Payment Details - Profit Center wise (Monthly)

Deal All,
Could you pls let me know the report/way/path to find the list of all payments made from one Profit Center for a specified Month.
Thank you
Gopi

HI,
When you are run f-32 t.code after that u are select the ( other option menu) Profit Centre wise.
ok than click and run the option.
thanks
rohit agrawal

Similar Messages

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    Hi
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    Hi,
    You can use a substitution to update the field through FI. Use GGB4 for wirting a substitution you may need some ABAP coding to substitute PO no and line items in the assignment field.  rule would be Co code =XXX and GL account =xxx and Posting date earlier than =xxxx  then concatenrate EBELN and EBELP in Assigment field Zounr.
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  • Profit Center wise payments in F110

    Hello Gurus,
    F110 Automatic payment program error at proposal (couldnt select the documents by profit center criteria)
    ERROR is: (Company codes 4000/4000 do not appear in proposal 17.06.2010 SYR_R; correct)
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    Hi,
    As profit centers are not getting populated in Vendor Line Items, Free Selection Tab in F110 would not work.
    In case if the payment is required to be done Profit Center wise, enter profit centers in Assignment Field of the Vendor Line Item. While making the proposal, in Free Selection Tab give the value mentioned in Assignment Field.
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    Hope it would work. We are making Profit Center wise payment in the same way.
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    Edited by: jaymin_bhatt26 on Jun 17, 2010 1:07 PM

  • Plant and Profit center wise Turnover and  gross profit for the Month for s

    Hi
    We need a report Plant and Profit center wise Turnover and
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    Hi
    You need to check if you really the report Plant wise and if yes, then check if the Accounting Transactions are maintained at Plant Level in your source system i.e. in R3.
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  • F110 - Automatic Payment Program (APP) - Profit Center wise

    Has anyone worked on plant wise/profit center wise payments before? We have done necessary enhancement to populate profit center in vendor line item at the time of posting invoice. We are doing profit center wise proposal run in F110 by using additional selection criteria in F110.
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    All the profit center will run proposal at the same time and after that payment run will be carried out by central treasury. Hence, I cannot schdule the payment run of different profit center at different time.
    Is there any work around? Is it possible that same vendor can be contained in different proposals of different profit centers?
    We were thinking of doing an enhancement to delete the entries from REGUS table after proposal run. Would it be right way?

    It is standard behaviour in F110 for locking vendor.
    Try luck to use same paying company code for all your profit center company codes.  Keep update

  • Vendor Ageing Report Business Area and Profit Center wise

    Dear Experts,
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    We are using SAP ECC 6.0 Classic GL with Spl Purpose Ledger active.Can someone please advice can i derive such a report through Report Painter.If possible please advice in details.
    Your Valuable inputs shall be appreciated....
    Regards
    Rahul

    Hi Durga,
    Can you please elaborate further on the same how you are determining the Report in FBL1N.What are the prerequisited to be taken care of and some further details on the same.
    My Bus Area is not as same as Profit Center eg
    BA          PC
    FXRT     RT0001 / 2 / 3
    TMMG   TM0001/ 2 / 3
    LTOB     LO0001/ 2 / 3
    I checked in my system but we do not have the Program for the following T Codes
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  • Vendor Profit Center wise balances

    Dear friends,
    Here is the requirement to provide details of vendor wise profit center wise balances. As report required to run for all vendors for a certain period it is consuming a lot time to calculate opening balances from line items.
    Is there any table like LFC3 which will store vendor wise, profit center wise balances. Kindly suggest.
    Regards,
    Praveen Lobo

    Dear
    Use T.code FBL1N - Display/Change Line Items.
    when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
    when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
    Alternately, use dynamic selections in T.code FBL1N selection screen.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Profit Center wise Vendor Balance

    Dear Sir,
    Kindly guide us as how can we get a report / information for "PRFOFIT CENTER wise VENDOR Balances " . I tried with FBL1n but it give Balance without Profit Center . We are using ECC-6 .
    We assure to give full points for the suggested solution pl .
    Kindly help me pl .
    Rgds
    B Mittal

    Hi BV,
    You will not get Profit Center wise payables information from FBL1N,though you can see the profit center field in FBL1N. This Profit center is the profit center sitting in BSEG table and with ECC 6.0 if you are using new GL, then Profit center wise details are available in FAGLFLEXA.
    The other report as mentioned in one of the replies above is also there but its presentation is not so good as of FBL1N.
    And the other option is to develop a Z report for Profit center wise payables. We have done it for receivables and it is working fine.
    Regards,
    SAPFICO

  • Want to creat customer and vendor as per Co. Branch (Profit Center) wise.

