PLA Open balances upload

Dear All,
I am in final phase of implementation & uploading open balances of previous year. Now I need to upload PLA Balances. Can any one give points that how to upload PLA balances.
Thanks in advance
Ravi

Try using RFBIBL00 or use LSMW.
RFBIBL00
http://help.sap.com/saphelp_45b/helpdata/en/0f/8a7415dc4ad111950d0060b03c6b76/content.htm
LSMW
http://www.sap-img.com/sap-data-migration.htm

Similar Messages

  • Opening balance upload in Leading and NOn leading ledger.

    Hi All.
    We are in the phase of opening balance upload. We are using Leading and Non leading ledger concept. Our Leading ledger starts on 29th of March 2009 as per UK reporting and Non leading ledger starts from 1st April to 31st of March as per India reporting.
    We were going to upload the opening balance as on 22nd of Nov as per UK reporting. But here We stuck because as per India reporting our 2008 fiscal year has been closed on 31st of march 2009 also financial books has been closed. But due to UK reporting we are carrying 29th to 3st march 2009 P&L balances in Leading ledger which has been considered in the India Balance sheet ( has come in Profit and Loss Account).
    Here I am not able to understand that how I should upload the 29th to 31st march P&L balances in leading ledger because if I will upload these through F-02 or FB50 BDC than these will effect the India balances also. If I am using the FB01l or FB50L to upload the Non leading ledger balances, than system is not allowed me to upload the balances in open item management accounts. System prompt me following message.
    Postings to G/L accounts with open item management are not permitted
    Message no. FAGL_POST_SERVICE012
    Diagnosis
    You use G/L account 213702 in company code 7041 with open item management. However, postings are not permitted to G/L accounts in individual ledgers with open item management.
    Procedure
    If you have not yet made any postings to this account and if the account is to be used for closing processes in non-leading ledgers, deactivate the Open Item Management indicator in the company code data for the G/L account.
    Can any one tell me that how I can Achieve the same with correct P&L affect in Leading Ledger and correct effect in Non leading ledger Profit and loss account.
    Appreciate your immediate response.
    Many thanks

    Hi
    If your problem is solved, can you please let me know the solution for upload of customer, vendor and other open GL items in Non Leading Ledger.
    Regards
    Sourabh

  • Assets opening balance upload

    hi,
    dear experts,
    i want  to uploads assets opening balance.can you  help me to know how to assets upload opening balance.
    detail step to upload assets opening balance.
    thanks
    sn.noorie

    Hi
    Please go through the below mentioned link
    OASV-Assets opening balance upload
    Opening Balance uploading statage
    Asset opening balances upload
    Hope this will help you to solve the problem
    Thanks & Regards
    Praveen PC

  • Opening balance upload for Excise groups

    Dear All,
    One of my client wants to upload excise balances of excise groups and corrosponding entry in FI.
    Client is already go live on 01/04/2008. During cutover activities balances are uploaded for only 1 excise group.
    Now he want to upload for remaining 5 excise groups.
    Out of that for 2 excise groups already transactions are done in system and registers are extracted.
    For 3 excise groups there are no transaction in system.
    Please advice me what we can do in above 2 cases and what will be the procedure.
    Regards,
    Umesh

    hi
    Now he want to upload for remaining 5 excise groups.
    >Out of that for 2 excise groups already transactions are done in system and registers are extracted.
    for this initial balance upload will be dificult as syatem already have transactions
    then also try following in dev server
    do the initial upload on the date pirior to the transaction date
    then again run j1i5 and j2i5
    >For 3 excise groups there are no transaction in system.
    for this u can directly have the initial upload on back date
    The initial upload process is as follows
    Use following
    http://help.sap.com/bp_bblibrary/470/Documentation/J33_BPP_32_CHEM_EN_IN.doc
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/18/8e113999724854e10000000a11405a/content.htm
    opening balance for 2 and 1 %
    Go to SE11, give table: J_2IACCBAL and choose display F(7).
    On Dictionary: Display Table screen, choose Utilities --> Table contents --> Create Entries, from menu bar and make the following entries
    Client - Leave it blank
    Enter your excise group,
    Register: RG23AECS for Edu Cess 2% and
    RG23AAT1 for SEC Cess 1%.
    CL BAL: enter the closing balace here only and remaining follow the same procedure for entering RG23ABED .
    This is only the direct table entry of opening Balance, so you need to make an FI entry thro F-02. For ex.
    RG23A ECS Part II Account DR
    To Initial balances clearing a/c
    Only after this extract the balances thro J2I5 else you may encounter getting wrong extract.
    follow the same procedure for RE23C cesses also.
    regards
    SAP Learner

