Migration to new G/L , balance and line item display after migration

Hi,
After migration in the development
system, the balance of a G/L account
in a year before the migration date
cannot be displayed unless the G/L
account is managed on open item basis
or is a reconciliation account. The
message "No data found in 2007" is
issued.
Additionally, the correct balance of
G/L accounts if it is managed on open
item basis or is a reconciliation
account cannot be displayed by
FAGLB03.Only the balance of open items
can be displayed.
How can we display all line items of a
G/L account in year 2007?
Thanks in advance and kind regards,
Gökçen.

Hi Elena,
This is a very complex area. You need to check the following notes:
1070629 - FAQs: Migration to General Ledger Accounting (new)
1014364 - New G/L migration: Information, prerequisites, performance
You may also have to contact SAP Migration Services
[email protected]
Regards,
Ravi

Similar Messages

  • Inconsistencies betwen balance and line items

    Hello masters!
    I found some inconsistencies betwen balance and line items. I tried to solve the problem using FAGLF03 and RFINDEX (when executing SAP retrieved: "New GL is active. GLT0 can not be adjusted") but both did not work.
    We have never gone trough an archiving process.
    Thanx

    Ok Renan.
    Bellow is the result of RFINDEX, if you have any idea...
    "Error reconciliation documents indexes sequentially docs."
    Ccode / Doc number / Year / Itm /Text              / Umsks / Umskz / Augdt / Augbl / Zuonr / PK / Wrbtr / Dmbtr / Pswbt /                                             
    PS01 / 100130931 / 2009   / 2   / G/L account /             /             /            /            /20090901/ 50 /-99,77/ -99,77 /-99,77
    *     100130931                                /-99,77/ -99,77 /-99,77
    Edited by: Naej on Jun 20, 2010 8:05 PM

  • Inconsistencies between Balance and Line items

    Hello masters!
    I found some inconsistencies betwen balance and line items. I tried to solve the problem using  FAGLF03 and RFINDEX (when executing SAP retrieved: "New GL is active. GLT0 can not be adjusted") but both did not work.
    We have never gone trough an archiving process.
    Thanx
    Edited by: Naej on Jun 15, 2010 11:00 PM
    Edited by: Naej on Jun 15, 2010 11:01 PM

    Hi,
    This will happen only if you activate line item management after started posting that GL account
    Please execute program RFSEPA01 to set right this.
    Best Regards,
    Madhu

  • S_ALR_87012247 - Customer Balances and Line Items in Local Currency

    Hi All,
    This report S_ALR_87012247 - Customer Balances and Line Items in Local Currency  is not displaying line items for customers in ECC6. Is there any configuration required to get the line items? Please help
    Thanks
    Sridevi

    If you see this report S_ALR_87009950, you will get
    Opening Balance at the start of fiscal year
    Debits and Credit during the reporting period
    and the Cumulative Balance.
    Please note the above report will not give you line item details.
    S_ALR_87012247 report is specifically for poland, in the description it is mentioned that the line items will be displayed, unfortunately, for other countries, there are no line items visible. Therefore, you may explore the possibility of copying this report and changing the code in order to bring the line items along with the totals.

  • G/L Balance and Line items difference

    Dear Mates,
    We have a Inventory-Spare Parts G/L account
    When i see the FS10N g/l balances ,there is a figure appearing as 25,82,887/- in the period February and when i double click on the above said figure to see the line items whose total comes to 30,89,627/- with doc.type: WA.
    Can please tell me ,what could be reason for the difference between Balance appearing on the initial screen and line items total.
    Please treat it very urgent as auditors are sitting on my head.
    Thanks
    Subbu

    Hi,
    First let me know the SAP R/3 version and fiscal year.
    In the mean time, you can also check any changes has been made to your GL account master data related to line item display.
    all the best

