Parallel Currency Depreciation Areas.

Hi,
I have activated parallel currencies (Hard Currency - EUR & Indexed Based - USD) concept to my company code.  I am trying to settle WBS, that time I am getting error message "Company code XXXX manages parallel currencies in Asset Accounting. For each area that posts automatically online to FI, you have to define one dependent depreciation area that adopts both identical values and depreciation terms from depreciation area 01, and which is assigned to currency type 40 and currency EUR. There is no depreciation area of this type defined for depreciation area 01"
For the above error how to create dependent depreciation area and attaching to currency type EUR". 
Help is needed very urgent.
Thanks in advance for the same.
Regards.

Hi,
Normally when you activated parallel currencies, then you should have minimum 2 depreciation area. First is Book Depreciation , and the second is "Group Currency"  Depreciation.
You can define depreciation Area for "Group Currency" in :
SPRO -> Asset Accounting -> Valuation -> Define Depreciation Area
Then you should Specify Area Type in t-code : OADC. Set "Typ"= 6 (group Valuation) for the "Group Currency" depreciation area.
Then Specify Transfer of APC Values in t-code : OABC , fill "ValAd"= 01 and tick column "Identical" for "Group Currency" Area.
Do the same thing in t-code : OABD.
Then You should define currency for those depreciation area in t-code : OAYH.
Last, you should Specify the  use of parallel currencies in :
SPRO=> Asset Accounting -> Valuation -> Currency ->Specify the  use of parallel currencies .
For "Group Currency" Depreciation area , Fill following :
"Currency Type" = 30 Group Currency
Tick "IdAPC"
"Ttr" = 1 book depreciation
Tick "Indnt Trn"
Hope It can help.

Similar Messages

  • Copy parallel currency depreciation area

    Hi Gurus,
    We are migrating to New GL. As a part of this, I am creating 4 new depreciation areas (one for LC1 in non-leading ledger - 61, One for LC2 (GC) in non-leading ledger - 71 and the other two for delta between 01 - 61, and 31-71). I have marked 71 depreciation area as identical and adopting values from 61. I want to copy the values from the existing group currency depreciation area(31) into 71 as I want 71 to be a replica of 31 and I do not want the system to again convert the LC1 into GC using historical rates and I want to avoid writing an LSMW as they are lots of assets. Can someone advice how I can copy over dep area 31 to 71 using AFBN. System does not allow 71 to reference 31 in OABC for take over of same values. Thanks.

    Hi,
    For a correct and simple parallel valuation scenario, please review SAP Note 1433535 which provides the necessary instruction how to create a ledger scenario, including parallel currency areas.
    (For posting indicators and their meaning you can check KBA 1572318).
    Please verify in your system and take into account the following information regarding ledger scenario logic: also, please refer to the standard ledger scenario logic documentation.
    In short, this is a basic configuration of depreciation areas and posting indicators in asset transaction OADB:
                                             Posting to G/L         Ledger
    Area 01 HGB                    1                             0L
    Area XX IAS                     3                             1L (your ledger code)
    Area YY (IAS - HGB)        6                             1L (your ledger code)
    Same setup is valid for the other ledgers that you may have.
    You should also beware that according to the ledger scenario logic: Acquisiton/transfer/retirement postings in area 01 go to ALL ledgers, independently of the setting in OADB (this is not an error).
    The difference is posted through the derived area.
    Here I list again the 3 most relevant SAP Notes listed in regard to creating a ledger scenario:
    1433535    Parallel valuation: Ledger approach
    1594311    Duplicate posting in non-leading ledger when APC tr
    1572318    Meaning of field "Posting in G/L" in  transaction OADB
    Hope this helps you.
    Best regards,
    Brigitte

