Mixed Config: VTI and classic ipsec

Is there an issue with running these together on the same router?
I'm just trying to get a migration plan together to move to VTI.

Cisco IPSec VTIs are a new tool that customers can use to configure IPSec-based VPNs between site-to-site devices. IPSec VTI tunnels provide a designated pathway across a shared WAN and encapsulate traffic with new packet headers, which helps to ensure delivery to specific destinations. The network is private because traffic can enter a tunnel only at an endpoint. In addition, IPSec provides true confidentiality (as does encryption) and can carry encrypted traffic.
http://www.cisco.com/en/US/tech/tk583/tk372/technologies_white_paper0900aecd8029d629.shtml

Similar Messages

  • VTI and crypto map

    Hello
    I am wondering if it is possible to have an IPSEC tunnel configuration, in which one side of the tunnel is configured with static VTI and the second with traditional crypto-map.
    If yes how the configuration, on the site with crypto-map should be configured.
    Thank you in advance for an answer.
    Regards
    Lukas

    Lukasz,
    This config is impractical for a few reasons.
    VTI dictates that a "any any" proxy ID set is negotiated. While this works well on virtual interface, where routing can push traffic towards a specific interface, it will cause ALL traffic to be encrypted on crypto maps side and expect all traffic to be encrypted when it's recived (since crypto map is part of OCE along the output path).
    A more practical approach in Cisco world is multi SA DVTI, where a DVTI can terminate almost any kind of initiated tunnel (i.e. we allows DVTI to handle multiple SAs under one virtual interface) it works very well in some cases.
    You can have DVTI on your end and allow customers to use almost anything (ranging from SVTI to crypto maps).
    I'll shoot you also an email in parallel, just a bit stuck on something at the moment.
    M.