  • Difference between cumulative balance and line items total in FS10N

    hi,
    when I am executing FS10n, I observed that the cumulative balance amount is not equal to line items total .  This is due to some amounts in previous years are varying from the line ltem totals in those periods of previous years.
    This is not happening with QA server only Prdn server is facing this problem.  Can anybody provide me a way to solve this..!?
    Regards,
    AJo
    I have checked the master data for the GL and the check box for line item display is selected. It has not been changed for years.
    Edited by: Anil Jonnalagadda on Oct 22, 2008 10:57 AM

    Hi Anil,
    The reason for the differences that you are viewing can be various. As the differences are found in the cummulative balance then it means that the differences might have occurred in previous fiscal years. The first stetp is to find when these differences were originated: You can run report SAPF190 (in se38) for previous fiscal years, and company code in question- This report should show the differences with message "Errors" in the log. If differences are found then you have to creeate a message and send it to SAP for further analysis and corrections.(only SAP experts can do this kind of corrections - component FI-GL-GL-X)
    Also bear in mind that if you did archiving in previous fiscal years then this would not be an error:
    If you already did archiving and secondary index deletion on this accounts with SAPF048I. So this explains why line items balance and GL summary balance differ ! There is no programm error.
    See consulting note 81489 which describes this issue:
    The balance of an account results from the balance of the open items. In
    connection with an archiving that has been carried out, the line item
    display - used with cleared items - must not therefore be interpreted as
    a balance display. For the balance display, there are separate
    correspond to the display balance of the open items from the line item
    display.
    Having archived and deleted secondary indexes ( with SAPF048I )
    for an account you can not use line item drill down as a balance
    display any more for a line item managed account.
    ( as not all line items are existing any more in table BSIS ! )
    The transactions meant to display the binding balances are  FS10N,
    FK10N and FD10N.
    They also give you the line items details, but only of those line
    items not yet deleted ( by SAPF048I ).
    kind regards,
    Oscar Diaz

  • GL Custom Reports not displaying source and line item Data after Upgrade

    Hi,
    I am having this issue even though General Ledger Journal Entry Summarization is set to "No Summarization" and in SLA the Line Type is set in detail for Transfer to GL. Have you come accross a specfic example like this? Can you please guide me to what the problem may be?
    None of the GL reports is showing the Source and Line Item details.
    Thanks,
    Arun

    I am having this issue even though General Ledger Journal Entry Summarization is set to "No Summarization" and in SLA the Line Type is set in detail for Transfer to GL. Have you come accross a specfic example like this? Can you please guide me to what the problem may be?
    None of the GL reports is showing the Source and Line Item details.Have you verified the queries of those reports after the upgrade? And, when you say upgrade, do you mean from 11i to R12?
    Did you set the application context properly?
    How to set the Organization Context in R12? [ID 437119.1]
    Oracle Applications Multiple Organizations Access Control for Custom Code [ID 420787.1]
    SQL Queries and Multi-Org Architecture in Release 12 [ID 462383.1]
    Setting APPS Context is mandatory step while loading data using public APIs [ID 473615.1]
    Thanks,
    Hussein

  • No line item display after clering with F-03

    Dear Experts,
    After clearing with F-03 for rate differences, we had a doc number, but no line item display in that document.
    kindly advice.
    thank you

    Dear Prasada,
    thanks for the answer.
    This is clearing for exchange rate differences.
    usually the journal should be:
    dr     xxxxx- stock in transit     
    dr     xxxxx- stock in transit
    cr     yyyy - profit/loss exch rate variance
    cr     yyyy - profit/loss exch rate variance
    kindly advice
    thanks

  • Different figure display between Balance and Line items

    How can I find out the difference between line item and Balance in FS10n?
    Actually when I Executing the FS10N the balance of DR. balance is greater then that account Dr. Balance line item.
    Can any one tell me why?
    Thanks & Regards,
    Anandakumar

    Its a sundry debtors gl account. All the line item and open item transaction balance are displaying.
    but the amount is not displaying (difference amount).
    Any one has solution pls tell me.
    Thanks in Advance,
    Anandkumar

  • Copying g/l balance and line items details

    What is the best way to copy  account balance and the line item details from one G/L account to another one.
    Thanks