  • *Depreciation reversal with conversion in Parallel Currency Dep Area*

    When we creat depreciation run in version 4.6c (RABUCH00) the program performs a batch session and post depreciation entry in Company Code currency -in our case-(GBP) and parallel currency (USD) as, entry should be
    posting key GL A/c                        GBP USD
    75              Accumulated Depn A/c   76GBP    38USD
    40              Depreciation Exp A/c      -76GBP   -38USD
    entry is posted in other depreciation area (which is opted for posting) in dep area currency USD.
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    posting key GL A/c                        GBP USD
    70              Accumulated Depn A/c   76GBP     1USD
    75              Accumulated Depn A/c  -38GBP   -1USD
    50              Depreciation Exp A/c     -76GBP   -1USD
    40              Depreciation Exp A/c      38GBP     1USD
    hence my query is
    1. Why for a particular asset amounts are getting reversed.
    2. Why these amounts are not converted in parallel currencies when we change GL layout of parallel currency.
    SAP OSS Note No. 0000733192 RABUCH00 and parallel currencies with value 0 has relevant documentation on this topic but it fails to explain why this happens in particular asset.Can you provide any explanation ? Thanks.

    Hi Hui Bin Liu,
    How did you solve this?
    I have that same issue right now and can't figure how to solve it.

  • Error in ASKB after creating parallel & delta depreciation area

    Hi All,
    We have APC and depreciation values in Area 1 for an Asset. Now I have created parallel depreciation area 70 and delta depreciation area 90. area 70 posting to parallel ledger. As soon as I created area 90, the following values are showing in AW01N
    01 - Dep Area
    APC - $45000
    Depreciation  - 1500
    70 - Depr Area
    APC - Null
    Depreciation - Null
    90  - Dep Area
    APC - $45000
    Depreciation  - 1500
    So when I run ASKB it gives me an error saying 'Balancing field in Profit center in line item 001 not filled'. The ledger group it is trying to post is the non-leading ledger.
    Can you please help.

    Hi Murali & Vinod,
    Thanks for your replies. The document splitting settings are fine. It was the issue corss-system depreciation are settings. The client had activated area 70 for an Asset in one company code, but did not have it in the transferred Asset in the other company code. It was an intercompany transfer. We fixed this activating area 70 and now it is ok.
    Now the problem is after I run ASKB, and check ABST2, the reconciliation report shows a line item with
    Account : 1XXXXXX (Accum. Depr A/c)
    Ledger : 3G (non leading ledger)
    Period : 999
    2ndLCGL :example 1000
    2ndLC in AA: 0
    2ndLC Delta : 1000
    3rdLCGL :example 1000
    3rdLC in AA: 0
    3rdLC Delta : 1000
    Leading ledger postings reconcile properly. Non leading ledger APC values in all 3 currencies reconcile properly. Only for Depr A/c in non-leading ledger it is not posting to LC2 and LC3.
    Any thoughts?
    Regards
    Panneer

  • Parallel Ledger Depreciation area

    Dear all,
    I have 2 depreaciation areas one for local GAAP and other for IFRS . The amount to be capitalised will be differenent in each area in some circumtances.
    In ECC 6.0 the parallel ledger book value area will take APC values from book value area 01.
    I created a separate do type AP with external numbering, ut unable ti hit the parallel area with direct postings.
    For ex; amount to be capitalised in area 01 is 10000 whereas it is 12000 in area 32 , parallel book value area.
    Could anyone please suggest how to go about this?
    Thanks,
    vamsi

    Hi Mamta,
    Thanks for the reply. I have done all the necessary config settings like creation of parallel depn areas and a separate doc type for ledger entry view etc.
    Now my question how do I post the additions / adjustments in book value only to Parallel ledger area.
    For ex: area 01- book depn
               area  30- parallel depn area
               area  60 - delata for 30 and 01
    create a new doc type called Zafor entry view
    Intilly booked book value fo 1200 in all ledgers. But in area 60 i.e parallel ledger book value area I need to capitalise an additional amount of 200. How do I do this? what is the T.code ,  is it ASKb?
    I need to post an amount to the asset only in parallel ledger. i we use FB01L system doesnt allow you to do subledger postings.
    hope I am clear with my question.
    Thanks,
    Vamsi

  • Assign ment of Parallel currencies  & Business Area related to cost center

    1.when we are creating cost center we will give business area,,,after posting to that business area,,can we change the business area???????
    2. whe1.Conducted power user, End –user training and
    involved for preparation of Business operating
    procedures
    2.Preparation of Documentation, Functional
    Specification for manual interfaces, Unit Testing and
    Configuration control documents.
    3.Analysis of Automatic Payment programme
    4.Analysis of Interfaces, Solving tickets and
    interacting with  the Users  
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    projects re we can assian 2nd parellal currency???
    6.Conducted Positive Unit Testing, Negative Testing in
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    no once posted u cannot change the business area assignment of a cost center

