Open Item Management and Taxation Configuration Material Needed

For an interview, needed is some help;
- Open Item Management - Definition and how it is managed.
- Taxation Configuration - Configuration Documentation
- FI - HR integration - Documentation.
Any help would be of great help.
Points awardable.

Hi,
When a GL is created it can be a normal GL account or an open item managed GL Account. In case of an open item managed GL Account the debites and credits are knocked off and the net balance in the account indicates the amount amout due or amount receivable etc.
Some of the examples of GL Accounts are GR/IR clearing account, Bank clearing account, accrual accounts, Prepaid AAccounts, Loan account etc.
By default Customer and Vendor Accounts are open item managed accounts.
In SDN you can search for the documentation of Tax configuration. There are several threads on this topic.
Thanks
Murali.

Similar Messages

  • Reset & reverse document with open item managed and none open item managed

    Dear forum,
    I would like to confirm the below.
    If i have a posted document where the double entry has open item managed account and none open item managed account and where the open item managed account is cleared, how can i reverse this document.
    The problem now is FBRA cannot reset and reverse (as the document partly has none open item managed account) and FB08 also cannot reverse (as part of the account is open item managed account and it is cleared).
    Besides manually reverse via FB01, any other method?
    Thanks
    Moderator: Please, avoid asking basic questions

    Which document are you trying to clear using FBRA?  You should reset the "clearing document" using FBRA; not the original document that has one open item and one non-open item.  Once you reset the clearing document using FBRA, you should then be able to reverse the original document (the one that has one open item and one non-open item) using FB08.

  • Open Item Management and parallel accounting

    We are using parallel accounting, there are two ledgers setup.
    With this setup, posing to leading ledger will automatically post an entries to non-leading ledger.
    Our user have this requirement, that for adjustment purpose, they just want to post to one ledger (by specifying the leadger group).
    but we encounter a problem, when GL account setup with 'Open Item Management' , FBB1 dont allow to post it directly when we enter the ledger group.
    Can the expert advise, it is with parallel accounting, account with 'Open Item Management'  have to post to all ledgers.
    Thank you.

    Hi,
    Pls put this query in FI forurms and get reply immly.
    Anil

  • Open Item Management and parallel accounting issue

    We are using parallel accounting, there are two ledgers setup.
    With this setup, posing to leading ledger will automatically post an entries to non-leading ledger.
    Our user have this requirement, that for adjustment purpose, they just want to post to one ledger (by specifying the leadger group).
    but we encounter a problem, when GL account setup with 'Open Item Management' , FBB1 dont allow to post it directly when we enter the ledger group.
    Can the expert advise, it is with parallel accounting, account with 'Open Item Management' have to post to all ledgers.
    Thank you.

    Yes, this is a precondition , if a particular posting needs to be made to non -leading leadger , then accounts should be managed as not open items .
    In case if the accounts is managed as open items then posting happens to all the ledgers.
    Thanks
    Regards,
    Manish Garg

  • 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

  • Open item management- prob

    Frnds
    By some of the configuration mistake, we are not managing the Check Out A/C (Bank Clearing A/c) on an open item management.
    But now we need to keep it on opem item management, but there are already some opem items, which was created at the time of vendor payments.
    1. as i know that we can chagne it to the open item management, but we have to clear those open items.
    2. as someone suggested to open another GL acct and post all the opem item to tht A/c, but we do nto want to change the GL A/C no because we have done account determination in Automatinc payment program and Bank statement Reconciliation.
    please suggest the right way to do it
    THanks

    Sure
    actually i noticed it later, i am sorry for tht

  • Activate "Open Item Management" for an Asset, line items posted previously

    Dear Experts,
    In Asset there are line items already posted but it is not "Open Item Management" only "Line Item Display" is activated. Now we want this as "Open Item Management".  We are using ECC 6.0.
    Please help... how to go about it? 
    - Nilesh

    Dear John Sir,
    Thanks a lot for the explanation which was really helpful.
    As per last discussion : "If asset clearing account XXXXXX had not been maintained as open item management and posted with a balance. It canu2019t be changed directly using FSS0 in G/L master because of non-zero balance on account XXXXXX."
    Please can you explain the detail steps involved for your suggested solution i.e; The step SA38 > RFSEPA02 should be used to achieve this purpose.
    We are usin ECC 6.0. so do we need to convert program "RFSEPA02" to "ZRFSEPA02".? And what are the repucations involved if we execute this solution, as SAP itself don't recommend this program to execute.
    Please help.
    - Nilesh

  • Open Item management-4.6c version

    Hi Gurus,
    Unfortunately I created some GL accounts as a Balance sheet account and I activated  open item management.
    Now the requirement is need to deactivate the open item management and fix the P&L. Account.
    Pls guide me step by step.
    Regards,
    Bharath

