PM month end closing

Hi Gurus,
I want to learn, is there any account or FI document creation exist during PM month end closing?
If yes, how can I found it?
Thanks...

Hi,
You are looking for Plant Maintenance Year End Activity fiom FI side or any other doubt you are asking.
Please write clearly.
Thanks
Chanra

Similar Messages

  • Direct Posting of Sales in FI and month end closing

    Dear Experts
    I learnt that :
    Sales Direct Entries may be posted in FI without posting in SD/MM.
    Sales entries must always be posted only through SD process. If this is NOT done (for example freight rate received from third party freight forwarders), then only FI people should know how to reconcile and NOT sd people. Hence I recommend posting your query in FI forum after closing this thread.
    Regards,
    My question is , during month-end closing how should FI or accounting address the above direct posting issues?
    Apparently, such practice is not right.
    There is no trace of the sales in SD MM. There is no corresponding billing doc in SD MM but found in FI .
    How should this situation be handled as best practice?
    I am BI person but found this issue with FI data not reconciled with SD MM.
    I am not sure how the month-end closing was done when there is such data. Yes, the problem was found AFTER month was closed and I loaded the data to BI.
    best regards
    Pascal

    Dear Sirs
    What is the fastest easiest way to find out which FI direct entries were posted without corresponding Sales / Billing documents created ?
    Is there any standard report or reports available in oss?
    Currently, our other interfacing systems are having problem with data due to direct entries where there is no corresponding Sales / Billing docs posted. This is causing a lot of time investigating what entries caused the reconciliation problem.
    Your help would make my life easier.
    Thanks!
    Regards
    Pascal

  • Month end closing question from a DBA

    Hi all,
    I am a DBA not a functional setup person/Business Analyst; so excuse me if my question is not put in business terms.
    We have an 11.5.10.2 that operates in US, Canada, Peru, China and Australia. Each of these have their own Set of Books. When the time comes to do month end closing, our finance people tell all incl our US and other countries branches to stop the following transactions on the system while month end closing is going on:
    •     Inventory
    o     Pick, pack and ship for SO’s and Internal Req’s
    o     Receiving of PO’s, Internal Req’s and OSP
    o     Subinventory transfers
    o     Consignment consumption
    o     Inventory adjustments
    •     WIP
    o     WIP moves and completions
    •     Accounts Receivable
    o     Cash applications
    o     Invoicing of any shipping activity past cutoff o     Manual invoices and credits
    •     Accounts Payable
    o     Invoice entry and cancellation
    o     Manual or batch payment runs
    Question that I have is: how can month end closing be done where each of these countries could freeze these activities for their last day of month when last day of month starts obviously earlier in Australia and China compared to US, Canada and Peru? As of now, they all seem to follow the last day of the month procedure as the US. It takes about 7 hours for the whole process to run.
    All comments/suggestions welcome.
    Thanks,
    Edited by: DBA115102 on Mar 4, 2011 7:14 PM

    Hello.
    SQL> select p.period_name, ae.event_status_code, p.closing_status, h.AE_HEADER_ID
    2 from ap_ae_headers_all h, ap_accounting_events_all ae, gl_period_statuses p
    3 where ae.accounting_event_id = h.accounting_event_id
    4 and h.period_name = p.period_name
    5 and p.application_id = 200
    6 and p.closing_status = 'C'
    7 and ae.event_status_code = 'CREATED';
    no rows selected
    SQL>
    As you can see, i cannot find similar situation. My database has data since 1998. Perhaps we are using different APPS versions, mine is 11.5.10.2
    Octavio

  • Month End Closing - Schedule Manager

    Hello,
    Does anybody know what are the other tools offered by SAP for month end closing?
    I am trying to use Schedule Manager (SCMA) but its not letting me define dependencies on "Notes" task. I mean I am trying to add "Notes" task in Schedule Manager for the specific month end tasks which will be performed outside of SAP and user will just checkmark in SCMA.
    Any help will be appreciated.
    Thanks.