    Hi
    The best way to upload GL open items and GL balance is via FB01.
    Good Luck
    Hari

  • How to calculate open balance Vendor Line Item Display(FBL1N)..?

    hi,
    is there any way to fetch data for open balnce in vendor report display(FI).
    As I have to calculate Credit , Debit and Open balace , also Balance  as on date. in Zreport with reff of FBL1N.
    Vendor item data has been calculated from BSIk table. also  open balance has to be fetched from with reference of Clearing doct and posting doct. i have
    so if any FI technical or non techincal person has gone thru these things, those who have clear picture on these plese let me know.
    Thnks in advance.

    Please note that most vendor line items wont have a PC assigned to them.
    I am not sure if you are refering to classic view or new GL data.
    Anyway you can use the sum button, and sub total for your levels.
    If you want to get the information sub totalled by PC, then I guess you are using the new GL and document splitting.
    If that is the case you cannot use FBL1N for this.
    There is however a set of reports in Accounts Payable, called new Gl reports and they will provide you the general ledger view and not the entry level view, and you can use the sum and sub total option.
    Please award points if this is useful.
    Come back if you need further help.

  • Runtime error in kob5, kob1 and line items display in Cost Analysis in ko03

    Hello everyone,
    I would like to ask for your expert advice on a situation we need to have a solution. Let me tell you what happened.
    In ko88, we tried to settle an internal order to a final asset using 'partial capitalization'. We encountered an error 'Settlement amount is greated than available amount'. I checked in kob5 and we have two line items: 90,000 and 30,000. Both have to be settled to three different final assets namely asset 1, asset 2 and asset 3. The settlement rule was as follows at first:
    Line 1: 90,000 to be settled to asset 1, asset 2 and asset 3 at 65,000; 40,000 and 15,000, respectively.
    Line 2: 30,000 to be settled to asset 1, asset 2 and asset 3 at 65,000; 40,000 and 15,000, respectively.
    Due to the error, we changed the settlement rule following these directions:
    1. Remove the settlement rules that we had so we can start anew.
    2. Choose the first line item and click on "Final Settlement".
    3. Enter the necessary settlement details (total should equal to 90,000 only).
    4. Go back and save.
    5. Choose the second line item and click on "Final Settlement".
    6. Enter the necessary settlement details (total should equal to 30,000).
    7. Go back and save.
    8. Then, check again the distribution rules set.
    Everything was saved and done correctly. So, we tried to do ko88 this time. But, the previous error 'Settlement amount is greated than available amount' still occured.
    I went back to kob5 and when I ran it, a runtime error occured. I went to see the actual line items in kob1, and I encountered the same runtime error. I went to see in ko03>cost analysis>the actual debit line items, and I encountered the same runtime error. Were my actual line items lost? How do I retrieve them?
    Thanks in advance.
    Best regards,
    Peter

    hi,
    check in SAP OSS with the message number you get is there any SAP Notes tobe applied.

  • ECC6 - Line item display and Open item management Questions.

    Hi All,
    For SAP ECC6, although I do not maintain line item display and open item management for Recon GL (for Debtor), I still can use FAGLB03 to view the GL balances and even Drill down to line item level by double click the value from FAGLB03 until line item level.
    Questions:
    Could anyone confirm whether my assumption below, true?
    1) If Line item display (Tcode: FS00) is ON, then the data will be stored at table: BSIS
    2) If NO open item management, then there should be no data to be stored at table BSAS for thaty particular GL account
    3) BSAS will only have data, after clearing was carried out ... move from BSIS to BSAS.
    In ECC 6
    4) FAGLB03 can drill down to line item level, although the GL (Tcode: FS00) was NOT set open item management and line item display is because from FAGLB03 when drill down to line item level, it actually extract data from BSEG, right?
    Additionally, we can use FBL3N to check the line item data for NON line item display GL as well.
    In SAP R/3 4.7, if not mistaken, if the GL is NOT line item display and open item management, we cannot drill down the line item reading and CANNOT use FBL3N to check the line item data.
    Kindly advise on these.
    Thanks.
    sbmel