  • Config certificate and log issues

    I config certificate and use it to connect ipsec vpn , I just config    
    jinan-neusoft(config)#ip domain-name neusoft.com
    jinan-neusoft(config)#crypto key generate rsa general-keys
    The name for the keys will be: jinan-neusoft.neusoft.com
    Choose the size of the key modulus in the range of 360 to 4096 for your
      General Purpose Keys. Choosing a key modulus greater than 512 may take
      a few minutes.
    How many bits in the modulus [512]:
    % Generating 512 bit RSA keys, keys will be non-exportable...
    [OK] (elapsed time was 0 seconds)
    jinan-neusoft(config)#
    Nov 16 01:05:44.435:  RSA key size needs to be atleast 768 bits for ssh version 2
    jinan-neusoft(config)#
    Nov 16 01:05:44.435: %SSH-5-ENABLED: SSH 1.5 has been enabled
    jinan-neusoft(config)#crypto pki trustpoint CA1
    jinan-neusoft(ca-trustpoint)# enrollment url http://59.44.43.217:80
    jinan-neusoft(ca-trustpoint)# revocation-check crl
    jinan-neusoft(ca-trustpoint)# rsakeypair DMVPN-SY-KEY
    jinan-neusoft(ca-trustpoint)# auto-enrol
    jinan-neusoft(config)#crypto pki authenticate CA1
    Certificate has the following attributes:
           Fingerprint MD5: D5F9D56B 4D9A4260 43F21D39 811D7AD5
          Fingerprint SHA1: 1E49B228 DD57F4DB 43DD2C2F 03870C18 840DA12A
    % Do you accept this certificate? [yes/no]: y
    Trustpoint CA certificate accepted.
    then I have log issues like below ,even I config auto-enroll , I don t get  certificate pending information  from my certificate server ,
    my device is C3925 and ios is c3900-universalk9-mz.SPA.151-4.M4.bin ,how to deal with it ,top players , THX~~~~
    Nov 16 01:07:54.871: %PKI-6-CERTRENEWAUTO: Renewing the router certificate for trustpoint CA1
    Nov 16 01:07:54.951: %CRYPTO-6-AUTOGEN: Generated new 512 bit key pair
    Nov 16 01:07:55.115: CRYPTO_PKI:  Certificate Request Fingerprint MD5: 939AF8C1 854DDA90 8FE03058 5635468F
    Nov 16 01:07:55.115: CRYPTO_PKI:  Certificate Request Fingerprint SHA1: 50F869D2 C0814317 7EB2ECC9 90461F3A 353E7089
    Nov 16 01:07:55.119: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6
    jinan-neusoft(config)#D05F70z 6D06B50z 6D07268z 6D43018z 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    Nov 16 01:07:55.119: %SYS-2-MALLOCFAIL: Memory allocation of 40 bytes failed from 0x6D05DEC, alignment 0
    Pool: Processor  Free: 731143916  Cause: Interrupt level allocation
    Alternate Pool: None  Free: 0  Cause: Interrupt level allocation
    -Process= "<interrupt level>", ipl= 3
    -Traceback= 5564384z 6892328z 68B3064z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D43018z 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z
    Nov 16 01:07:55.119: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    jinan-neusoft(config)#
    Nov 16 01:08:09.719: %PKI-6-CERTRENEWAUTO: Renewing the router certificate for trustpoint CA1
    Nov 16 01:08:09.879: CRYPTO_PKI:  Certificate Request Fingerprint MD5: 939AF8C1 854DDA90 8FE03058 5635468F
    Nov 16 01:08:09.879: CRYPTO_PKI:  Certificate Request Fingerprint SHA1: 50F869D2 C0814317 7EB2ECC9 90461F3A 353E7089
    jinan-neusoft(config)#
    Nov 16 01:08:09.883: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D43018z 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    Nov 16 01:08:09.883: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    jinan-neusoft(config)# Nov 16 01:07:54.871: %PKI-6-CERTRENEWAUTO: Renewing the router certificate for trustpoint CA1
    Nov 16 01:07:54.951: %CRYPTO-6-AUTOGEN: Generated new 512 bit key pair
    Nov 16 01:07:55.115: CRYPTO_PKI:  Certificate Request Fingerprint MD5: 939AF8C1 854DDA90 8FE03058 5635468F
    Nov 16 01:07:55.115: CRYPTO_PKI:  Certificate Request Fingerprint SHA1: 50F869D2 C0814317 7EB2ECC9 90461F3A 353E7089
    Nov 16 01:07:55.119: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6
    jinan-neusoft(config)#D05F70z 6D06B50z 6D07268z 6D43018z 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    Nov 16 01:07:55.119: %SYS-2-MALLOCFAIL: Memory allocation of 40 bytes failed from 0x6D05DEC, alignment 0
    Pool: Processor  Free: 731143916  Cause: Interrupt level allocation
    Alternate Pool: None  Free: 0  Cause: Interrupt level allocation
    -Process= "<interrupt level>", ipl= 3
    -Traceback= 5564384z 6892328z 68B3064z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D43018z 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z
    Nov 16 01:07:55.119: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    jinan-neusoft(config)#
    Nov 16 01:08:09.719: %PKI-6-CERTRENEWAUTO: Renewing the router certificate for trustpoint CA1
    Nov 16 01:08:09.879: CRYPTO_PKI:  Certificate Request Fingerprint MD5: 939AF8C1 854DDA90 8FE03058 5635468F
    Nov 16 01:08:09.879: CRYPTO_PKI:  Certificate Request Fingerprint SHA1: 50F869D2 C0814317 7EB2ECC9 90461F3A 353E7089
    jinan-neusoft(config)#
    Nov 16 01:08:09.883: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D43018z 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    Nov 16 01:08:09.883: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 4127784z
    jinan-neusoft(config)#