    Dear All,
    I am still facing below issue.
    While creating flow definitions , when I try to attach program I face below issue.
    e.g. I want to attach program RK_PEP_WL_SEL_SAL which is in the application CO-PC-OBJ-SALESORD but when I created flow definition I gave application as Controlling , so how to add program in the flow definition which has different application ?
    If I try to attach application CO-PC-OBJ-SALESORD in flow definition itself then I cannot add programs in Controlling application .
    Kindly help how to add different programs from different application.
    Thanks in advance.
    Abhishek.

  • Month End Closing Procedure.

    Hi,
    Can some one send me month end closing activites carried out with  T Code to my mail id is [email protected]
    Points will awarded.
    Regards,
    Kiran.

    Hi
    Month end activitites with Transaction code :
    FI
    AFAB - calculate depreciation
    F.05 Foreigh Currency valuation
    F.5D calcualate balancesheet adjustment (in case of business area adjusment)
    F.5E post balance sheet adjustment
    CO.
    1. Overhead : CO43 - Collective Processing
    2. WIP :KKAO - Calculate
    3. Variance:KKS1 - Collective Processing
    4. settlement:CO88 - Collective Processing
    5. Assessment cycle :KSU5
    If the answer is helpful kindly assign points
    Thanks & Regards
    Mahesh

  • Month-end closing

    hi,
    After go-live for month end closing, what are the activities to be followed up from SCM/MM  view point.
    regards
    fozters

    Hi,
    If Back posting is not allowed, you cant post the document in prior to the last month. For example if you closing period for June month, if back post the document in last month, you hve to post in current month only.
    If the back posting is allowed then you can post in +/- 1 month to the current month.
    I think no specific checking are requried, pls inform the user tht they cant post the document on last month.
    Hope its clear.
    reg
    Durga
    *assign points if the info is useful

  • CO Production Order month end closing and settlement question

    We are a utility without PP module.  We use CO Production Order to accumulate costs of assembling components (parts and labor) into a material number that we receipt into inventory.  We have questions about month end closing process and the settlement of these CO Production Orders when receipts are not complete or labor is not completely entered at month end.
    Basically we need to know how other non-manufacturing companies handle the settlement process.

    Hi,
    The Month end Activities are as follows
    Clearing the open items of vendor, customer
    Clearing the suspense account regularly
    All the Expenses Including the prepaid expenses have to be booked..
    Intercompany Balances Should be Zero
    Depreciation Run.
    Recuring Entries.
    Park documents to be posted(FBVO)
    Accural and referal in any differneces.
    GR/IR  Clearing Transaction  (Tcode-F.13)
    Bank Reconciliation(Comparing the Company Books and Bank Statements)
    Exchange rate to be updated
    Revaluation of foreign currencyopen items(F.05)
    Order Settlements.
    Distribution Cycle
    Assesment Cycle(KSU5)
    Transfer the Inventory to Profit center(1KEH)
    Match GL and PCA(KE5T)
    MM period Close and Open (Tcode MMVP)
    FI Period Open(Tcode OB52).
    CO period Closing
    Year End Process
    All the Month end Activities should be Carried Out.
    Balance Carried Forwarded to next year(F.16)
    PCA Balance Carried Forward(2KES).
    Carry forward the Vendor,Customer  and Asset Balances
    (Unless Dep is posted for all the months the assets can not be Closed)
    Copy the No Ranges to new year
    Open the Next  year period(OB52)
    I Hope this is Helpful,
    Assign the Points.
    Regards,
    Padma

  • MONTH END CLOSING ACTIVITY

    Dear all
    pl, explain few questions
    1) What r the month end closing activities done in SAP PP?
    2) How do u capture product cost?
    3) What is Teco, closing a prod. orderand order settlement?
    thanks
    Raj

