Month&yearend activities

hi
i would like to know about monthend and yearend reports (fi,co,mm,sd) pls help me
krishna

hi
1. Maintain Financial Statement Versions
IMG -> Financial Accounting -> General Ledger Accounting -> Business Transactions -> Closing -> Documenting -> Define Financial Statement Versions - OB58
2. Execute a Balance Sheet (RFBILA00) 
Information Systems -> Accounting -> Financial Accounting -> General ledger -> Information System-> Balance Sheet
or
Accounting -> Financial accounting -> General ledger -> Information system -> General LedgerReports -> Balance Sheet/Profit and Loss Statement/Cash Flow -> General -> Actual/Actual Comparisons -> Balance Sheet/P+L - F.01
3. Execute a Balance Sheet Drill Down Report 
Accounting -> Financial accounting -> General ledger -> Information system -> General LedgerReports -> Balance Sheet/Profit and Loss Statement/Cash Flow -> General - Various
4. Execute a Cost-of-Sales Profit and Loss Report 
Accounting -> Financial accounting -> Special Purpose Ledger -> Tools -> Report Painter -> Report -> Display -> Library 0F1, Report 0F-GUV1 -> Display -> Execute - GRR3
and furhtur reports
http://www.sap-img.com/financial/profit-and-loss-closing-tcodes.htm
nagesh

Similar Messages

  • What are the year end and month end activities carried in FI?

    Hi all,
    I am new to FI, what is the steps or the activites/process to be carried out during the month end as well as the year end activities for FI.
    Can anyone explain me about it and does sap provide any standard documentation on year end / month end activities.
    Thanks
    Pooja

    Hi Pooja,
    Please find the details below
    Month end closing Activities
    1. All the expenses including amortization, prepaid expenses, Preliminary expenses and accruals have been booked.
    2. Complete Bank Reconciliation (T. Code: FF67)
    3. Make sure that Sum of Inter Company balances is Zero
    4. Suspense Accounts should be cleared regularly.
    5. Ensure that all documents related to MM & SD have been entered in system. (T.Code:F-22 & F-43) 6. Ensure that all billing documents are released to accounting.
    7. Calculate Overheads on all process Orders (CO43)
    8. Technically complete all process orders which are fully processed (CORM).
    9. Calculate Variance (KKS1)à (Relevant only if Standard cost is calculated).
    10. Settle all process orders which are technically complete (CO88).
    11. Close All settled Process Orders
    12. Close MM period (Transaction Code: MMPV).
    13. Carry out GR/IR clearing (F.13) transaction
    14. Depreciation Run (AFAB) has been carried out for the month
    15. Close FI Posting period after the month end closing activity is over (T.Code:OB52) Year end
    Closing Activities:
    1. Calculate production work in progress on process orders which are not technically complete. (CO88).
    2. Carry out Assessment cycle for Cost Centers (T. Code: KSUB)
    3. All month end closing Activities should be carried out.
    4. Carry Forward Balances to next year With TC: F.16 we can carry forward the balance to next year. With TC: OBH2 copy the number ranges to next year Open next year periods by selecting the Posting Period Variant. then test by posting the transaction in F-02)
    SAP FI Month End and Year End Activities
    1 - Maintain Activity prices - KP26
    2 - Release of Standard Cost Estimate - CK40N
    3 - MM period close and open - MMPV
    4 - FI period open
    5 - Parked documents to be posted - FBV0, MIRO
    6 - Reposting of Inter Office CC - KB61
    7 - Bank Reconciliation
    8 - Update Section Code where missing - J1INPP
    9 - Maintain GRIR clearing - F.13
    10 - Provision for current month - FB50
    11 - Depreciation entry - FB50
    12 - Exchange rate - To be Updated
    13 - Revaluation of foreign currency open items - F.05
    14 - Recognition of Inventory at Bonded warehouse - FB50
    15 - Maintain Statistical Key Figures - KB31N/KP46
    16 - Variance Calculation of Process Orders - KKS1
    17 - Settlement of variances - CO88
    18 - Assessment cycles - Aux/WH CC to Main CC - KSU5
    19 - Assessment cycles - Functional CC to SBU CC - KSU5
    20 - Assessment cycles - SBU CC to COPA - KEU5
    21 - Profit Center Reposting - 9KE0
    22 - Balance Sheet Adjustment calculation - F.5D
    23 - Transfer Profit Center to AR & AP - 1KEK
    24 - Transfer Inventory to PCA - 1KEH
    25 - Assessment Cycle - Dummy PC to SBU PC - 3KE5
    26 - Check for u201CDelivery made, not Invoicedu201D - VF03
    27 - Match GL and PCA - KE5T
    28 - Match PCA and PA
    29 - Top Down Distribution in COPA - KE28
    30 - Reclassification of GL balances
    31 - Balance Carry forward (Year End Only) - F.16
    32 - PCA Balance Carry forward (Year End Only) - 2KES
    33 - Transfer to FI - 1KE8
    Regards,
    JA

