PCA-Partial payment from customer profit center split

Dear all,
Problems encountered.
1) Partial payment from customer whereby the profit center not split accordance to the reference invoice.
Eg. Received incoming invoice.
Dr. Customer            RM1000
  Cr. Revenue  (PC:1000)         RM300
  Cr. Revenue  (PC:2000)         RM700
After running Tcode: F.5D (Display the doc. goto Environment--->Balance Sheet Adjustmt)
Dr. Customer   (PC:1000)         RM300
Dr. Customer   (PC:2000)         RM700
  Cr. Revenue     (PC:1000)                 RM300
  Cr. Revenue     (PC:2000)                 RM700
Received incoming partial payment RM100 with reference to the above document, the result as follows after running Tcode F.5D
(Display the doc. goto Environment--->Balance Sheet Adjustmt)
Dr.  Bank     (PC:Dummy)       RM100
  Cr.  Customer   (PC:Dummy)   RM100  (As per SAP Help EC-PCA Example: Direct Revenue Posting in FI, Partial payments are distributed according to the original receivable i.e. RM30 to PC1000 & RM70 to PC2000)
Additional configuration made:
Bank Account is in 3KEH table with default PC:1460
2) Run Tcode F.5D for the second time in the same month, the result of the payment as follows:
(Display the doc. goto Environment--->Balance Sheet Adjustmt)
Dr.  Bank     (PC:1460)       RM100
  Cr.  Customer   (PC:1460)   RM100 
Questions:
1) Why partial payments are not distributed according to the original receivables?
2) Why the Profit center change to the default PC1460 for the second run? Why such inconsistency happened?
Anyone can answer the above quesstions?
Thanks & regards,
-Alice-

Hi Alice,
Check if you are actually using the tab 'Partial payment' while posting payment to the customer. If you are doing so and activating some invoice, then your customer payment credit line should have 'ivoice reference' field activated. Pl. check this. If this is activated, SAP will get the profit center from original invoice at the time of F.5D. But if you are just posting payment to customer account unapplied (without selecting any particular invoice), SAP can not get profit center from invoice and it will get profit center from the Bank account which is happening in your case.
Hope this helps. We also have similar situation in case of unapplied payments which go to Dummy profit center. I am considering following options:
1) To enter correct profit center in bank account where ever possible
or
2) To post a correction entry in PCA at month end to transfer receivables from dummy to other profit centers on some basis and reverse this entry next month.
How are you handling this dummy profit center situation?
Thanks,
Pinky

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    TABLES: BFOD_A,         "FI subsequent BA/PC adjustment: Customer items
            BSID,           "Open Items
            BSAD,           "Cleared Items
            BKPF,           "Docuemnt Header
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            VBFA,           "Sales Document Flow
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             DAYS02 LIKE COEP-WTGBTR,
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             DAYS05 LIKE COEP-WTGBTR,
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          REF_ALV_ZRPT       TYPE REF TO CL_GUI_ALV_GRID.
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          V_SAVE_INDEX LIKE SY-TABIX,
          V_ROW        TYPE LVC_S_ROW,
          V_ROWS       TYPE LINE OF LVC_T_ROW.
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            CURR(20) TYPE C,
            COL1(20) TYPE C,
            COL2(20) TYPE C,
            COL3(20) TYPE C,
            COL4(20) TYPE C,
            TOTAL(20) TYPE C,
          END OF V_HDR.
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            VALUE(17) TYPE C,
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            BUKRS LIKE BFOD_A-BUKRS,
            GJAHR LIKE BFOD_A-GJAHR,
            BELNR LIKE BFOD_A-BELNR,
            BUZEI LIKE BFOD_A-BUZEI,
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            HKONT LIKE BFOD_A-HKONT,
            BUDAT LIKE BFOD_A-BUDAT,
            SHKZG LIKE BFOD_A-SHKZG,
            DMBTR LIKE BFOD_A-DMBTR,
            DMBE2 LIKE BFOD_A-DMBE2,
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          I_ALV_FIELDCAT TYPE LVC_T_FCAT,
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          I_TOTAL        TYPE T_TOTAL OCCURS 0 WITH HEADER LINE.