    I do not have the answer but have exactly the same issue, looks as if it is a bug of some kind :
    Cisco CISCO3945-CHASSIS (revision 1.0) with C3900-SPE150/K9 with 980992K/67584K bytes of memory.
    Processor board ID FCZ163371P3
    6 FastEthernet interfaces
    3 Gigabit Ethernet interfaces
    1 terminal line
    1 Virtual Private Network (VPN) Module
    DRAM configuration is 72 bits wide with parity enabled.
    255K bytes of non-volatile configuration memory.
    250880K bytes of ATA System CompactFlash 0 (Read/Write)
    System image file is "flash0:c3900-universalk9-mz.SPA.151-4.M4.bin"
    Nov 16 07:37:16.611: CRYPTO_PKI: Signature Certificate Request Fingerprint MD5: 358FF778 7C2E66AE 895BF088 BF022442
    .Nov 16 07:37:16.615: CRYPTO_PKI: Signature Certificate Request Fingerprint SHA1: 5F7A4300 20B62132 83D08C6E 2D315DF4 51EFE94D
    .Nov 16 07:37:16.623: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 412
    7784z
    .Nov 16 07:37:16.623: %SYS-2-MALLOCFAIL: Memory allocation of 72 bytes failed from 0x6D05DEC, alignment 0
    Pool: Processor  Free: 704933204  Cause: Interrupt level allocation
    Alternate Pool: None  Free: 0  Cause: Interrupt level allocation
    -Process= "", ipl= 3
    -Traceback= 5564384z 6892328z 68B3064z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4AC
    B9F4z Nov 16 07:37:16.611: CRYPTO_PKI: Signature Certificate Request Fingerprint MD5: 358FF778 7C2E66AE 895BF088 BF022442
    .Nov 16 07:37:16.615: CRYPTO_PKI: Signature Certificate Request Fingerprint SHA1: 5F7A4300 20B62132 83D08C6E 2D315DF4 51EFE94D
    .Nov 16 07:37:16.623: %SYS-3-INVMEMINT: Invalid memory action (malloc) at interrupt level
    -Traceback= 5564384z 68B3034z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4ACB9F4z 412
    7784z
    .Nov 16 07:37:16.623: %SYS-2-MALLOCFAIL: Memory allocation of 72 bytes failed from 0x6D05DEC, alignment 0
    Pool: Processor  Free: 704933204  Cause: Interrupt level allocation
    Alternate Pool: None  Free: 0  Cause: Interrupt level allocation
    -Process= "", ipl= 3
    -Traceback= 5564384z 6892328z 68B3064z 945A8D0z 6D05DF0z 6D05F70z 6D06B50z 6D07268z 6D4308Cz 6D25044z 6D1988Cz 6D4CCE0z 91F0154z 91F0CC4z 91F0DA4z 4AC
    B9F4z

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    .. comp3
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    .. comp4
    .. comp5
    .. comp6
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    > kit1
    .. comp1
    .. comp2
    .. comp3
    > kit2
    .. comp4
    .. comp5
    .. comp6
    . mat1
    . mat2
    . mat3
    . mat4
    . mat5
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    .. comp1
    .. comp2
    .. comp3
    > mat4
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    I'd like to use new-GL because it's "new" and convenient, hopefully. But I found several problems using new-GL to make financial reports.
    The first problem was that I couldn't make allocation with accounts which cannot be manually input like AA accounts(Building, Machine, etc.), AR/AP or materials. When I operate transaction FAGLGA35, no effect occurs on those accounts.
    And the second problem is that I couldn't find a way to make a report which has accounts list on its first column and profit center list on its first row. It's surely because I'm a newbie in SAP
    I think everybody trying to use new_GL encounter this problem and it's wired because I couldn't find any thread about this.
    And If I decide to use EC-PCA and make allocation on GLPCA, I think I should make some CBO to transfer AR/AP to EC-PCA. Is there any other possible solution?
    I have a lot of things to ask but I'm not even sure what I know and don't.
    Thanks for you guru's great help.