  • 'Parallel Depreciation Area 41 is not posted'u200F

    I am trying to run the inflation program (TS J1AI), the problem is that I need the inflation area for the parallel currency (41) take the inflation information in parallel currency. When I run the batch the system shows me this message 'Parallel Depreciation Area 41 is not posted' Error: NA AA565'.
    My question is if it is possible to see the inflation in the parallel currency inflation area or this area is created only for tecnical reason?? if it is possible... how can I do it??
    Thanks,
    Cecilia

    Solved

  • Creation of depreciation area for posting of parallel currencies postings

    while i am posting f-90 asset e. auqsiation its giving error massage
    "Customizing inconsistency (contact your system administrator)
    Message no. AC496
    Diagnosis
    Company code BP01 manages parallel currencies in Asset Accounting. For each area that posts automatically online to FI, you have to define one dependent depreciation area that adopts both identical values and depreciation terms from depreciation area 01, and which is assigned to currency type 60 and currency INR. There is no depreciation area of this type defined for depreciation area 01.
    Procedure
    Check your Customizing settings."

    Hi Venkat,
    Create a New Depreciation area with APC Values and Depn values identical to Value 01.
    Then goto valuation> currencies
    Specify the Use of Parallel Currencies> and assign the currency type and valuation view to the new depn area. tick the identical values
    then goto
    Define Depreciation Areas for Foreign Currencies> give the parallel currency against the depn area
    Now try doing the transaction.
    Please revert back if you still have any issues.
    Thanks,
    Vamsi

  • Parallel Currencies and Depreciation areas

    Hi all
    I have a simple question. When we maintain multiple currencies for a company code, what are the requirements for maintaining depreciation areas? Do we need to maintain a seperate depreciation area per currency? I am unsure of the link between multiple currencies and depreciation areas.
    Need ur expert help to help me understand this better.
    Thxs in advance.
    Hrishi

    HI
    Any Depreciation Posting should automatically post to all the currencies that are active for a company code. In your case Parallel currency. Depreciation area has no link to the currency.
    Regards

  • Depreciation of parallel currency areas

    The deprectiation of the parallel currency areas start before of the balance area 01. The parallel currency areas have the values identical and in the master data the valution of 'Deprec. areas' are identical.
    Any idea which could be the problem?
    Thanks,
    Cecilia

    Hi
    How did you solve rounding off difference? I am facing similar problem. There is difference in Book Depreciation and Federal Tax dep in decimals. How do I correct this?
    Asset      -
        Depreciation Book   -
        Fed Tax Book   -
          Difference
    6001304  -
        $22,424.27             -
          $22,425.34       -
          $(1.07)
    I am getting such difference for 20 Assets. How to correct them?
    Thanks
    Vijay

  • Fixed asset Write up Error. ABZU(Parallel depreciation area 32 is not poste

    Hi Sap Gurus,
          I am running into an error when trying to post a write up via "ABZU". Here is the error message "Parallel depreciation area 32 is not posted". Message no. AA565.
    Diagnosis
    The asset to be posted does not manage parallel depreciation area 32, or transaction type  that you are using is limited to certain depreciation areas, and does not contain depreciation area 32. This is incorrect.
    System Response
    Posting is rejected.
    Procedure
    Check the asset and the transaction type.
    I tried "Limit Transaction Types to Depreciation Areas" in t-code:OAXE for derpeciation area 01 and 32 but still i am getting the same error. I am using ttype:700. When i look into derpeciation tab in asset master record i have depreciation area 32 is there. Is there any configuration piece i am missing. We are using area 32 as IFRS in group which is copy of 01.
    Any help will be appreciate.
    Thanks and Regards,
    Babu