    1) If Line item display (Tcode: FS00) is ON, then the data will be stored at table: BSIS
    BSIS is an open items table. You can see all GL open items there. GL's which are not open item managed can't go here
    2) If NO open item management, then there should be no data to be stored at table BSAS for thaty particular GL account
    Yes. Your understanding is correct
    3) BSAS will only have data, after clearing was carried out ... move from BSIS to BSAS.
    Yes. In case of partial clearing data will be there in both the tables BSIS & BSAS
    4) FAGLB03 can drill down to line item level, although the GL (Tcode: FS00) was NOT set open item management and line item display is because from FAGLB03 when drill down to line item level, it actually extract data from BSEG, right?
    These are New GL reports and report is based on document split object. if your document split is active at segment level then you can see line item report at segment level using FAGLL03. These reports has no link to FS00 settings.
    Hope this helps

  • Balance of line item different from the figure of open item

    Hi
    User has posted the document by  USD currency(f-02). The balance of line item display in FBL3n it is showing 1985202 while the figure in open item(f-06) it is showing 1990323.60.
    What will be cause of error?
    Regards

    Please check whether the exchange rates are different for the clearing date and the invoice posting date.
    Regards,
    Naveen

  • General Ledger - Open Item Mgt/Line Item Display

    Hello Experts,
    GL Account was created with no tick in open item mgt and line item display.  Business users posted few entries and now realised that the accunt type should be open item manageable and display should be at line item level.  Going through the SDN forums, few experts suggested the workaround  as follows:
    1. Block for posting GL master
    2. Make it zero balance in the account(clear existing trans)
    3. Run program(SE38) RFSEPA01
    4. Check Open Item Check box/Line Item Display
    5. Unblock the GL master
    6. Continue posting as normal.
    However the above solution was recommended for 4.7 or earlier versions and for ECC 6, the recommendation was to open a totally new GL master with correct attributes and block the old GL master. 
    My client is running ECC 6.2 but requires this corrected asap and I wonder if anyone can suggest a better solution than creating a totally new GL master.
    Appreciate quick resolution/advice.
    Thanks
    Mohammed.

    Hi,
    Please refer to Sapnote_0001356457_activate OIM, and it mentions in complete details how to handle OIM activation when documents are posted to it.
    Regards,
    SAPFICO

Maybe you are looking for

  • 13" Macbook + DVI-HDMI + HDTV Problem

    Hello, I recently bought myself a 13" macbook, which I'm now in love with! so here's my question, I have a Mini Dvi to Dvi Adaptor hooked up to my macbook and a DVI to HDMI cable running to my HDTV (32") into the HDMI Input (on the tv.) When I goto p

  • Nikon Coolpix P310 compatible with Aperture 3

    I would like to purchase the Coolpix P310 but I read on line that its raw format is not compatible with Aperture 3.  Is that the very latest news on this or has this camera been added to those which are now compatible ?  If not, is there a way -- tha

  • EventHandler triggering issues from AdobeForm SubmitToSAP button

    Hi Sumit, Please follow this solution: Please switch on logging for the following location to "info": Nw04:  com.sap.tc.webdynpro.clientserver.adobe.AdobeFormHelper Nw04s: com.sap.tc.webdynpro.clientserver.uielib.adobe.impl.AdobeFormHelper How to use

  • Elitebook Folio 9470m - how to create recovery USB in preinstalled Win7?

    Hi, this will be my first post here, so please be gentle I have a new, pretty HP Elitebook Folio 9470m for testing - it came with preinstalled Windows 7 OS. I wanted to check some things, play around with it and as a cautious user I wanted to create

  • How can I turn off auto Bcc to myself on iPhone 4s?

    Every time I send an e-mail or reply to an e-mail using my corporate Exchange account on my iPhone 4s, it automatically sends a Bcc to my same Exchange account.  This does not happen when I send from my PC desktop.  Before you state the obvious, I ha