    The following notes will help you in understanding the set up of PCA in New GL with Classic PCA (EC-PCA):  <b>OSS Norte no 826357</b>
    You want to know
    For release SAP ERP, the Profit Center Accounting was integrated into the new G/L accounting. The solution is as follows:
    SAP delivers the 'Profit Center' and the 'Partner Profit Center' as fixed characteristics that are posted on the original FI postings. The data is not updated in another ledger as in the classic Profit Center Accounting.
    As a result of integration of the Profit Center Accounting into the new G/L accounting, new functions such as 'Document Splitting' are available. Using the function 'Document Splitting' (online document split), you can create balance sheets for company codes as well as for other entities such as the profit center. The balance is then set to 0 for each document for the profit center.
    Integrating the G/L accounting and the Profit Center Accounting into the one application also removes the time and effort needed to reconcile G/L accounting and PCA.
    When implementing the new G/L accounting in Release SAP ERP, we recommend that all new customers map the Profit Center within the new G/L accounting by activating the scenario FIN_PCA (profit center update). It is not advisable to activate the classic Profit Center Accounting in parallel and consequently update parallel data volumes.
    Detailed information about setting Profit Center Accounting in the New General Ledger:
    Define the update of the characteristics 'Profit Center' and 'Partner Profit Center' in the ledger by selecting the scenario 'Profit center update' (Customizing: Financial Accounting (New) -> Financial Accounting Basic Settings (New) -> Ledgers -> Ledger -> Assign Scenarios and Customer-Defined Fields to Ledgers).
    If you want to use the document splitting, you can define the field 'Profit center' as a splitting characteristic in the document splitting (Customizing: Financial Accounting (New) -> General Ledger Accounting (New) -> Business Transactions -> Document Splitting -> Define Document Splitting Characteristics for General Ledger Accounting). Set the 'Zero balance' indicator again for the added field 'Profit Center'. You can now create balance sheets on the profit center. You must also activate the Mandatory Field check to ensure that the profit center is set in all postings. If you want to display balance sheet items at profit center level (for example, receivables and payables) but you do not require complete balance sheets, we recommend that you do not set the indicator 'Zero balance' and 'Mandatory Field check'.
    If you already used classic Profit Center Accounting as an SAP R/3 customer but you now want to use Profit Center Accounting in the new general ledger, you can continue to use classic Profit Center Accounting in parallel to the profit center update scenario in the new G/L accounting in the interim. However, we do not recommend you do this on a long-term basis due to the increased data volume and the increased time and effort required.
    However, if the classic Profit Center Accounting continues to play a leading role for you, we recommend that you do not activate the document splitting in the new G/L accounting, and not for other entities such as the segment either. This is because the classic Profit Center Accounting uses certain functions of the classic general ledger that are no longer available with active document splitting (for example, transaction F.5D, Calculate Balance Sheet Adjustment).
    See the following information for details about the differences between the function of PCA in new G/L accounting and in classic PCA and for details about the effects of new G/L accounting on the posting behavior in classic PCA. Even if mapped into new G/L accounting, PCA always occurs within a controlling area. SAP does not support cross-controlling area PCA. The derivation of profit center and partner profit center with the different business processes when you use the new G/L Accounting is identical to the classic Profit Center Accounting. Details about the differences are available in the following.
    1. Set the proposal profit center for additional balance sheet and P&L accounts.
    Release SAP ERP 2004:
               Profit center scenario in the new G/L accounting is active, classic Profit Center Accounting is not active: If you have to set a profit center on balance sheet and P&L accounts, make entries manually, use FI substitution or implement the BADI AC_DOCUMENT. Note that the system calls the BADI AC_DOCUMENT only for postings using the accounting interface (for example, MM and SD postings), but it is not called for FI postings.
               Profit center scenario in new G/L accounting and classic PCA is active: Transactions 3KEH and 3KEI are available in the classic Profit Center Accounting for maintaining a proposal profit center for balance sheet accounts and P&L accounts. Transactions 3KEH and 3KEI also exist in SAP ERP2004 and function in the same way as in R/3: In other words, you can use the settings in transaction 3KEH to control the update in classic Profit Center Accounting, and the transactions set a proposal profit center where necessary. Keep in mind that the profit center information is therefore affected in new G/L accounting by settings in classic Profit Center Accounting.
    Release SAP ERP 2005:
               Transactions 3KEH and 3KEI (from classic Profit Center Accounting) for maintaining proposal profit centers for balance sheet and P&L accounts are no longer used to set the profit center.
               Profit center scenario in the new G/L accounting is active, classic Profit Center Accounting is not active: If you have to set a profit center on balance sheet and P&L accounts, make entries manually, use FI substitution or implement the BADI AC_DOCUMENT. Note that the system calls the BADI AC_DOCUMENT only for postings using the accounting interface (for example, MM and SD postings), but it is not called for FI postings. In addition, the new transaction FAGL3KEH and the BAdI FAGL_3KEH_DEFPRCTR are available for maintaining proposal profit centers. You can use these new functions to determine a proposal profit center depending on the company code and the account. Note that this proposal profit center does not appear on the input screen; it is derived only when you post the document. The proposal profit center is used if the line item does not contain a CO account assignment and if the profit center was not already determined elsewhere.