  • Excise opening balance upload

    Hi experts
    I'm uploading excise opening entries in table J_2IACCBAL.
    Here when trying to enter RG23AECS and RG23CECS i'm getting error enter valid value.
    In data element for register names i don't find RG23AECS and RG23CECS . how to go about this.
    Regards
    Ganesh

    Hi,
    Can you expand the error with Message Number? Else follow the procedure mentioned below.
    Go to SE11. enter the table name J_2IACCBAL.
    Now go to menu Utilities > Table Contents > Display.
    Now enter the Data Elements for which you are confused. If not so then create the entries for the same. go to menu Utilities > Table Contents > Create Entries.
    Regards,
    Jigar
    Edited by: Jigar Thakkar on Aug 4, 2008 12:57 PM

  • Wbs in customer/vendor and gl document lines during initial balance upload

    Hi gurus,
    Can we enter wbs in customer/vendor and gl documents lines during upload of opening balance upload?
    What is the impact of this?? Do we need to run project settlement on 1st day after go live to get data in cost center from ar, ap and gl????
    Thanks

    Hi Mohit,
    Why do you want to udpate WBS element for vendor and customer line items. Basic concept of said cost object (WBS element) is transfer values to Fixed assets or GL accounts or any other cost objects like cost center ,Internal order,sales order like that.
    You can update WBS element for all fixed expenses based on settlement rule and allocation types,which you created in customization and assigned cost elements or cost elment group over there. You can update WBS elements for said line items settle after opening balance update.  Please note ,it may not possible to update WBS element for vendor and customer line items.
    Basic cocnept of WBS element is cost collector ( You may use to collect revenue also as per nusiness processes) ,collects the cost from various resources and settle to said above objects. Vendor and customer balances are balance sheet accounts,which can settle through payments.
    Regards
    ManiKumar

  • Employee Vendor Opening Balances uploand

    Dear All,
    Could you  please tell me the procedure Employee Vendor opening balances uploading procedure
    Acutullay this is a HCM-Fi for that we need to uplaond employee individual Opening balaneces.
    Reg,
    Sudhan

    Hi All,
    Thanks for ur suggestions
    But i need more clarity on this legacy data opening balances uploanding Emp.vendors and customers.
    Step by step procedure
    Thanks
    Sudhan

  • Excise RG23C Opening Balance

    Hi friends,
    I have a doubt. Please anybony can helpus.
    Let's take an example:
    On 1st june, 2010 client goes live.
    so opening balances for RG23C is updated in Table and corresponding FI entry is also posted, giving effect in Excise & FI books.
    Now if on 1st July,2010 , If there is a finding, that the opening balance posted in June is short by "X" amount (the X amount can be plus or negative).
    Question:
    How to rectify this?
    If there is any JV as to be passed in transaction code J1IH, please can you explain in detail, like the subtransaction type, to be used? so that it will help us
    Please can you educate me.pl pl pl
    Thank you and Kindest Regards
    Srikaanth

    Dear,
    You can change the balance through J_2IACCBAL table.
    just goto table through SE16 then change button on top you can modify the values after that post the balance JV through F-02 FI postings.
    Check the below link for more details.
    [RG23C opening balance upload|http://www.google.co.in/url?sa=t&source=web&cd=3&ved=0CCAQFjAC&url=http%3A%2F%2Fhelp.sap.com%2Fbp_bblibrary%2F470%2FDocumentation%2FJ33_BPP_32_CHEM_EN_IN.doc&ei=g_9MTIKoAsS6rAf8rIi5Dg&usg=AFQjCNH9SuyMQLBO0n09Wb16cg0060ZuAg&sig2=LFSwxcUVZ0fCcGcwhDcXyQ]
    Regards,
    Kishore

