Opening balance issue

Hi experts,
We carried forward balances from 2008 to 2009 through T code F.16.We have found alll GL accounts has been carried forward properly except one GL code (which is opening balance uploaded in sap)not carried forwaded properly.
We have run F.16 again but nothing happened.
Please advise.
Regards,
Samar

Hello,
Check whether you have blocked that particular GL or set for deletion.
You should not have any balance in the upload account. Accordingly, make the necessary entries to clear the balance in upload account.
Regards,
Ravi

Similar Messages

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    Hi Ravish,
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    FROM(SELECT TRANS_ID,item_id,trans_type,trans_date,
    lag(qty)
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      3         MIN(qty) KEEP (DENSE_RANK FIRST ORDER BY trans_id) AS opening_qty,
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      5         SUM(CASE WHEN qty_delta<0 THEN qty_delta END) AS issues,
      6         MAX(qty) KEEP (DENSE_RANK LAST ORDER BY trans_id) AS closing_qty
      7    FROM (
      8  SELECT trans_id,
      9         item_id,
    10         trunc(trans_date,'mm') AS period,
    11         qty,
    12         qty-LAG(qty) OVER (PARTITION BY item_id ORDER BY trans_id) AS qty_delta
    13    FROM inv_track
    14         )
    15   GROUP BY
    16         item_id,
    17         period
    18  /
    ITEM_ID    PERIOD    OPENING_QTY   RECEIPTS     ISSUES CLOSING_QTY
    a1         01-OCT-05         100          5        -15          90
    a2         01-OCT-05         100        110        -10         200
    a3         01-OCT-05        2500       1400      -2400        1500
    SQL>

  • Opening balances of stocks issue

    Dear all,
    Please help me in uploading the opening balances of stocks ,
    Details
    All items are batch and serial no. assigned but no serials and batch no. are defined.w
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    You can see
    [Note 814215|https://websmp130.sap-ag.de/sap(bD1odSZjPTAwMQ==)/bc/bsp/spn/sapnotes/index2.htm?numm=814215]
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  • Customer line items with balance carry forward no opening balance

    Hello FI Experts,
    We have ticket where the user is using a Z* Report for Customer line items with balance carry forward. In 31.01.2007 user has posted some legacy data, latter he was executing this Z* report then user can see the values posted on the same day (31.01.2007) as line items. But he was executing the report on 01.02.2007 then he was not able to see the line item as well as the values posted on 31.01.2007 as opening balance as on 01.02.2007. But if we run the report as on 01.01.2008 then we are able to see the values which are carry forwarded as opening balances. Did anyone have worked on this type of scenario?
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    Hi,
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  • GL balances differences between Year end closing and opening balances

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    HI,
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  • Fault found with opening balances output on Trial Balance report

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  • Mismatching between opening balance and closing balance in F.08

    Dear Experts,
    i have one issue regardig the dismatching between the closing balance of 2010 and the opening balances of 2011.
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    please would you advice me ?
    Regards,
    Bilal

    Hi,
    Run report RFINDEX_NACC (in SE38, older versions of SAP have RFINDEX as the program) for the GL account.  Please read the documentation of the program; as the program is resource intensive; limit your selection to this specific account.  Select the "more detailed" radio button.  should help you identify the reason.
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    Cheers..
    Edited by: Neeraj Kukreti on Jul 6, 2011 2:29 PM

  • Difference in closind balance and opening balance of GL account

    Hi,
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    HI Vikas,
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    -Pradeep

  • Page Breaks for Customer Open Balance Letter when printing

    Hi All,
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    Edited by: 834095 on Jun 1, 2011 2:34 AM
    Edited by: 834095 on Jun 1, 2011 2:34 AM

    What is your application release?
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    Please post the details of the printer setup/style/driver.
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  • HOW TO CALCULATE OPENNING BALANCE