               Profit center scenario in new G/L accounting and classic Profit Center Accounting are active: The entries of transaction 3KEH control ONLY the transfer of line items to classic Profit Center Accounting. Transaction 3KEI is no longer relevant. To set the profit center, use the options which are available in the new G/L accounting (make entries manually, use FI substitution, or implement the BADI AC_DOCUMENT).
    2. Derivation of the partner profit center
    Release SAP ERP 2004:
               Profit center scenario in the new G/L accounting is active, classic Profit Center Accounting is not active: Transactions 8KER/8KES are no longer available. Notes 997925 and 1087350 provide the functions from transaction OCCL. Alternatively, you can use the BAdI AC_DOCUMENT to set the partner profit center.
               Profit center scenario in new G/L accounting and classic PCA is active: Transactions 8KER/8KES and OCCL (reading purchase order/sales order for affiliated companies) are active.  However, we recommend that you no longer use transaction 8KER or 8KES. Partner profit centers derived using these transactions are available in both classic Profit Center Accounting and in New General Ledger Accounting only if the line is relevant in classic Profit Center Accounting.
    Release SAP ERP 2005:
               Profit center scenario in the new G/L accounting is active, classic Profit Center Accounting is not active: Transactions 8KER/8KES are no longer available. Notes 997925 and 1087350 provide the functions from transaction OCCL. Alternatively, you can use the BAdI AC_DOCUMENT or the new BAdI FAGL_DEFPPRCTR (enhancement spot FAGL_LEDGER_CUST_DEFPRCTR) with the method SET_DEFAULT_PART_PRCTR to set the partner profit center.
               Profit center scenario in new G/L accounting and classic PCA is active: Transactions 8KER/8KES and OCCL are active. However, we recommend that you no longer use transaction 8KER or 8KES because partner profit centers derived using these transactions are available in both classic Profit Center Accounting and in New General Ledger Accounting only if the line is relevant in classic Profit Center Accounting. Instead, if required, you should use the BAdI FAGL_DEFPPRCTR to set the partner profit center. A partner profit center determined in this way is always updated both in new G/L accounting and in classic Profit Center Accounting.
    3. Displaying receivables and payables for each profit center
    Document splitting is active
               The detailed information from the general ledger view about receivables and payables split online from the document splitting is NOT available for classic Profit Center Accounting. In this case, you CANNOT split receivables/payables nor follow-up costs subsequently (Transaction F.5D - report SAPF180A, Transaction F.50 - report SAPF181, Transaction F.05 - report SAPF100). This means that you CANNOT use transaction 1KEK to transfer receivables and payables to classic Profit Center Accounting. Follow-up costs split according to source can be transferred online to the classic Profit Center Accounting because these are already available in the data entry view.
               Read the documentation of the document splitting carefully. Analyze in which cases you have to set default account assignments because the document splitting is sometimes prevented by default account assignments.
    Document splitting is not active
               In this case, you CANNOT display the receivables and payables according to source at profit center level within the new G/L accounting. However, you can use the old split of the receivables and payables within the classic Profit Center Accounting (transaction F.5D) as well as of the follow-up costs (transaction F.50), and you can use the periodic transfer of receivables and payables using transaction 1KEK. However, you can execute the new report for the foreign currency valuation of the open items (report FAGL_FC_VALUATION) with depreciation areas only, which means that the documents are no longer updated (valuation difference not updated in BSEG-BDIFF). As a result, transaction 1KEK copies only the original receivables/payables, independently of transaction 2KEM 'Account Valuation Differences'; in other words, the original data is not corrected by the valuation differences.
               You can use the standard report groups 8A98 and 8A99 to display the open receivables and payables in classic Profit Center Accounting.
    4. Periodic transfers of asset portfolios to classic Profit Center Accounting
                  As of Release 4. 7, it is possible to map a parallel reporting mapped in FI (for example, parallel accounts) for parallel depreciation areas in Asset Accounting by using particular settings (defining an accounting principle). You must stop the execution of transaction 1KEI because it would result in duplicated data in PCA because of postings to the same accounts. You must also stop transaction 1KEI with a 'different company code' or a 'different depreciation area in the different company code' because the data cannot be transferred correctly. Transaction 1KEI terminates with the error message KM 764. As of Release SAP ERP, if the new general ledger accounting is active, the system issues the message FAGL_LEDGER_CUST 076.
    5. Dummy profit center on P&L accounts