  • Yearend activities related MM

    Hi Experts,
    Please can any one give me list of yearend activities related MM.
    Thanks in advance,
    Keshaw

    Hi ,
    As a year end activity maintainance of GR/IR clearing a/c is usualy taken care by FI consultant.
    From MM point of view note down the followings
    1)check for open POs which are pending for GR(which are supposed to be posted in current year)
    2)check for open Physical inventory docs
    3)Check for Subcontracting challans pending
    4)make sure all goods movements are completed in current year.
    5)For excise number ranges-there is a list objects for which you need to maintain the number ranges
    Also Run T Code MI22
    Hope Help U !
    Regards,
    Pardeep Malik

  • What r the month end activites for a consultant which enduser cannot do?

    Hi  all
    what r the month end activites for a consultant which enduser cannot do?
    thanks to all plz respond me

    Hi,
       NIL
    All activities should be assigned to an enduser based on the organisation of the company.
    regards

  • Month end and Year end Activities

    Hi All,
    What are the month end and year end activities are involved and how will they happen????
    regards
    vasantha

    Hi Vasantha,
    Month-End Closing
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/96/8b3c2d43ce11d189ee0000e81ddfac/frameset.htm
    Year-End Closing
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/96/8b3c2d43ce11d189ee0000e81ddfac/frameset.htm
    Some of the Month-End Activities
    - Open and Close Posting Periods
    - GR/IR Clearing
    - Adjustments in G/L, AR and AP accounts
    - Foreign Currency valuation for Exchange rate fluctuations
    - Transfer Postings to Reconciliation accounts from CO module
    Some of the Year-End Activities
    - Balance sheet adjustments
    - GR/IR Clearing
    - Adjustments to special Posting periods at year end
    - Balance Confirmations for AR and AP accounts
    - Run Balance Carryforward program for G/L, AR, AP accounts at year end or first day of next year
    - Generate Financial statement for the current year
    Best Regards,
    Mohan.
    Edited by: krishna on Dec 18, 2008 12:01 PM

  • Excise Month End & Year End activities

    Dear All,
    Just wanted to know what are the steps we need to carry out when doing month end activities.
    I found out that J1I5 is not necessarily required to carry out. If we do J2I5 & J2I6, its enough for utilization. Is that what we need to follow ?
    Please tell me the steps to be carry out during month end closing ?
    Regds,
    CB

    HI,
    utilization is important  for excise
    J2IUN
    make sure you post part2 for part1 document
    excise register updation  RG1
    check following link also
    [http://forums.sdn.sap.com/thread.jspa?threadID=852676]
        J2IUN - Monthly utilization 
        J2I5 - Extract 
        J2I6 - Print Utility 
        J2I9 - New Monthly Returns Report
        J2I8 - Avail.of subs credit for Cap Goods
        J2IU - Fortnightly Utilization 
        J2IC - Service tax returns 
        J2IB - Service tax challan 
        J2IER1 - Monthly er1 report 
        J2I7 - CIN: SAPScript reporting customizin
        J2IF - Display document flow 
        J2IRAP1 - Print RG23A Part1 
        J2IRG1 - Register RG1
        J2IRAP2 - Print RG23A Part2 
        J2IRPLA - Register PLA 
        J2IN - New RT-12 Report 
        J2IRCP1 - Register RG23C part1 
        J2IR23D - Register RG23D 
        J2IRCP2 - Register RG23C Part2 
    complete subcontracting challne if any pending in current month
    Regards
    Kailas  Ugale
    Edited by: kailasugale on Feb 29, 2012 5:20 PM
    Edited by: kailasugale on Feb 29, 2012 5:27 PM