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            BELNR LIKE BKPF-BELNR,
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            BKTXT LIKE BKPF-BKTXT,
            XBLNR LIKE BKPF-XBLNR,
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            GJAHR LIKE BSID-GJAHR,
            BELNR LIKE BSID-BELNR,
            BUZEI LIKE BSID-BUZEI,
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            HKONT LIKE BSID-HKONT,
            WAERS LIKE BSID-WAERS,
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            ZBD2T LIKE BSID-ZBD2T,
            ZBD3T LIKE BSID-ZBD3T,
            XBLNR LIKE BSID-XBLNR,
            REBZG LIKE BSID-REBZG,
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             KHINR LIKE CEPC-KHINR,
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    DATA: BEGIN OF I_CEPCT OCCURS 0,
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             MCTXT LIKE CEPCT-MCTXT,
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    DATA: BEGIN OF I_KNA1 OCCURS 0,
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             NAME1 LIKE KNA1-NAME1,
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          V_TOCURR      LIKE TCURR-FCURR,   "local currency
          V_LCURR       LIKE T001-WAERS,    "local currency
          V_CUSTTOTUSD  LIKE BFOD_A-DMBE2,  "customer total grp curr
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          V_CURRENT     LIKE BPPE-WTP03,    "days current grp curr
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          V_TOTAL_ROW   LIKE BPPE-WTP03.    "total of local curr/row
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          V_MSG(50)        TYPE C,
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    CONSTANTS:
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          C_0106(4)   TYPE C VALUE '0106',
          C_SPACE(11) TYPE C VALUE '          ',
          C_USD(3)    TYPE C VALUE 'USD',
          C_KBRC      LIKE CEPC-KOKRS VALUE 'KBRC',
          C_TXT(4)    TYPE C VALUE '.txt',
          C_XLS(4)    TYPE C VALUE '.xls',
          C_RTF(4)    TYPE C VALUE '.rtf',
          C_PERIOD(1) TYPE C VALUE '.',
          C_TODATE    LIKE CEPC-DATBI VALUE '99991231'.
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    Selection Screen Parameters and Select-options
    SELECTION-SCREEN SKIP 1.
    SELECTION-SCREEN BEGIN OF BLOCK B1 WITH FRAME TITLE TEXT-001.
    PARAMETERS:     P_KHINR LIKE CEPC-KHINR.
    SELECT-OPTIONS: S_PRCTR FOR CEPC-PRCTR,
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                    S_BUKRS FOR BKPF-BUKRS,
                    S_HKONT FOR SKB1-SAKNR.
    PARAMETERS:     P_BUDAT LIKE BFOD_A-BUDAT OBLIGATORY.
    SELECTION-SCREEN ULINE.
    SELECT-OPTIONS: S_BELNR FOR BFOD_A-BELNR,
                    S_AUART FOR VBAK-AUART,
                    S_VTWEG FOR VBAK-VTWEG,
                    S_VBTYP FOR VBFA-VBTYP_V.
    SELECTION-SCREEN ULINE.
    PARAMETERS: P_AGEDY TYPE ZZAGEMULT DEFAULT '30' OBLIGATORY.
    SELECTION-SCREEN END OF BLOCK B1.
    SELECTION-SCREEN SKIP.
    SELECTION-SCREEN BEGIN OF BLOCK B2 WITH FRAME.
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    SELECTION-SCREEN END OF BLOCK B2.
    class lcl_event_receiver: local class to handle event DOUBLE_CLICK
    Definition:
    CLASS LCL_EVENT_RECEIVER DEFINITION.
      PUBLIC SECTION.
        METHODS:
        MTH_PRINT_TOP_OF_PAGE
            FOR EVENT PRINT_TOP_OF_PAGE OF CL_GUI_ALV_GRID.
        METHODS:
        MTH_PRINT_TOP_OF_LIST
            FOR EVENT PRINT_TOP_OF_LIST OF CL_GUI_ALV_GRID.
      PRIVATE SECTION.
    ENDCLASS.                    "lcl_event_receiver DEFINITION
    class lcl_event_receiver: local class to handle event DOUBLE_CLICK
    Implementation:
    CLASS LCL_EVENT_RECEIVER IMPLEMENTATION.
      METHOD MTH_PRINT_TOP_OF_PAGE.
        CALL FUNCTION 'Z_CA_STD_HEADER'
          EXPORTING
            HEADING    = SY-TITLE
            P_REPID    = SY-CPROG
            LINE_WIDTH = SY-LINSZ.
      ENDMETHOD.                    "MTH_PRINT_TOP_OF_PAGE
      METHOD MTH_PRINT_TOP_OF_LIST.
        CALL FUNCTION 'Z_CA_STD_HEADER'
          EXPORTING
            HEADING    = SY-TITLE
            P_REPID    = SY-CPROG
            LINE_WIDTH = SY-LINSZ.
        CALL FUNCTION 'Z_CA_PRINT_SELECTION_OPTIONS'
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            P_PGMN  = SY-CPROG
            P_SKIP  = 'X'
            P_NOTOP = 'X'.
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      ENDMETHOD.                    "MTH_PRINT_TOP_OF_LIST
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      V_DISVARIANT-REPORT  = SY-CPROG.
      V_DISVARIANT-VARIANT = P_DSVAR.
      CALL FUNCTION 'REUSE_ALV_VARIANT_F4'
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          IS_VARIANT = V_DISVARIANT
          I_SAVE     = 'A'
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          ES_VARIANT = LS_DISPLAY_VARIANT
        EXCEPTIONS
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      IF SY-SUBRC = 0 AND NOT LS_DISPLAY_VARIANT IS INITIAL.
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    Selection Screen validations
    AT SELECTION-SCREEN.