    Hello friends,
    I am in a critical case, my client want the customer and vendor as per company branch wise (i.e. Profit Center wise) not by account Group wise but as per my knowledge we can create the customer and the vendor as per account group..
    Kindly let me know if there is any procedure or configuration/ Customization to create the Customer and Vendor as per u201CCompany branchu201D wise. Please let me know the detail steps for itu2026
    Have a very Nice Dayu2026
    With regards
    Amresh..

    Dear Amresh,
    Customer and vendor master are maintained in company code level.
    this cannot be maintained profit center level.
    What actually does your client wants.
    To get report receivable and payable profit center wise you can use S_AC0_52000887 and S_AC0_52000888.
    Please be more specific to solve the issue faster.

  • Profit center wise Balance Sheet

    Dear Experts,
    I am working in a project right now and the company requirement is to get the Balance sheet profit center Wise.
    We are implementing ECC 6 and have activated Document splitting Functionality.
    We are Considering products as Profit centers.
    My concern is if I assign profit center in Material Master, my flow from PR to MIRO is working fine, as the system is assigning profit center at line items in Accounting from Material master.
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    COGS DR.
    To Inventory Cr.
    COGS is a cost element and I cannot post it without assigning cost center
    The issue I am facing is if I fix one cost center over here, it will only pick one profit center assigned to it, but I want to have different Profit centers
    Not only in the above entry, I am facing this problem on all automatic Profit and loss entries
    How can I assign correct profit center to the line item. Please suggest me some solution.
    Thanks and Regards
    Lakhbir Singh
    Cross-Post

    You can find the detailed documentation regarding the profit center balance sheet at the following links:
    http://help.sap.com/saphelp_47x200/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    http://help.sap.com/saphelp_47x200/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    Regards,
    Suraj

  • Profit center wise open item clearing ??

    Dear all
          Can i do  profit center wise open item clear  of customer ???
    I select profit center in F-32 ( Customer Open Item Clear ) . But not coming profit center in this colomn .
    Becouse my scenario in incoming payment product wise (profit center ) & credit limit on profit center.so i not an able to do this clearing .
       Please assist me .
    Regards.
    Purushottam Bawane

    HI,
    When you are run f-32 t.code after that u are select the ( other option menu) Profit Centre wise.
    ok than click and run the option.
    thanks
    rohit agrawal

  • Profit Center wise Customer Clearing

    Dear Sir,
    There is our client requirement to have profit center wise customer clearing. Kindly suggest.
    With Regards,
    Saurabh

    Hi,
    Update the customer master sort kye field with PROFIT CENTER.
    So that it wiill update the assignment field in line item.
    If you are cclearing manually select assignment field and give your profit center details then system will pick line items relevent to that profit center
    If you are clearing using automatic clearing functionality configure OB74 with zuonr(assignment) and vbund(trading partner) criterias for your customer master records.
    Regards,
    Krishna Kishore

  • Profit center wise reports

    How can we get profit center wise
    Trial balance
    P&L
    Balance sheet

    Hi,
    In order to get Profit Center wise Balance Sheet, you need to assign Profit Center for all Balance Sheet GL Accounts. In case of Materials, Fixed Assets, Receivables and Payables when the month process is completed Profit Center will get assigned.
    For other GL Accounts, it needs to be configured in transaction code 3KEH. For each GL Account only one Profit Center can be assigned. So, this is again subjective and depends upon Business requirements. You can also consider derivation rules / allocation at the month end.
    With regard to reports you can use standard report or develop Report writer / painter reports.
    Thanks
    Murali.

  • Profit cente wise profit&loss account

    Plz tell me profit center wise profit &loss account
    tell me TC for this
    Very urgent

    Hi Kavitha,
    I am not aware in which version you are working on.
    But in ECC 6, there is standard SAP report which shows Financial statement per Profit center.
    S_ALR_87009712
    Let me know if you require any further details.
    Kalyan
    Assign points if useful

  • S_PL0_86000029- Profit Center wise Planning vs Actuals

    Hello,
    Currently we are using business area accounting. Also, we are using profit centers for various reportings. we are not doing any assessments / distribution cycles.
    We have maintained the plan values through GP12N at Profit Center and Account level. Now, we are trying to generate the following report
    S_PL0_86000029 - Financial Statement: Plan/Actual Comparison
    In the above report, the system is allowing me to see the GL wise Profit Center break up. But we want Profit Center wise GL break up
    Kindly guide us, how to generate the above report with a break up of profit center as header, below is GL code.
    Regards
    Anilkumar

    I think you can only start it on a monthly base, individually.
    Regards
    Hein

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