    Hello,
    In your case, though balance is ZERO, they are not cleared against each other. It is the reason you are still facing the problem.
    If ther is no open item management check box, then copy program RFSEPA02 to ZRFSEPA02 and append the initialization control.
    If there is already open item management but you want to remove then copy RFSEPA03 to ZRFSEPA03 and append the initialization control.
    Do the following steps:
    1. Block the account for postings (all check boxes) in FS00
    2. Run the customized Z program (Give the company code and account number)
    3. Unblock the account for postings (remove all check boxes) in FS00
    Take help from your ABAPer to stopping the initilization error check.
    Hope this solves your issue.
    Regards,
    Ravi

  • Open item mgt and only balances in local currency

    Hi ,
    What is open item management and only banlances in local currency ?
    for which gl accounts v select open item management and only balances in local currency
    Pls explain urgent
    Regards
    umesh

    1. Only Balances in Local Currency:
    Indicates that balances are updated only in local currency when users post items to this account.
    Use: You would set this indicator for accounts in which you do not want the system to update transaction figures separately by currency.
    It is required to set theis indicator in:
    1.  cash discount clearing accounts
    2. GR/IR clearing accounts.
    It cannot be set in reconciliation accounts for customers or vendors. Setting it in all other instances is optional.
    Open item management:
    Determines that open items are managed for this account.
    Explanation: Items posted to accounts managed on an open item basis are marked as open or cleared. The balance of these accounts is always equal to the balance of the open items.
    Procedure: Set up accounts with open item management if offsetting entries are to be assigned to the postings made to these accounts. Postings to these accounts represent incomplete transactions.
    USE:
    A goods receipt/invoice receipt (GR/IR) clearing account should be managed on an open item basis so that you can check at any time whether invoices have been received for the goods received for an order.
    Set up accounts without open item management if no offsetting entry is to be made against a posting to this account.
    Accounts that are managed on an open item basis include:
    Clearing accounts:
    Bank clearing account
    Payroll clearing account
    Cash discount clearing account
    GR/IR clearing account
    Accounts that are not managed on an open item basis:
    Bank accounts
    Tax accounts
    Raw material accounts
    Reconciliation accounts
    Hope this is helpful. Pleas assign points if it is.
    Julia

  • Change Open Item management for FX valuation

    Hi,
    We have one case here where one GL had Open item management and it was revaluated with open items using an adjustment account. It ws done for a while and the user realize that this account was needed to be revaluated with the same account.
    Therefore, they remove the "open item" mark to the account and fill the "Exchange  rate diff key" in the master data and set up the KDB transaction for the FX valuation without open item. But the system is still working as before, the account is revaluated with the Adjustment account instead with the same account. It seems that the change from "open item" to NON open item is not working.
    Any advice?
    Thanks a lot,
    Adela.

    Hi,
    See the  Note 203329 - RFSEPA02 generates FH099 alth. balance = item total
    Symptom
    Report RFSEPA02 generates the error message FH099: 'Line item total does not tally with account balance' although the item total tallies with the balance and SAPF190 does not show any differences.
    Additional key words
    RFSEPA01, FIINCON
    Cause and prerequisites
    Open item management has already been activated once and items were cleared so that cleared items exist in the system for the account. These are not taken into account during the check of the item total with the account balance and cause the error message.
    Solution
    Reset the clearing transactions using Transaction FBRA.
    Thanks & Regards,
    Shashi Kanth

  • FH087 - Remove open item management to GL Accounts

    Dear All,
    I need to remove open item management to few GL Accounts.    The balance is Zero now.  
    I removed the open item management and try to save the GL Account and the error meesage showing with FH087 - You cannot change Open Item setting.
    Requesting help and guidelines from the forum.
    Thanks in advance,
    Regards,
    SS

    Hi
    Please refer to below answers:
    1) the OSS note 175960, mentions the afftected releases for software component SAP_APPL is till release 600. Currently we are at SAP_APPL 604 level 07. Is this note applicable to us?
    Yes, it can be used.
    2) Will the program ZFSEPA03 / RFSEPA03 converts the current open item line items to line item display?
    The report does the following:
    1. Sets a posting block to the GL account.
    2. Selects all open items and deletes the XOPVW indicator in tables BSEG and BSIS
    3. Deactivates the XOPVW flag in the GL account master data.
    4. Deletes the posting block.
    3) After executing this program, if suppose later any of the clearing document for the cleared items in the account got reversed. Will this items become open item again? if yes, then it won't be possible to clear these items as the gl won't be open item managed.
    I am not sure about this step, but you will have (old) cleared items in the document tables (BSEG/BSAS) which does not match the current account settings (as these items are from the dateBEFORE the change took place). But this does not have any influence on postings in the daily business.
    4) Any pre requisite like the gl account should have zero balance or there should not be any open items, before executing this program ZFSEPA03.
    The subsequent deactivation of open item management is not that critical.
    It is not necessary to bring the account balance to zero, you can execute ZFSEPA03 without any correction postings. And it is even not necessary to change the master data manually, this will be done by the program.
    5) is there any other transaction similar to FAGL_ACTIVATE_OP for deactivating the open item managed tick in ECC 6.0 with NEW GL active.
    You will do it by running the mentioned report.
    The RFSEPA03 or your 'Z' version will not have any influence on the NewG/L tables likeFAGLFLEXA Only the currently open items will set to normal items.
    Regards
    Divya S