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        IF S_PRCTR[] IS INITIAL.
          IF S_BUKRS[] IS INITIAL.
            MESSAGE E000 WITH TEXT-300 TEXT-302.
          ENDIF.
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    *.. Error msg: Please enter either a Profit Center Group or a
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          MESSAGE E000 WITH TEXT-300 TEXT-301.
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      IF NOT S_AUART[] IS INITIAL.
        MESSAGE E000 WITH TEXT-303.
      ENDIF.
      IF NOT S_VTWEG[] IS INITIAL.
        MESSAGE E000 WITH TEXT-304.
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       Event AT LINE-SELECTION
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      CHECK SY-LSIND LE 1.
      CHECK NOT I_REPORT-BELNR IS INITIAL.
      SET PARAMETER ID 'BLN'  FIELD I_REPORT-BELNR.
      SET PARAMETER ID 'BUK'  FIELD I_REPORT-BUKRS.
      SET PARAMETER ID 'GJR'  FIELD I_REPORT-GJAHR.
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    INITIALIZATION.
    START OF MAIN PROCESSING
    START-OF-SELECTION.
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          CLASS              = '0H  '
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          SEARCHFLD          = 'KBRC'
          SEARCHFLD_INPUT    = ' '
          SEARCHFLD_REQUIRED = 'X'
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          START_COLUMN       = 10
          START_ROW          = 5
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          TYPELIST           = 'BS'
          UPDUSER            = '*'
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          SET_TITLE          = V_GROUP_TITLE
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          OTHERS             = 2.
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          FIELDNAME                 = 'RPRCTR'
          LANGU                     = SY-LANGU
          SETID                     = V_SETID
          TABNAME                   = 'GLPCT'
          NO_TABLE_BUFFERING        = 'X'
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          SET_VALUES                = I_SET_VALUES
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          SET_NOT_FOUND             = 1
          ILLEGAL_FIELD_REPLACEMENT = 2
          ILLEGAL_TABLE_REPLACEMENT = 3
          OTHERS                    = 4.
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      IF I_SET_VALUES[] IS INITIAL.
        MESSAGE E000 WITH P_KHINR TEXT-039.
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    FORM F_SELECT_DATA.
      PERFORM F_DIS_MSG USING 100 'Retrieve info from SAP tables.'.
      COMMIT WORK.
    Build the BFOD_A internal table based on user selections
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      IF S_PRCTR[] IS INITIAL.
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        PERFORM F_RETRIEVE_BFODA_BY_PRCTR.
      ENDIF.
      IF I_BFOD_A[] IS INITIAL.
    *... No records fit selection criteria.
        MESSAGE E000 WITH TEXT-H20.
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    Get the text for profit center
      SELECT SPRAS PRCTR DATBI KOKRS MCTXT FROM CEPCT
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                  FOR ALL ENTRIES IN I_CEPC
                WHERE SPRAS = SY-LANGU
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    Build an internal table of unique bfod keys for bsid and bsad
      I_BFODA_KUNNR[] = I_BFOD_A[].
      SORT I_BFODA_KUNNR BY KUNNR BUKRS GJAHR BELNR BUZEI.
      DELETE ADJACENT DUPLICATES FROM I_BFODA_KUNNR COMPARING
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    Build BSID Internal table
      SELECT MANDT BUKRS KUNNR UMSKS UMSKZ AUGDT AUGBL ZUONR GJAHR BELNR
             BUZEI BUDAT HKONT BLDAT WAERS REBZG XBLNR SHKZG DMBTR
             WRBTR ZFBDT ZBD1T ZBD2T ZBD3T
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               WHERE KUNNR EQ I_BFODA_KUNNR-KUNNR
                 AND BUKRS EQ I_BFODA_KUNNR-BUKRS
                 AND GJAHR EQ I_BFODA_KUNNR-GJAHR
                 AND BELNR EQ I_BFODA_KUNNR-BELNR
                 AND BUZEI EQ I_BFODA_KUNNR-BUZEI.
    Build BSAD internal table
      SELECT MANDT BUKRS KUNNR UMSKS UMSKZ AUGDT AUGBL ZUONR GJAHR BELNR
          BUZEI HKONT BUDAT BLDAT WAERS REBZG XBLNR SHKZG DMBTR WRBTR ZFBDT
          ZBD1T ZBD2T ZBD3T
             FROM BSAD APPENDING CORRESPONDING FIELDS OF TABLE I_BSYD
              FOR ALL ENTRIES IN I_BFODA_KUNNR
            WHERE KUNNR EQ I_BFODA_KUNNR-KUNNR
              AND BUKRS EQ I_BFODA_KUNNR-BUKRS
              AND AUGDT GT P_BUDAT
              AND GJAHR EQ I_BFODA_KUNNR-GJAHR
              AND BELNR EQ I_BFODA_KUNNR-BELNR
              AND BUZEI EQ I_BFODA_KUNNR-BUZEI.