  • Would like to know how to close mid month in situations like mergers

    I would like to if it is possible to define a separate period for a mid month close like in case of merger & acquisitions. We wanted to explore the option of addition period for specific date in the month and follow the close process and open a different period for the remaining days of the period. What would people do in case acquisition or merger closed during mid month instead of regular month end
    What would be process everyone follows for close of books incase of acquisition.
    I appreciate your replies

    Hi
    I hope there is no option of defining a new period in your calendar for this type of activies, as a workaround you can proceed with mid month end activities as usual and you run your report to get the data, once the reconciliation is over you can enter the data for the rest of month and then you can close the period as normal.
    Regards,
    Madhav G

  • Month End Activity

    Hi All,
    What are the month end activities in FICO ?
    Thanx
    Andy

    Hi,
    . All the expenses including amortization, prepaid expenses, Preliminary expenses and accruals have been booked.
    2. Complete Bank Reconciliation (T.Code: FF67)
    3. Make sure that Sum of Inter company balances is Zero
    4. Suspense Accounts should be cleared regularly.
    5. Ensure that all documents related to MM & SD have been entered in system. (T.Code:F-22 & F-43)
    6. Ensure that all billing documents are released to accounting.
    7. Calculate Overheads on all process Orders (CO43)
    8. Technically complete all process orders which are fully processed (CORM).
    9. Calculate Variance (KKS1)à (Relevant only if Standard cost is calculated).
    10. Settle all process orders which are technically complete (CO88).
    11. Close All settled Process Orders
    12. Close MM period (Transaction Code: MMPV).
    13. Carry out GR/IR clearing (F.13) transaction
    14. Depreciation Run (AFAB) has been carried out for the month
    15. Close FI Posting period after the month end closing activity is over (T.Code:OB52)
    Year end closing Activities:
    1. Calculate production work in progress on process orders which are not technically complete. (CO88).
    2. Carry out Assessment cycle for Cost Centers.(T.Code: KSUB)
    3. All month end closing Activities should be carried out.
    4. Carry Forward Balances to next year
    With TC: F.16 we can carry forward the balance to next year.
    With TC: OBH2 copy the number ranges to next year
    Open next year periods by selecting the Posting Period Variant.
    then test by posting the transaction in F-02)
    SAP FI Month End and Year End Activities
    1 - Maintain Activity prices - KP26
    2 - Release of Standard Cost Estimate - CK40N
    3 - MM period close and open - MMPV
    4 - FI period open
    5 - Parked documents to be posted - FBV0, MIRO
    6 - Reposting of Inter Office CC - KB61
    7 - Bank Reconciliation
    8 - Update Section Code where missing - J1INPP
    9 - Maintain GRIR clearing - F.13
    10 - Provision for current month - FB50
    11 - Depreciation entry - FB50
    12 - Exchange rate - To be Updated
    13 - Revaluation of foreign currency open items - F.05
    14 - Recognition of Inventory at Bonded warehouse - FB50
    15 - Maintain Statistical Key Figures - KB31N/KP46
    16 - Variance Calculation of Process Orders - KKS1
    17 - Settlement of variances - CO88
    18 - Assessment cycles - Aux/WH CC to Main CC - KSU5
    19 - Assessment cycles - Functional CC to SBU CC - KSU5
    20 - Assessment cycles - SBU CC to COPA - KEU5
    21 - Profit Center Reposting - 9KE0
    22 - Balance Sheet Adjustment calculation - F.5D
    23 - Transfer Profit Center to AR & AP - 1KEK
    24 - Transfer Inventory to PCA - 1KEH
    25 - Assessment Cycle - Dummy PC to SBU PC - 3KE5
    26 - Check for u201CDelivery made, not Invoicedu201D  - VF03
    27 - Match GL and PCA - KE5T
    28 - Match PCA and PA
    29 - Top Down Distribution in COPA - KE28
    30 - Reclassification of GL balances
    31 - Balance Carry forward (Year End Only) - F.16
    32 - PCA Balance Carry forward  (Year End Only) - 2KES
    33 - Transfer to FI - 1KE8
    Thanks
    Prasada

