purchasing Document Account Assignment
    I can see that the fund is within the EKKN table (Field: BP_GEBER) but for some reason ME23N does not have this field in the Account Assignment tab when the category is "X".  How do I add "Fund" into the Account Assignment tab so that it will be visible within ME23N?
    Thanks,
    Katie

    IMG \ MM \ Purchasing \ Account Assignment \ Maintain Account Assignment Categories
    Select details for AAC 'X' and view field settings below.  Set Funds \ Funds Center to required setting e.g. Display.

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