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    Remove records based on selection criteria
        DELETE I_BSYD WHERE
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      SELECT BUKRS BELNR GJAHR BKTXT XBLNR HWAER HWAE2 FROM BKPF
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    Sort document lines
      SORT I_BSYD BY KUNNR BUKRS GJAHR BELNR BUZEI ASCENDING.
      SORT I_BKPF BY  BUKRS BELNR GJAHR ASCENDING.
    Create table of unique customers
      SORT I_BFODA_KUNNR BY KUNNR.
      DELETE ADJACENT DUPLICATES FROM I_BFODA_KUNNR COMPARING KUNNR.
    Build customer table
      SELECT KUNNR NAME1 FROM KNA1
                INTO TABLE I_KNA1
                 FOR ALL ENTRIES IN I_BFODA_KUNNR
               WHERE KUNNR EQ I_BFODA_KUNNR-KUNNR.
    Free memory space
      FREE I_BFODA_KUNNR.
    ENDFORM.                               " F_SELECT_DATA
          Form  F_BUILD_I_CEPC_TABLE
          build the i_cepc internal table that would populate the
          valid profit centers to processed.
    FORM F_BUILD_I_CEPC_TABLE.
      PERFORM F_DIS_MSG USING 100 'Build the Profit Center Ref Table.'.
      COMMIT WORK.
    Acquire CEPC table
      IF I_PRCTR[] IS INITIAL.
        SORT S_PRCTR.
        SELECT PRCTR KHINR
          FROM CEPC
          INTO TABLE I_CEPC
          WHERE PRCTR IN S_PRCTR.
    Sort table
        SORT I_CEPC BY PRCTR KHINR.
    Remove duplicate values
        DELETE ADJACENT DUPLICATES FROM I_CEPC COMPARING PRCTR.
        I_PRCTR[] = I_CEPC[].
    Sort table
        SORT I_PRCTR BY PRCTR.
      ELSE.
    Sort table
        SORT I_PRCTR BY PRCTR.
    Acquire CEPC table
        SELECT PRCTR KHINR
          FROM CEPC
          INTO TABLE I_CEPC
          FOR ALL ENTRIES IN I_PRCTR
          WHERE PRCTR = I_PRCTR-PRCTR.
    SOrt table
        SORT I_CEPC BY PRCTR KHINR.
      ENDIF.
      IF I_CEPC[] IS INITIAL.
        MESSAGE E000 WITH TEXT-006.
      ENDIF.
    ENDFORM.                               " F_BUILD_i_CEPC_TABLE
          Form  F_BUILD_I_REPORT
          Build the A/R report internal table from bfod_a, bsid and bsad
          It is necessary to go to BSAD/BSID to get the document currency
          not present in bfod_a.
    FORM F_BUILD_I_REPORT.
      PERFORM F_DIS_MSG USING 100 'Build the report information.'.
      COMMIT WORK.
    Sort all internal tables, this is essential for later processing
      SORT I_BFOD_A BY KUNNR BUKRS GJAHR BELNR BUZEI .
      SORT I_BSYD BY KUNNR BUKRS GJAHR BELNR BUZEI.
      SORT I_CEPC BY PRCTR KHINR.
      LOOP AT I_BFOD_A.
    New customer
        AT NEW KUNNR.
          READ TABLE I_KNA1 WITH KEY KUNNR = I_BFOD_A-KUNNR BINARY SEARCH.
          IF SY-SUBRC EQ 0.
            MOVE I_KNA1-NAME1 TO I_REPORT-NAME1.
          ENDIF.
        ENDAT.
    Acquire header fields
        READ TABLE I_BKPF WITH KEY BUKRS = I_BFOD_A-BUKRS
                                   BELNR = I_BFOD_A-BELNR
                                   GJAHR = I_BFOD_A-GJAHR BINARY SEARCH.
        IF SY-SUBRC NE 0.
          CLEAR I_BKPF.
        ENDIF.
    Build base record
        PERFORM F_MOVE_BASE_TO_REPORT.
    Load profit center data
        IF P_KHINR IS INITIAL.
          IF V_PREV_PRCTR = I_BFOD_A-PRCTR.
            I_REPORT-KHINR = I_CEPC-KHINR.
          ELSE.
            READ TABLE I_CEPC WITH KEY PRCTR = I_BFOD_A-PRCTR BINARY SEARCH.
            IF SY-SUBRC = 0.
              I_REPORT-KHINR = I_CEPC-KHINR.
            ELSE.
              CLEAR I_REPORT-KHINR.
            ENDIF.
            V_PREV_PRCTR = I_BFOD_A-PRCTR.
          ENDIF.
        ELSE.
          I_REPORT-KHINR = P_KHINR.
        ENDIF.
    Reverse signs
        IF I_REPORT-SHKZG = 'H'.
          I_REPORT-DMBTR = I_REPORT-DMBTR * -1.
          I_REPORT-DMBE2 = I_REPORT-DMBE2 * -1.