  • 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

  • Opening balances update after go live

    hi members,
    is there a possibility to update the opening balances uploaded initially after we Go-live?
    lets take an example, say, On the first day of the fiscal year i have uploaded vendors with an initial details consisting of 3 bills and later after going live i found that i need to upload another 2 bills.
    I did my initial upload with the help of LSMW and will i be using the same transaction or anything other than this if i need to update the opening balances.
    I think we will be using the Retained Earnings acct as the offsetting account in the LSMW template, if the bills are concerned with expenses and if not we will be using other balance sheet accounts. Correct me if i am wrong.
    thanks in advance and its going to really help me
    regards
    suresh

    Hi Suresh,
    Yes you can upload the balances after Go live as long as you can justify it to your auditors and till you get a balanced Trial Balance (TB).
    You dont have to offset your vendor line item with the retained earnings account. You should debit the expenses account and credit the vendor account. You retained earnings account gets adjusted accordingly and will take care of the difference in the Balance Sheet due to the vendor line item upload.
    Hope you understand. Please revert if you have questions.
    Regards,
    Mike

  • Upload of opening balance in PLA & RG23A/C

    Hi all,
    I am trying to upload opening balances of RG23A & RG23C through Table J_2IACCBAL.
    But system is not allowing me to upload the same, it gives following error
    No table entries found for specified key
    Message no. MO429
    What can be the reason?
    Is there anything in addition I have to do before uploading these opening balances through this table?
    Please guide me.
    Thanks
    Sonal

    Hi,
    To upload balance you have to goto SE11, give database table "J_2IACCBAL", select Display, Menu "Utilities > Table Contents > Create Entires".

  • Upload opening balances for vendor and customer

    Hi,
    I am going live in 2 days. I want to upload opening balances. Please guide me how do i do it? not with LSMW.
    Please give T code and guide me.
    Its urgent!!!
    Thank You
    Pritam

    you want to Uplode Transactional Data take care of that, beter to Prepare BDC,
    for BDC you have to Record the Transaction Code and Tell ABAPer line items uplode process he will do the Technical Development,
    Ex: F-22
    01 - Customer A/C Dr 100
    50 - Sales                  100
    you have to arrange data in your flat file like this,
    Regards,
    TML

  • Upload Opening balance of G/L accounts from legacy system to SAP, and also

    Hi Gurus,
    How to upload Opening balance of G/L accounts from legacy system to SAP, and also Vendor and Customer balance.
    My Doubt is when you upload the customer balance and vendor balance will it effect the sundry debtor account and sundry creditor account if not the how will the sundry debtor account and sundry creditor account will be posted with the balance. Please send me the general entry passed for posting the same.
    What I understood is that when we are uploading the customer and vendor balances through LSMW, no entry will be passed and it will update the customer and vendor sub ledger in FBL1N and FBL5N but it will not affect the sundry debtor account and sundry creditor account.
    To give effect to sundry debtor account and sundry creditor account we need to manually pass a journal entry as follows.
    1)  Sundry debtors account A/c -
    DR
          TO clearing account A/c
    2)     clearing account A/c -
    dr
         Sundry creditor account A/c
    Please let me know whether iam correct
    Also please tell me what will be the scenario for uploading of the assets balances through LSMW.
    THANKS AND REGARDS
    MV

    Hi,
         When you uploading any data from legacy system to sap normally we will be using LSMW or BDC,thru this we will be uploading master data like G/L,vendor,Customer and asset master these are the some examples and we will upload transaction data also that is P&L Account and Balance sheet.When we do uploading data thru LSMW system will update all the values of vendor,customer and asset values as well as subsidary ledger also.No need to do manully.
    Regards,
    satya,
    FICO

  • How  business transation data,opening balances are uploaded through lsmw?

    hi,
         please tel me hoe to upload the open balances,business transation data of the vendor,customer and gl account through lsmw? along with that please explain the uploading theough bdc.........
       i am eagerly waiting for ur answer...............please let me know asap.
    with regards,
    prasad.