                  You use transactions 3KEH and 3KEI to firstly try to determine a proposal profit center in classic Profit Center Accounting for document line items with a P&L account (no cost element) and without a profit center account assignment. If the system does not find a proposal profit center, the dummy profit center is set for some activities (primarily from Logistics). If the new G/L accounting is active AND if at least one of the two characteristics 'Profit Center' and 'Segment' is used in the document splitting, the routine for setting the dummy profit center will no longer run (see Note 820121 and 832776). Otherwise the document splitting would not split a document, or not split it correctly.  The system must then find the profit center that is valid for the process using the document splitting or another derivation. If this is not the case, the document line item will not be updated in the classic Profit Center (document line items with Profit Center initial are not allowed in the classic Profit Center Accounting).
    6. PCA additional rows
                  If you map Profit Center Accounting in new General Ledger Accounting in SAP ERP, you can use consulting note 937872 to update PCA additional lines recognized from classic Profit Center Accounting in new General Ledger Accounting.
                  If you use the transfer price functions, you do not require Note 937872 because the structure of the PCA additional lines are technically "true" and are automatically posted in new General Ledger Accounting when maintained in transaction 0KEK.
    7. Substitution of profit centers in sales orders
                  Transactions 0KEL and 0KEM are available both in the classic Profit Center Accounting and in the new G/L accounting (Customizing: Financial Accounting (New) -> General Ledger Accounting (New) -> Tools -> Validation/Substitution)
    8. Reporting
    Line item reporting within the new G/L accounting
               Release SAP ERP 2004: Even if document splitting is set with the characteristic Profit Center, only one restricted line item reporting to profit centers is available in this release at present. When you use the G/L account line item list of FI, you can limit profit centers for line item settlement G/L accounts that are not relevant for the document splitting. As of Support Package 10, line item reporting to profit centers and segments is available.
               Release SAP ERP 2005: Line item reporting according to profit centers and segments is available.
    Ledger reporting within the new G/L accounting
               Release SAP ERP 2004: Even if the document splitting is set with the characteristic profit center or segment, no current account reporting to profit centers and segments is available up to Support Package 10.  With Support Package 10, current account reporting according to profit centers and segments is available. Also see the detailed explanations for Release SAP ERP 2005.
               Release SAP ERP 2005: Current account reporting according to profit centers and segments is available. It replaces the standard report groups 8A98/8A99 in earlier releases. However, the difference is that the foreign currency valuation correction is no longer displayed for each item because no update of the valuation in items occurs through the foreign currency valuation in the new general ledger (no BDIFF/BDIFF2 update). It is a key date-related valuation (mostly for the period end).
    9. Transfer prices
                  The transfer price functions (multiple valuations) are available for new General Ledger Accounting as of SAP ERP 2005. For SAP ERP 2004, see the release restrictions in Note 741821. In SAP ERP 2004, you can use the transfer price functions or multiple valuation functions only if you have activated the classic General Ledger and classic Profit Center Accounting.
    10. Creating the profit center standard hierarchy
    Release SAP ERP 2004: You must create the highest node of the standard hierarchy in the Customizing of the classic Profit Center Accounting (transaction 0KE5), even if you are not using classic Profit Center Accounting.
    Release SAP ERP 2005: To create the highest node of the standard hierarchy, use transaction SM30 with the maintenance view V_FAGL_PC_STHR.
    11. Creating the dummy profit center
    Classic Profit Center Accounting is active (regardless of whether classic G/L accounting or new G/L accounting is active):
               If the classic Profit Center Accounting is active, you must create a dummy profit center to avoid postings with an initial profit center in the database tables of the classic PCA.
               If the new G/L accounting is also active AND if you are using at least one of the two characteristics 'Profit Center' and 'Segment' in the document splitting, you have to ensure in Release SAP ERP 2004 that Notes 820121 and 832776 are included.  In Release SAP ERP 2005, the changed posting logic is included from the beginning.  Note that the update of document line items in classic Profit Center Accounting is omitted because of this.
    Classic Profit Center Accounting is not active, New G/L Accounting is active and you are using at least one of the two characteristics 'Profit Center' and 'Segment' in the document splitting:
               You do not have to create and use a dummy profit center.  Using the dummy profit center can cause situations you want to avoid: For example, the system splits receivables/payables to the dummy profit center because of the document splitting (you cannot transfer them manually), or a document line item with dummy profit center account assignment is not split by the document splitting.  To ensure that a profit center is assigned in all rows, set the profit center as mandatory field in the Customizing of the document splitting.  However, note that this can also lead to terminations while posting, if a profit center assignment is missing.
    12. Compare G/L Accounts in FI with Profit Center Accounting (Transaction KE5T)
                  In classic Profit Center Accounting, transaction KE5T is used to compare account balances. In this transaction, the ledgers to be compare are fixed. If you use Profit Center Accounting in new General Ledger Accounting, use the general transaction GCAC. You can enter any base ledger and any comparison ledger.