        ENDIF.
    Additional details
        READ TABLE I_BSYD WITH KEY KUNNR = I_BFOD_A-KUNNR
                                   BUKRS = I_BFOD_A-BUKRS
                                   GJAHR = I_BFOD_A-GJAHR
                                   BELNR = I_BFOD_A-BELNR
                                   BUZEI = I_BFOD_A-BUZEI BINARY SEARCH.
        IF SY-SUBRC = 0.
          PERFORM F_FORMAT_I_REPORT_FR_BSYD.
          APPEND I_REPORT.
        ENDIF.
      ENDLOOP.
    ENDFORM.                               " F_BUILD_I_REPORT
          Form  F_FORMAT_I_REPORT_FR_BSYD
    Retrieve all the information needed for reporting from BSID.
    If a document has a referencing invoice (REBZG), the payment terms
       and the baseline date to be used will come from the referencing
       invoice.
    FORM F_FORMAT_I_REPORT_FR_BSYD.
    *=> get the document currency amount from bsid
      I_REPORT-BLDAT = I_BSYD-BLDAT.
      I_REPORT-WAERS = I_BSYD-WAERS.
    PERFORM F_CONVERT_CURRENCY_FR_2_AMTS USING I_REPORT-HWAER I_BSYD-WAERS
                                                I_BSYD-DMBTR   I_BSYD-WRBTR
                                                             I_BFOD_A-DMBTR
                                                     CHANGING V_BFOD_TXNAMT.
      I_REPORT-WRBTR = V_BFOD_TXNAMT.
      IF I_BSYD-SHKZG = 'H'.
        I_REPORT-WRBTR = I_REPORT-WRBTR * -1.
      ENDIF.
      V_ZBD1T = I_BSYD-ZBD1T.
      V_ZFBDT = I_BSYD-ZFBDT.
    *=> determine reference document (referencing invoice)
      CLEAR I_REPORT-SORT.
      CASE I_BSYD-REBZG.
        WHEN ' '.
          I_REPORT-SORT = I_BFOD_A-BELNR.
        WHEN 'V'.
          I_REPORT-SORT = I_BSYD-XBLNR.
        WHEN OTHERS.
          I_REPORT-SORT = I_BSYD-REBZG.
          PERFORM F_GET_DATEPAYTERM_FR_ORIGDOC.
      ENDCASE.
      CLEAR I_FAEDE.
      I_FAEDE-SHKZG = I_BSYD-SHKZG.
      I_FAEDE-KOART = 'D'.
      I_FAEDE-ZFBDT = I_BSYD-ZFBDT.
      I_FAEDE-ZBD1T = I_BSYD-ZBD1T.
      I_FAEDE-ZBD2T = I_BSYD-ZBD2T.
      I_FAEDE-ZBD3T = I_BSYD-ZBD3T.
      I_FAEDE-REBZG = I_BSYD-REBZG.
      I_FAEDE-BLDAT = I_BSYD-BLDAT.
      CALL FUNCTION 'DETERMINE_DUE_DATE'
        EXPORTING
          I_FAEDE                    = I_FAEDE
        IMPORTING
          E_FAEDE                    = I_FAEDE
        EXCEPTIONS
          ACCOUNT_TYPE_NOT_SUPPORTED = 1
          OTHERS                     = 2.
      V_DPAST = P_BUDAT - I_FAEDE-NETDT.
      IF V_DPAST < 0.
        I_REPORT-DPAST = 0.
      ELSE.
        MOVE V_DPAST TO I_REPORT-DPAST.
      ENDIF.
      I_REPORT-ZBD1T = V_ZBD1T.
      I_REPORT-NETDT = I_FAEDE-NETDT.
    Update totals
      PERFORM F_BUILD_TOTALS.
    ENDFORM.                               " F_FORMAT_I_REPORT_FR_BSYD
          Form  F_GET_DATEPAYTERM_FR_ORIGDOC
    FORM F_GET_DATEPAYTERM_FR_ORIGDOC.
    In order to go back to the original document's payment terms and
    baseline date, we neeed to resort bsid/bsad to a different sort
    order b-coz only these 3 fields logically matched the orig doc
      SORT I_BSYD BY KUNNR BUKRS BELNR.
      READ TABLE I_BSYD WITH KEY KUNNR = I_BFOD_A-KUNNR
                                 BUKRS = I_BFOD_A-BUKRS
                                 BELNR = I_REPORT-SORT BINARY SEARCH.
      IF SY-SUBRC = 0.
        V_ZBD1T = I_BSYD-ZBD1T.            "payment term
        V_ZFBDT = I_BSYD-ZFBDT.            "baseline due date
      ENDIF.
      SORT I_BSYD BY KUNNR BUKRS GJAHR BELNR BUZEI.
    ENDFORM.                               " F_GET_DATEPAYTERM_FR_ORIGDOC
          Form  F_WRITE_REPORT
          Write A/R report summarized by profit center.