    HI Experts..
    How to calculate Opening balance for previous period using variables in Reports using debit and credit.
    Example:
    Opening balance is the balance for an account for the previous period. In other words, if the user is running a report for Period 1, 2006, the opening balance is actually the ending balance from Period 12, 2005 (December 31st, 2005).
    I am Using 0FIAR_O03 ODS ..
    Very Urgent Issue..
    If Possible Stp by Step..
    Cheers
    Purushottam
    09891683828
    [email protected]

    Hi Saloni,
    to get the debit and credit you would be using a variable 0I_FPER(Fiscal year / period), which is a user entry interval variable.
    now to get the opening balance you will have to create a customer exit valiable and the low value of 0I_FPER will have to popuplated by writied the code for the customer exit valiable. you will have to restrict the key figure DEB_CRE_LC for this customer exit variable with the operand as less than(< Fiscal Year /Period from 0I_FPER)).
    If the above was useful please assign reward points.
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  • How to correct opening balance

    Hi Experts,
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    Regards

    Hi
    Yes you can correct opening balance of Items, if you have not issued that items for consumption.
    Open a old period and use Goods Receipt and Goods Issue option for the same.
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    Hi Experts,
    When I am generating System trial balance report, it shows null in opening balance column for some of accounts while ledger for respective accounts are showing correct figure of opening balance.
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    regards,
    Raviraj

    Hi Raviraj
    Can you confirm In Trail Balance Opening balance for the Period is OB Starts from Company Activity.
    With Regards
    Balaji Sampath

  • Incorrect Opening Balance/Closing Balance in 2LIS_03_BX

    Hi all,
    While running the Query Inventory Report ( 0IC_C03_Q001), we found opening balance as well as closing balance were wrong with comapare to std. tcode MB5B.
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    material code - 131604.                             material code - 131604.
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    thanks in advance

    I'm not and expert on MM, so as Neel kamal says first be sure your opening stocks are wrong, ours were wrong, as we checked with our MM consultant.
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  • Not able to pick Opening Balance in Ageing Report

    Hi
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    Check note 1023083 and for information about the expected release date of the patch please view note 578944.this problem is related to the new  SAP GUI 7 patch-level 0. There is something wrong with  the GUI function to get information from the local registry (CL_GUI_FRONTEND_SERVICES=>REGISTRY_GET_VALUE).
    We had the same issue sometime back and we applied the patch. I have the patch but it will be a huge file to send over internet. See the above notes and you should be able to apply the required patch.
    Also check Note
    Note 696069 below:
    Summary
    Symptom
    No Data is displayed when View is changed from ALV to Excel Inplace on
    ALV Grid. This Happens with Office XP/2003/2007.
    Other terms
    Excel inplace, Excel, ALV, Office 2003, Office XP, office 2007
    Reason and Prerequisites
    With newer release of MS Office (XP/2003/2007) Microsoft added new security settings/options for Visual Basic project and Macros. Excel Inplace uses Visual Basic Project and macro functionality of MS Office. If the setting for Macro security is High (which automatically disables macro or if access to Visual Basic Project is suppressed then Excel Inplace doesn't show any Data in Excel.
    Solution
    Required settings in MS office XP and MS Office 2003:
    To use the Excel Inplace functionality make sure the security settings for Macro is set to Medium and the option "Trust access to Visual Basic Project" must be checked on Tools->Macro->Security->Trusted Sources tab.
    Required settings in Office 2007:
    Please see the video file in attachments of this note.
    This is required with MS Office XP, MS Office 2003, MS Office 2007.
    Header Data
    Release Status: Released for Customer
    Released on: 22.12.2006  14:47:01
    Priority: Recommendations/additional info
    Category: Consulting
    Primary Component: BC-FES-OFFI SAP Desktop Office Integration
    Secondary Components: BC-FES-XXL XXL List Viewer/Lotus Connections
    Reward points if this help
    Sanghamitra
    Message was edited by:
            Sanghamitra11

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