  • What is interactive report , difference bet interactive and classic report

    what is interactive report , difference bet interactive and classic report

    Hi
    Check this thread to get more idea about ALVs.
    Interactive ALV
    DIRLL DOWN AND INTERACTIVE REPORT
    http://www.sap-img.com/abap/difference-between-drilldown-report-and-interactive-report.htm
    As the name suggests, the user can Interact with the report. We can have a drill down into the report data. For example, Column one of the report displays the material numbers, and the user feels that he needs some more specific data about the vendor for that material, he can HIDE that data under those material numbers.
    And when the user clicks the material number, another report (actually sub report/secondary list) which displays the vendor details will be displayed.
    We can have a basic list (number starts from 0) and 20 secondary lists (1 to 21).
    Events associated with Interactive Reports are:
    AT LINE-SELECTION
    AT USER-COMMAND
    AT PF<key>
    TOP-OF-PAGE DURING LINE-SELECTION.
    HIDE statement holds the data to be displayed in the secondary list.
    sy-lisel : contains data of the selected line.
    sy-lsind : contains the level of report (from 0 to 21)
    Interactive Report Events:
    AT LINE-SELECTION : This Event triggers when we double click a line on the list, when the event is triggered a new sublist is going to be generated. Under this event what ever the statements that are been return will be displayed on newly generated sublist.
    AT PFn: For predefined function keys...
    AT USER-COMMAND : It provides user functions keys.
    TOP-OF-PAGE DURING LINE-SELECTION :top of page event for secondary list.
    http://abapprogramming.blogspot.com/search/label/INTERACTIVE%20REPORT%20BASICS

  • Central Contract, MDM Catalog, and classic scenario

    Dear SAP experts,
    We are in SRM 7.01 with backend ECC 6.05 deploying classic scenario. We are using Central Contract Management in which we negotiate contract in SRM and later distribute it to ECC. We also plan to use SRM-MDM Catalog.
    We notice that if we are using classic scenaro, the contract that is used as reference is the contract number in ECC (the one distributed from SRM). So at first we assume that if we want to push the contract data to MDM, we should have pushed the ECC Contract number. However we find out that actually SAP block the ECC Contract coming as distribution from SRM to go to MDM.
    Our second option is to use distribution of contract from SRM to catalog. It does using SRM contract number. We create SC and then we pull the catalog item from the catalog (which contain SRM contract number) and then we order. However we end up with 'error in process' in which the system try to create a PR instead in the ECC (meaning that the contract number cannot be read).
    We're puzzled with this. How can we use the combination of central contract, MDM catalog and classic scenario? Can we use the combination?
    Best regards,
    John

    Maria
    If you want the contracts to be in SRM and do not want them to send to Backend, then check this out.
    Create a Vendor list for those items in SRM by assigning the local contracts to the vendors.Activate Vendor list for sourcing.
    Then local contract data should pick as SOS from the vendor list.
    If you can create contracts in Backend for stock material then SC would pick the backend contract as SOS in classic scenario.
    Let me know if the above works or not.
    PS : Reward points if helpful.
    Regards
    Jagadish

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