    Hi,
    There are the following reasons:                                                                               
    1) The wrong transaction type is being used.  Please verify that  you are using transaction type in the 700 series for your write-up.     
    2) The transaction type is restricted to certain depreciation areas.   In transaction OAXE the transaction type can be restricted to post  only to certain areas.  If the asset manages a parallel area you  have to extend the posting to include the parallel area.                 
    3) The asset was created before you introduced parallel currencies and  does not manage the parallel area.  In this case, the parallel  area must be created on the asset or the values need to be  transferred to a new asset that manages the parallel area.                       
    4) Transacion types 600 and 601 can only be used for assets that have a  calculation key in their depreciation area that allows no automatic  calculation (for example depr key MANU).  The unplanned transaction types however can be used with assets that  allow automatic calculation.                                                     
    You also need to verify that there are entries in Table ANLB for the  asset in question for the depreciation area. 
    5) Your company code uses parallel currencies (currency types 10-co.code  currency, 50-Index based currency, 30-Group currency...for example).  The assets created in this company code must have the depreciation areas for parallel currencies active. You can only do this in activating the depreciation areas with  parallel currencies for all the asset classes used in this company code.                                                                            
    Check transaction OAYZ to make sure the areas are activated for all  asset classes in the co.code.  If not, you will need to       activate these areas and ensure the asset has all areas assigned.                
    regards Bernhard

  • Parallel depreciation area 04 is not posted.(Assets)

    Hi All,
    I have found below mentioned error at the time of Advance knocking off.(F-54)
    Parallel depreciation area 04 is not posted.
    I have found below mentioned error at the time of Advance knocking off.
    The error message number :AA565
    The Asset to be posted does  not manage parallel depreciation area 04,or transaction type that you are using is limited to certain depreciation areas and does not contain depreciation area 04. This is incorrect.
    Please help out for this issue.
    Thanks and Regards,
    Ram

    Hi Ram
    With regards to the issue, if you have activated the use of parallel currencies, all assets created in this company code must have the depreciation areas for parallel currencies active. You can only do this by activating the depreciation areas with parallel currencies for all the asset classes used in this company code. Check transaction OAYZ to make sure the areas are activated for all asset classes in the co.code . If not, you will need to activate these areas and ensure the asset has
    all areas assigned.
    Another reason why the error message appeared could be the asset was created before you introduced parallel currencies and does not manage the parallel area. In this case, the parallel area must be created on the asset or the values need to be transferred to new asset that manages the parallel area.
    I hope this information helps.
    Best regards
    George

  • Error: Parallel depreciation area 31 is not posted

    Hi experts,
    Hi have customized 5 depreciation areas:
    01 book depreciation in local currency
    30 deferred balance sheet in local currency (for different useful life)
    31 deferred balance sheet in group currency
    32 book depreciation in group currency
    60 derived depreciation area
    I specified that 30 will get values from 01; 31 will get from 30; 32 will get from 01; plus one derived for 01 and 30 difference.
    Then when I entered asset values in F-02 using transaction type 100, I get this error. Please help. Thank you.
    Parallel depreciation area 31 is not posted
    Message no. AA565
    Diagnosis
    The asset to be posted does not manage parallel depreciation area 31, or transaction type  that you are using is limited to certain depreciation areas, and does not contain depreciation area 31. This is incorrect.
    System Response
    Posting is rejected.
    Procedure
    Check the asset and the transaction type.

    Hi John.
    In "Specify use of Parallel Currency" setup your currencies type/Valuation view.
    In Currency Type/Valuation View, against area 31 maintain it for 31 (Group Currency Group Valuation) and against area 40 maintain 40 (Hard Currency). Transfer of Deprecation terms setup from Deprecation
    area “01”.  Setup like below.
    Now go to below
    Maintain your currency as per requirement and see if changes are updated as per above configuration (I mean valuation id is "01" for your depreciation area, try to execute your transaction and let me know if it’s working.
    After that go to define depreciation area and see if your depreciation area setting for 01, 31 and 40 is same. Please try to check in Sandbox first.
    Please mark it as correct if your problem resolves, so it would be useful for other as well.
    Thanks and Regards,
    Sudhir Harale