  • CO Production Order month end closing and settlement question

    We are a utility without PP module.  We use CO Production Order to accumulate costs of assembling components (parts and labor) into a material number that we receipt into inventory.  We have questions about month end closing process and the settlement of these CO Production Orders when receipts are not complete or labor is not completely entered at month end.
    Basically we need to know how other non-manufacturing companies handle the settlement process.

    Hi,
    The Month end Activities are as follows
    Clearing the open items of vendor, customer
    Clearing the suspense account regularly
    All the Expenses Including the prepaid expenses have to be booked..
    Intercompany Balances Should be Zero
    Depreciation Run.
    Recuring Entries.
    Park documents to be posted(FBVO)
    Accural and referal in any differneces.
    GR/IR  Clearing Transaction  (Tcode-F.13)
    Bank Reconciliation(Comparing the Company Books and Bank Statements)
    Exchange rate to be updated
    Revaluation of foreign currencyopen items(F.05)
    Order Settlements.
    Distribution Cycle
    Assesment Cycle(KSU5)
    Transfer the Inventory to Profit center(1KEH)
    Match GL and PCA(KE5T)
    MM period Close and Open (Tcode MMVP)
    FI Period Open(Tcode OB52).
    CO period Closing
    Year End Process
    All the Month end Activities should be Carried Out.
    Balance Carried Forwarded to next year(F.16)
    PCA Balance Carried Forward(2KES).
    Carry forward the Vendor,Customer  and Asset Balances
    (Unless Dep is posted for all the months the assets can not be Closed)
    Copy the No Ranges to new year
    Open the Next  year period(OB52)
    I Hope this is Helpful,
    Assign the Points.
    Regards,
    Padma

  • Month end closing and Year end closing

    Hi,
    Does anyone have a list of t-codes to be run for month end and year end closing. I want to know what all steps are done for month/year closing.
    We are only using FI,CO and MM and no other SAP modules.
    Thanks,
    Shruti

    Hi,
    The Month end Activities are as follows
    Clearing the open items of vendor, customer
    Clearing the suspense account regularly
    All the Expenses Including the prepaid expenses have to be booked..
    Intercompany Balances Should be Zero
    Depreciation Run.
    Recuring Entries.
    Park documents to be posted(FBVO)
    Accural and referal in any differneces.
    GR/IR  Clearing Transaction  (Tcode-F.13)
    Bank Reconciliation(Comparing the Company Books and Bank Statements)
    Exchange rate to be updated
    Revaluation of foreign currencyopen items(F.05)
    Order Settlements.
    Distribution Cycle
    Assesment Cycle(KSU5)
    Transfer the Inventory to Profit center(1KEH)
    Match GL and PCA(KE5T)
    MM period Close and Open (Tcode MMVP)
    FI Period Open(Tcode OB52).
    CO period Closing
    Year End Process
    All the Month end Activities should be Carried Out.
    Balance Carried Forwarded to next year(F.16)
    PCA Balance Carried Forward(2KES).
    Carry forward the Vendor,Customer  and Asset Balances
    (Unless Dep is posted for all the months the assets can not be Closed)
    Copy the No Ranges to new year
    Open the Next  year period(OB52)
    I Hope this is Helpful,
    Assign the Points.
    Regards,
    Padma

  • Month End Closing Procedures in Rep Mfg for PP

    Hi..All
    wat are all the steps involved in month end closing procedure in Rep. Mfg for PP module....??
    plz guide me in this regard.
    with regard,
    LN

    Hi,
    From PP side nothing is required.
    The month end activities are the responsibility of CO people.
    Unlike Production Orders, no need of closing of Pl. orders or some thing like that..
    All the month end activities are related to the PCC.
    Hope this clarifies..
    Regards,
    Siva