          Report will be build by profit center and sum all customers
             then will sum past do for profit center and catagorized
             will also sum by project / wbs element.
    FORM F_WRITE_REPORT.
      SORT I_REPORT BY PRCTR KUNNR SORT BLDAT BELNR DPAST DESCENDING.
      CALL SCREEN 9000.
    ENDFORM.                               " F_WRITE_REPORT
          Form  F_POPULATE_PRCTR_FROM_PRCTRGRP
    FORM F_POPULATE_PRCTR_FROM_PRCTRGRP.
      LOOP AT I_SET_VALUES.
        IF I_SET_VALUES-TO = I_SET_VALUES-FROM.
          I_PRCTR-PRCTR = I_SET_VALUES-TO.
          COLLECT I_PRCTR.
          S_PRCTR-SIGN   = 'I'.
          S_PRCTR-OPTION = 'EQ'.
          S_PRCTR-LOW    = I_SET_VALUES-TO.
          COLLECT S_PRCTR.
        ELSE.
          MESSAGE E000 WITH 'System Error, contact programmer'
                  I_SET_VALUES-TO I_SET_VALUES-FROM.
        ENDIF.
      ENDLOOP.
    ENDFORM.                               " F_POPULATE_PRCTR_FROM_PRCTRGRP
          Form  F_CONVERT_CURRENCY_FR_2_AMTS
          This function module will ensure proper handling of decimals
          and conversion of currency. This will give you the historical
          exchange rate used.
          BFOD_A does not have the trans curr amt so we will get it
           using:  ( bsid trans curr amt / bsid loc curr amt ) *
                   bfod_a loc currency amt
    FORM F_CONVERT_CURRENCY_FR_2_AMTS USING V_FRCURR V_TOCURR
                                            V_OFRAMT V_OTOAMT V_NFRAMT
                                     CHANGING V_NTOAMT.
      CALL FUNCTION 'Z_CONVERT_CURRENCY_FROM_2_AMTS'
        EXPORTING
          FROM_CURRENCY   = V_FRCURR
          TO_CURRENCY     = V_TOCURR
          OLD_FROM_AMOUNT = V_OFRAMT
          OLD_TO_AMOUNT   = V_OTOAMT
          NEW_FROM_AMOUNT = V_NFRAMT
        IMPORTING
          NEW_TO_AMOUNT   = V_NTOAMT
        EXCEPTIONS
          OTHERS          = 1.
      IF SY-SUBRC <> 0.
        MESSAGE E000 WITH TEXT-005.
      ENDIF.
    ENDFORM.                               " F_CONVERT_CURRENCY_FR_2_AMTS
          Form  F_RETRIEVE_BFODA_BY_COMPANY
    FORM F_RETRIEVE_BFODA_BY_COMPANY.
    Acquire BFOD_A table
      SELECT PRCTR KUNNR BUKRS GJAHR BELNR BUZEI AUGDT HKONT BUDAT
             SHKZG DMBTR DMBE2 FROM BFOD_A
         INTO TABLE I_BFOD_A
         WHERE BUKRS IN S_BUKRS.
      IF I_BFOD_A[] IS INITIAL.
        EXIT.
      ELSE.
    Remove records based on selection criteria
        DELETE I_BFOD_A WHERE NOT KUNNR IN S_KUNNR OR
                              NOT BUDAT LE P_BUDAT OR
                              NOT HKONT IN S_HKONT OR
                              NOT BELNR IN S_BELNR OR
                            ( NOT AUGDT IS INITIAL AND
                              NOT AUGDT > P_BUDAT ).
      ENDIF.
    Build selection option
      LOOP AT I_BFOD_A.
        I_PRCTR-PRCTR  = I_BFOD_A-PRCTR.
        COLLECT I_PRCTR.
        S_PRCTR-SIGN   = 'I'.
        S_PRCTR-OPTION = 'EQ'.
        S_PRCTR-LOW    = I_BFOD_A-PRCTR.
        COLLECT S_PRCTR.
      ENDLOOP.
      SORT S_PRCTR.
      SORT I_PRCTR BY PRCTR.
      PERFORM F_BUILD_I_CEPC_TABLE.
    ENDFORM.                    " F_RETRIEVE_BFODA_BY_COMPANY
          Form  F_RETRIEVE_BFODA_BY_PRCTR
    FORM F_RETRIEVE_BFODA_BY_PRCTR.
    Acquire BFOD_A table
      SELECT PRCTR KUNNR BUKRS GJAHR BELNR BUZEI AUGDT HKONT BUDAT
             SHKZG DMBTR DMBE2 FROM BFOD_A
         INTO TABLE I_BFOD_A
         FOR ALL ENTRIES IN I_PRCTR
         WHERE PRCTR = I_PRCTR-PRCTR AND
               KUNNR IN S_KUNNR AND
               BUKRS IN S_BUKRS.
      IF I_BFOD_A[] IS INITIAL.
        EXIT.
      ELSE.