  • Parallel depreciation area 02 is not posted

    Dear Friends,
    I am getting the below error while posting un-planned depreciation
    "Parallel depreciation area 02 is not posted
    Message no. AA565
    Diagnosis
    The asset to be posted does not manage parallel depreciation area 02, or transaction type  that you are using is limited to certain depreciation areas, and does not contain depreciation area 02. This is incorrect.
    System Response
    Posting is rejected.
    Procedure
    Check the asset and the transaction type."
    I have checked all the relevant settings which might cause the above error, but, in vain.
    Parallel currencies for the Co.Code are configured:
    1st locl cur: INR; Type: 10 - Company code currency
    2nd locl cur: EUR; Type: 30 - Group currency
    3rd locl cur: USD; Type: 40 - Hard currency
    Transfer of dep terms, transfer of APC values & Identical terms for depreciation areas are seemed to be correct. config screen prints attached below.
    Still unable to trace out the root cause of this error.
    Kindly provide your inputs to solve this.
    Thanks,
    Kesav

    Hi Vivek,
    Thanks for your response.
    Parallel depreciation areas were deactivated earlier. I have activated them now. I also have inserted parallel dep areas through AFBN as they were missing in the assets.
    After the above changes, system allowed me to post unplanned depreciation.
    Regards,
    Kesav

  • Parallel depreciation area not posted  when trying to settle an order.

    Hi,
    We have requirement of using parallel currencies in one of the cocode.So I havee set up parallel currencies in AA as well.
    We have three currencies EUR as Local currency, USD as Group Currency and CHF as Index-based Curremcy.
    I have set up Depreciation areas
    01 Book depreciation areau2014posts in real timeu2014leading ledger 0L
    02 Book depreciation area for CHFu2014posts Dep only u2013Z1 european ledger
    10u2014Statutory Depreciation areau2014Do not post
    19u2014Derived Dep area (01-10)
    29u2014Dervied dep area (02-01) Posts APC onlyu2014Z1 european leading ledger
    30-Consolidated Balancesheet in local currencyu2014do not post
    31u2014consolidated balance sheet in group currencyu2014do not post
    32u2014Book dep in Group currency u2013do not post--assigned USD in OABT
    42-Book dep in Group currency-do not post --assigned CHF in OABT
    I have selected Indentical and TTr check box for dep areas 02,31,32, & 42.
    I have done the consistency check and it shows no errors in depreciation area set up.
    When Trying to settle an internal order in KO88 to a fixed asset I am getting the below error message.
    *Data inconsistency: Parallel depr. area is not posted Message no. AAPO104*
    Diagnosis
    For chart of depreciation ZCH, you defined this area (or these areas) as parallel depreciation areas for depreciation area 01. In the current transaction, however, not all of these areas are posted. This is not allowed.
    Procedure
    Check if the transaction type is limited to certain depreciation areas. If there is such a limitation, add the missing depreciation areas for the transaction type.
    Check if the asset that is being posted manages all these depreciation areas.
    I have checked the transaction types and they are not limited to any depreciation areas. I have activated depreciatio areas in the asset class and maintained the account determination nad assigned g/l accounts.
    Please help me if I have missed any settings.
    Thanks & Regards
    Nirmala

    Hi,
    AAPO104 is generally a customizing error:  the check points to consider are generally the following regarding parallel currencies: I think you have checked most of them already...
    * The parall. dep. area must have the same settings as the original area (e.g. allowing APC).
    * The parall. dep. area must set for identical values take over.
    * The parall. dep. area must set for identical parameter take over.
    * The parall. dep. area must be assigned to the currency type which is defined as parallel in FI in trx. OB22 (e.g. 30).
    * The parall. dep. area must be activated in the asset class (transaction OAYZ)
    Furthermore, a problem can also be that in OABT you have a parallel area customized, taking value from another area, which is customized and seen in T093. If for example this parall.area is missing on your Asset Under Construction but is there on the final asset this obviously will create the error AAPO104, too.
    In any case check your settings are correct in regards to parallel depreciation areas. They must manage same values as original areas. If they don't it cannot be a parallel area.
    Maybe you also need to consider the information in SAP note 317806.
    Also, looking at your different depreciation areas above, it looks that you have set up a ledger scenario (areas 01 , 02 and 29). I wonder, do you have a correct set up for the parallel currency for your ledger scenario? If I am not mistaken, I don't see a derived parallel currency area. Could this be the problem?
    Regards,
    Brigitte

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