  • Supporting activities

    hi
      would u plz send about supporting daily activities,monthend activities&yearend activities (fico supporting).
    how many members will be there .what is help desk,schedule manager & solution manager.what is his role.what is his work.what is ticket flow.
    thanks &regards
    nagesh

    *SAP BO reports on SAP BI:*
    As we are creating OLAP cubes/Infocubes in SAP BI, same way BO has Universe.
    Universe is based on direct Infocube/ Multiprovider/DSO(ods) and BEx query.
    Universe Designer:
    Only thing is one has to establish connection to access SAP BI system. To do this job, while choosing datasource, you have to select SAP Business Intelligence 3.x -- Client. And next screens it will prompt for User logon credentials to access SAP BI system. Once, connection is tested OK. Click next and it will list out all the OLAP Cubes available in SAP BI system and select the relavant one and click on next - next -- Finish.
    Now you have created Universe on top of SAP BI system. Then Export the Universe to Server.
    Open Infoview to start Web Intelligence report(s) and choose the Universe from the list of universes then it will take you to WebI Query panel , in that drag the Objects(Dimension/Detail/Measure) to result objects pane to see them in BO Report and to filter data use Query filters pane or do it in Report level.
    Once you are in WebI report level , you will get lots of options to see your reports in different styles.
    For better customizations: Use BEx queries based on Infocube. (In BEx query properties, one has to Check Allow OLAP access enabled)
    BODI -->> BODS
    After SAP aquiring BO and the latest version released with BODS(Data Services), It's basically ETL process, do the job same as what we exactly do to create Infocube. (Extraction of data , transformations and loading) and with additional transformations introduced.
    Thank You!!

  • Daily, weekly and monthly acitivities in Oracle EBS 11i

    Hi All,
    I need to know the daily, weekly and monthly maintainance activities for Oracle EBS 11i .
    tq

    user_exit wrote:
    Hi All,
    I need to know the daily, weekly and monthly maintainance activities for Oracle EBS 11i .
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  • Month end and year end closings

    hello guys,
                  Can anyone explain me about the series of steps that we have to do for month-end and year-end closings (FICO).
    Thanks in advance..

    Hi,
    Below are the month end activities
    1. Recurring Documents.
    a) Create Recurring documents
    b) Create Batch Input for Posting Recurring Documents
    c) Run the Batch Input Session
    2. Posting Accruals or Provisions entries at month end
    3. Managing the GR/IR Account-Run the GR/Ir Automatic Clearing
    4. Foreign Currency Open Item Revaluation-Revalue Open Items in AR.AP
    5. Maintain Exchange Rates
    6. Run Balance Sheets –Run Financial Statement Version
    7. Reclassify Payables and Receivables if necessary
    8. Run the Depreciation Calculation
    9. Fiscal Year Change of Asset Accounting if it is year end
    10. Run the Bank Reconciliation
    11. Open Next Accounting Period
    Assign points if useful
    regards
    genie

  • FICO month-end?

    Hi,
    if i only use FICO module; do i need to run month-end?
    regards.

    Hi,
    some of teh month end activities
    1) All the expenses including amortization, prepaid expenses, Preliminary expenses and accruals have been booked.
    2) Complete Bank Reconciliation
    3) Make sure that Sum of Inter company balances is Zero
    4) Suspense Accounts should be cleared regularly.
    5) Ensure that all documents related to MM & SD have been entered in system.
    6) Ensure that all billing documents are released to accounting.
    7) Calculate Overheads on all process Orders (CO43)
    8) Technically complete all process orders which are fully processed (CORM).
    9) Calculate Variance (KKS1)à (Relevant only if Standard cost is calculated).
    10) Settle all process orders which are technically complete (CO88).
    11) Close All settled Process Orders
    12) Close MM period (Transaction Code: MMPV).
    13) Carry out GR/IR clearing (F.13) transaction
    14) Depreciation Run (AFAB) has been carried out for the month
    15) Close FI Posting period after the month end closing activity is over.
    chandra

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