    Hi,
    As all the balances can be uploaded through FB01,Create a document type by for upload set all the transaction allowed in document type.
    Firstly create a LSMW for FB01 posting a document so that we will know what all the fields need to be captured.
    Then in the same format create a XL template with necessary required fields and fill the same with data.
    Asset master data also can be uploaded through FB01 by removing the reconcilation field in OAMK change the reconcilation control and upload the balance in FB01 and again in OAMK change the control to reconcilation.
    or through OASV also you can upload.
    Edited by: santosh kumar on Feb 2, 2012 10:42 AM

  • Uploading Opening Balances for GL, Vendor & Customer Accounts

    Hi Gurus,
    We are currently on the verge of going live for a client and we need to upload the opening balances.
    I am really not sure how to uploaded the opening balances...
    Can anyone guide me in process/procedure to be followed... Request you to provide if you have some data template....

    Hi,
    The upload of GL Balances have to split into several steps:
    1. Normal GL Accounts: In this case line items are not required and totals are to be updated in SAP. This can be done using GL fast entry if the number is not too high.
    2. Open Item Managed GL Accounts: All the open line items are required to be uploaded in SAP from Legacy in order to clear them. Hence, a LSMW / BDC program has to be developed to upload the line items.
    BAPI_ACC_DOCUMENT_POST - for GL/AP/AR
    BAPI_ACC_INVOICE_RECEIPT_POST - for AP
    BAPI_ACC_GL_POSTING_POST - for GL
    GL Balance
    F-02 or RFBIBL00 or BAPI
    Dr GL a/c Credit Data migration Account or Clearing Account
    3. Customer & Vendor Open Items: All open line items in Customer and Vendor Accounts have to be brought in into SAP. For this also a LSMW / BDC program needs to be developed and upload the line items.
    Vendor Balances
    F-02 or RFBIBL00 or BAPI
    Credit Vendor a/c (individually) and Dr Data migration Account or Clearing Account
    Customer balances
    F-02 or RFBIBL00 or BAPI
    Dr Customers a/c (individually) and Cr Data migration Account or Clearing Account
    4. Asset Accounting: In case asset accounting is implemented the individual balances of each asset (Gross Value and Accumulated Depreciation) have to be uploaded using transaction AS91. For this also you need to develop a LSMW / BDC program. Further, you also need to update the GL Accounts related to Asset Accounts with totals for each asset class T.Code OASV.
    For uploading the Assets
    AS91 -> for uploading assets in AA
    OSAV --> for uploading assets in GL entry Dr Asset (individually) Cr Data migration Account or Clearing Account
    You can use LSMW for uploading all these things
    After uploading all, your data migration account will become zero
    Thanks,
    Rau

Maybe you are looking for

  • Forced to buy entire Creative Cloud monthly membership

    here is a transcript of a conversation I had with the adobe sales team today – surely we are not alone in thinking that this is unacceptable? You are now chatting with 'Vani' Vani: Hello! Welcome to Adobe Customer Service. Suzi: Hi Vani: Hi Suzi Suzi

  • Dual Monitors functionality with SSL connections?

    Hi, I'm configuring a new ASA5510 w/ SSL licensing and a coworker asked me some questions on functionality of remote access. I'm new to the ASA device and have never configured one before. Both of these questions are assuming the user is at home and

  • Default username and password not found

    Hello all, Just bought the new WVC54GCA ip camera, tried to configure it with its setup but can't get in as I couldn't find the admin password anywhere.....Does anybody know what are the default settings for these username and password fields? (Linux

  • Wrong node name passing to HPM via SCOM to HPOM SCinterop connector

    Hello, We are experience an intermittant issue with our SCOM to HPOM SCInterOP connector. We are having an issue where the SCOM RMS server  name  is being passed to HPOM as the node name for alerts when in SCOM the node name is a completely diferent

  • Port on client side

    Hi all, I am inside a very restricted network, and I have to stablish a jdbc connection. I know which ports to be used on server side, but I am interested on which ports should be open on client side. I need communicate this info to the network admin