  • Clearing GL with Open Item Management

    Dear Experts.
                    A liability GL (Remuneration Gl account) has been created by the client in the system without open item management. After that several entries has been posted in that GL account. Few months back they have activated Open Item Management for that GL using a program.Now they want to clear few entries in that GL account and while clearing the GL in F-03 system is displaying an error
    Document splitting: Items for clearing 1000/9300000661/2012/001 not found
    Message no. GLT0002
    Diagnosis
    Document splitting cannot perform clearing because it was not possible to find complete splitting information on the items to be cleared (company code, document number, fiscal year, item).
    System Response
    Clearing cannot be performed and the document cannot be posted.
    Procedure
    Exclude the affected item from clearing.
    It may be that this item was not posted with active document splitting. In this case, this item or document would have to be migrated.
    This error occurs due to the Open Item Management activation in the GL after entries were posted.
    Now the client wants to clear few entries in this GL account for which Open Item Management was activated recently. The client is not willing to create a new GL and post transfer entries. Is there any other possibility to clear this GL account.
    Please provide your valuable suggestions.
    Regards,
    Ramprasath

    Hi,
    The reason for the error GLT0002 is that there is no values for
    document in tables FAGL_SPLINFO and FAGL_SPLINFO_VAL
    Regarding the clearing process in the FAGL_ACTIVATE_OP:
    The clearing of the 'old' items is the standard process in the report.
    Here is the part from the documentation:
    (Please review the documentation on FAGL_ACTIVATE_OP via se38
    enter in FAGL_SWITCH_TO_OPEN_ITEM view documentation)
    The system then activates open item management and clears all existing
    open items. After this clearing, you have the option of having the
    system repost the amounts that were initially written off.
    This is done to start newly with the OI management once it is activated.
    So if you want to activate the OI management for an other account in
    your  system, please take into account that the clearing should NOT be
    opened again in standard.
    I would request you to please read the documentation in SE38 for FAGL_SWITCH_TO_OPEN_ITEM
    and please check whether all criteria's are fulfilled or not.
    I hope this helps.
    Regards
    Eugene

  • ABOUT OPEN ITEM, MANAGEMENT

    hai
    What is the open item management and which basis it is created .is the all balance items are open item .and .if GR/IR account also open item .why should we maintain both accounts .why dont use only one account for this .
    please give clear understanding
    i would be appreciate  to u
    regards.
    pooja

    pooja  open item mgt is used where transctions like the bills are payable and receivables  ( outstanding amounts) . it is used for clearing the bill wise payments or receipts. when we make payment the system will ask against which bill we have to make payment.

  • Activate "Open Item Management" for account, line items posted previously

    Hi SAP Gurus,
    I am having a problem when do a clearing for GL account due to "open item management" check box in Txn FS00 is not activated and only "Line Item Display" is activated. For your info,  there are line items already posted and now we want this GL as an "Open Item Management". We are using ECC 6.0.
    I did referred to a previous posting in this Forums Activate "Open Item Management" for an Asset, line items posted previously but i received these errors when following the solution. The errors are like below:
    *Account 0039091200 is a reconciliation account in company code 5000
    *Company code 5000 is not considered for the activation
    What does it means by these errors? How do i rectify this error?
    Thanking you in advance.
    Regards,
    Nazrul

    Hi,
    1. Executing report RFSEPA02 has a risk and also doubtful since it is not applicable in ECC 6.0 (New GL).
    2. Create a New G/L with Open item management and transfer the balance to the newly created G/L.
    Refer the earlier threads / replies else last option contact SAP (OSS).
    Regards,
    Shridhar

  • Open item management is not activated

    Hi Consultant,
    I want to activate the open item management in GL.   We have done correct setting another GL account. The amount should be transferred from old GL to new GL.  The old GL become zero balances.  We will try to activate the open item management and we can't change the setting.  The user wants to maintain the same GL account.  I tried to execute sap standard programme RFSEPA01.  Kindly guide me.
    Regards,
    Krishnan.

    Hi,
    Me too got the same problem, but the way i had cleared the issue was different. I just reversed all the entries and nullify the GL Account. Then i tried to check the open item management, the following error message i was getting.
    FH190 Account balance = 0 but open items exist in the account
    Then i controlled that message via OBA5 to warning message and then i was able to check the open item management.
    So my purpose was asking for any error message was this only. However can you say me any error message number with diagnosis?
    Regards,
    Jigar

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