    Remove records based on selection criteria
        DELETE I_BFOD_A WHERE NOT KUNNR IN S_KUNNR OR
                              NOT BUKRS IN S_BUKRS OR
                              NOT BUDAT LE P_BUDAT OR
                              NOT HKONT IN S_HKONT OR
                              NOT BELNR IN S_BELNR OR
                            ( NOT AUGDT IS INITIAL AND
                              NOT AUGDT > P_BUDAT ).
      ENDIF.
    ENDFORM.                    " F_RETRIEVE_BFODA_BY_PRCTR
          Form  F_MOVE_BASE_TO_REPORT
    FORM F_MOVE_BASE_TO_REPORT.
      I_REPORT-PRCTR = I_BFOD_A-PRCTR.
      I_REPORT-KUNNR = I_BFOD_A-KUNNR.
      I_REPORT-BELNR = I_BFOD_A-BELNR.
      I_REPORT-BUKRS = I_BFOD_A-BUKRS.
      I_REPORT-HKONT = I_BFOD_A-HKONT.
      I_REPORT-AUGDT = I_BFOD_A-AUGDT.
      I_REPORT-BUDAT = I_BFOD_A-BUDAT.
      I_REPORT-GJAHR = I_BFOD_A-GJAHR.
      I_REPORT-BUZEI = I_BFOD_A-BUZEI.
      I_REPORT-SHKZG = I_BFOD_A-SHKZG.
      I_REPORT-DMBTR = I_BFOD_A-DMBTR.
      I_REPORT-DMBE2 = I_BFOD_A-DMBE2.
      I_REPORT-HWAER = I_BKPF-HWAER.
      I_REPORT-HWAE2 = I_BKPF-HWAE2.
      I_REPORT-BKTXT = I_BKPF-BKTXT.
      I_REPORT-XBLNR = I_BKPF-XBLNR.
    ENDFORM.                    " F_MOVE_BASE_TO_REPORT
         Module  STATUS_9000  OUTPUT
          text
    MODULE STATUS_9000 OUTPUT.
      SET PF-STATUS '9000'.
      SET TITLEBAR '900'.
    Launch standard ALV grid
      PERFORM F_CREATE_ALV_GRID_CONTROL.
      PERFORM F_LOAD_COLUMN_HEADINGS.
    ENDMODULE.                 " STATUS_9000  OUTPUT
          Module  USER_COMMAND_9000  INPUT
          text
    MODULE USER_COMMAND_9000 INPUT.
      CASE SY-UCOMM.
        WHEN 'EXIT' OR 'CANC' OR 'BACK'.
          CALL METHOD REF_CUSTOM->FREE.
          SET SCREEN 0.
          LEAVE SCREEN.
    Begin of changes for Release 2 by HBE7890 - DEVK909110
        WHEN 'PRIN'.
          PERFORM PRINT_AGING_TOTALS.
    End of changes.
      ENDCASE.
    ENDMODULE.                 " USER_COMMAND_9000  INPUT
          Form  F_CREATE_ALV_GRID_CONTROL
          text
    FORM F_CREATE_ALV_GRID_CONTROL.
    Set field catalog for ALV
      PERFORM F_SET_FIELDCAT.
      IF REF_CUSTOM IS INITIAL.
      Create ALV container
        CREATE OBJECT REF_CUSTOM
          EXPORTING
            CONTAINER_NAME = 'ZRPT_CONTAINER'.
      Create ALV grid control
        CREATE OBJECT REF_ALV_ZRPT
          EXPORTING
            I_PARENT          = REF_CUSTOM.
    Adjust look and feel
        PERFORM F_CHANGE_SETTINGS.
    Call the ALV Build
        CALL METHOD REF_ALV_ZRPT->SET_TABLE_FOR_FIRST_DISPLAY
          EXPORTING
            IS_LAYOUT       = V_LAYOUT
            IS_VARIANT      = V_VARIANT
            I_SAVE          = V_SAVE
            I_DEFAULT       = V_DEFAULT
          CHANGING
            IT_SORT         = I_SORT
            IT_OUTTAB       = I_REPORT[]
            IT_FIELDCATALOG = I_ALV_FIELDCAT[].
    Create print top of page
        CREATE OBJECT REF_EVENT_RECEIVER.
        SET HANDLER REF_EVENT_RECEIVER->MTH_PRINT_TOP_OF_PAGE
            FOR REF_ALV_ZRPT.
    Create print top of page
        CREATE OBJECT REF_EVENT_RECEIVER.
        SET HANDLER REF_EVENT_RECEIVER->MTH_PRINT_TOP_OF_LIST
            FOR REF_ALV_ZRPT.
      ENDIF.
    ENDFORM.                    " F_CREATE_ALV_GRID_CONTROL
         Form  F_CHANGE_SETTINGS
          text
    FORM F_CHANGE_SETTINGS .
    Set layout parameters
      V_LAYOUT-GRID_TITLE = 'A/R by Profit Center'.
      V_LAYOUT-SEL_MODE   = 'A'.
      V_LAYOUT-INFO_FNAME = 'LINECOLOR'.
      V_LAYOUT-CWIDTH_OPT = 'X'.
      V_LAYOUT-NO_MERGING = 'X'.
      V_LAYOUT-NUMC_TOTAL = 'X'.
      V_DEFAULT           = 'X'.
      V_SAVE              = 'A'.
    Set display variant
      V_VARIANT-REPORT  = SY-REPID.
      IF P_DSVAR NE ''.
        V_VARIANT-VARIANT = P_DSVAR.
      ENDIF.
    ENDFORM.                    " F_CHANGE_SETTINGS
          Form  F_SET_FIELDCAT
          text
    FORM F_SET_FIELDCAT .
    Set field catalog for ALV
      CALL FUNCTION 'LVC_FIELDCATALOG_MERGE'
        EXPORTING
         I_STRUCTURE_NAME       = 'ZFR0ARPR_S1'  "DEVK909110
          I_STRUCTURE_NAME       = 'ZPSS_ARBYPC'                "DEVK909110
        CHANGING
          CT_FIELDCAT            = I_ALV_FIELDCAT
        EXCEPTIONS
          INCONSISTENT_INTERFACE = 1
          PROGRAM_ERROR          = 2
          OTHERS                 = 3.
    Override any attributes
      LOOP AT I_ALV_FIELDCAT INTO V_ALV_FIELDCAT.
        IF V_ALV_FIELDCAT-FIELDNAME EQ 'NAME1'.
          MOVE 'Customer Name' TO: V_ALV_FIELDCAT-REPTEXT,
                                   V_ALV_FIELDCAT-SCRTEXT_L,
                                   V_ALV_FIELDCAT-SCRTEXT_M,
                                   V_ALV_FIELDCAT-SCRTEXT_S.
        ENDIF.
        IF V_ALV_FIELDCAT-FIELDNAME EQ 'SORT'.
          MOVE 'Documentation' TO: V_ALV_FIELDCAT-REPTEXT,
                                   V_ALV_FIELDCAT-SCRTEXT_L,
                                   V_ALV_FIELDCAT-SCRTEXT_M.
          MOVE 'DocRef' TO         V_ALV_FIELDCAT-SCRTEXT_S.
        ENDIF.
        MODIFY I_ALV_FIELDCAT FROM V_ALV_FIELDCAT.
      ENDLOOP.
    ENDFORM.                    " F_SET_FIELDCAT
          Form  F_BUILD_TOTALS
          text
    FORM F_BUILD_TOTALS .
      DATA: V_DAYS TYPE I,
            V_INDEX(2) TYPE N.
      CLEAR I_TOTAL.
    Build total line
      MOVE I_REPORT-HWAER TO I_TOTAL-WAERS.
      MOVE I_REPORT-DMBTR TO I_TOTAL-TOTAL.
      DO 5 TIMES.
        V_DAYS = ( SY-INDEX - 1 ) * P_AGEDY.
        V_INDEX = SY-INDEX.
        IF I_REPORT-DPAST LE V_DAYS.
          CONCATENATE 'I_TOTAL-DAYS' V_INDEX INTO V_FIELD-NAME.
          ASSIGN (V_FIELD-NAME) TO <COLUMN>.
          <COLUMN> = I_REPORT-DMBTR.
          EXIT.
        ELSEIF SY-INDEX EQ 5.
          CONCATENATE 'I_TOTAL-DAYS' V_INDEX INTO V_FIELD-NAME.
          ASSIGN (V_FIELD-NAME) TO <COLUMN>.
          <COLUMN> = I_REPORT-DMBTR.
          EXIT.
        ENDIF.
      ENDDO.
      COLLECT I_TOTAL.
    ENDFORM.                    " F_BUILD_TOTALS
        

    CO-PA has all the information you need...
    Profitability Analysis is that part of CO where operations will access its performance factors and profitability statements contain margins, standard cost variance, sales information, allocations and other related profit or loss data. This module helps analyze profitability of customers, markets and products at various levels of contribution margins. Profitability is measured down to the SD billing document line and is adjusted periodically against standard costs and other costs.
    It has 2 methods of approach :
    Costing based Profitability Analysis - This is primarily designed to let you analyze profits quickly for the purpose of sales management.
    Account based Profitabilty Analysis - This type of Profitability Analysis enables you to reconcile cost and financial accounting at any time using accounts.
    Guess, the second approach is what you are looking for...

  • Transfer of Customer balance from one profit center to another profit cente

    Hi,
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    Thanks  & Regards
    Sandeep

    Once again, this are you possibilities:
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    Best regards,
    Andreas

  • Transfer of Vendor Balance from one profit center to other

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    Venkat

    Hi Kamal
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    Venkat

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    Moderator: Please, search before posting

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    >
    NIMISH GOSWAMY wrote:
    > Hi All,
    >
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