    Hi Raj,
    1) What r the month end closing activities done in SAP PP?
    Wun WIP (KKAX/KKAO) and settlement KO88/CO88. Prior to this carry out TECO for all orders which are technically complete.
    2) How do u capture product cost?
    Product costing is done using quantity structure generally for production using BoM and routing costs which are basically material and labour costs. The transaction used for this CK11N. The planned cost is captured in the order when you create a prod order. The actual costs are booked to the order when you post the goods issues and perform confirmation. The planned costs for labour are derived based on the activity prices for every activity which are linked to the standard values of the operation. Activity prices are maintained in Co using KP26 transaction.
    3) What is Teco, closing a prod. orderand order settlement?
    TECO means Technically complete. By setting TECO the order from logistics point is set as complete. The pending reservations are deleted. The prod orders are not considered to deliver goods anymore. So will not appear in your stock/reqmnts. But still you could post goods issues. By Closing the production order you cannot post any document. It is financially closed. The pre-requisite for CLSD status is that the order balance is set to zero. By settling an order it means the order balances if any are brough to zero by posting the balances to relevant GL accounts. To WIP account if still WIP exits or to Material account if it is TECOed or fully delievred.
    Hope this helps.
    Regards
    Ram

  • AP month-end closing question

    consult :
    if there are records in table 'ap_accounting_events_all' which EVENT_STATUS_CODE = 'CREATED' , will them influence the AP month-end closing ??

    Hello.
    SQL> select p.period_name, ae.event_status_code, p.closing_status, h.AE_HEADER_ID
    2 from ap_ae_headers_all h, ap_accounting_events_all ae, gl_period_statuses p
    3 where ae.accounting_event_id = h.accounting_event_id
    4 and h.period_name = p.period_name
    5 and p.application_id = 200
    6 and p.closing_status = 'C'
    7 and ae.event_status_code = 'CREATED';
    no rows selected
    SQL>
    As you can see, i cannot find similar situation. My database has data since 1998. Perhaps we are using different APPS versions, mine is 11.5.10.2
    Octavio

  • Month End Closing Procedures in Rep Mfg for PP

    Hi..All
    wat are all the steps involved in month end closing procedure in Rep. Mfg for PP module....??
    plz guide me in this regard.
    with regard,
    LN

    Hi,
    From PP side nothing is required.
    The month end activities are the responsibility of CO people.
    Unlike Production Orders, no need of closing of Pl. orders or some thing like that..
    All the month end activities are related to the PCC.
    Hope this clarifies..
    Regards,
    Siva

  • Issues with Month-end closing

    All SAP FI Gurus,
    What are the typical issues one can run into when doing Month-end closing activities. Any good input would be rewarded with points promptly.
    -- Sameer

    1. Inter company reconciliation issues.
    2. Reconciliation btw FI and CO.
    These are few i can think of.
    Vishal.

  • Project Accounting Month end Closing Process

    Dear Experts,
    Any one can help me by explaining Project Accounting Month End Closing Process
    Thanks & Regards
    Bharath

    Bharath
    1. Clear all the transactions from Interface tables
    2. Import them
    3. Run all the Expenditures (PRC, Interface processes) make sure none of the expenditures are not accounted
    4. Run Borrow and Lent process if any, Transfer to GL
    5. Run Revenue Process, make sure revenue is generated, accounted
    6. Review the revenue draft versions created, make sure all revenue draft versions are released
    7. INterface revenue to GL, then later Tie back process
    8. Run the Invoicing process
    9. Make sure to Approve, release all the Invoices in draft version
    10. Interface to AR ( ensure that none of the records are in error)
    11. Auto Invoice Import in AR
    12. Tieback process in PA
    13. run Exc: Transaction Exception details by GL Period/ PA period , Exc: Transaction Exception summary by GL Period/ PA Period
    14. Make sure the report output on step 13 are blank, if yes try to clear all the transactions and re run the reports
    15. Now try closing the period
    Thanks
    Krishna

  • How to ? - Month end closing

    Dear All,
    I need to conduct month end closing. My financial periods are defined as months.
    What are the steps required to conduct month end closing in B1 ? Is the period closing tool used for this purpose (i am double minded at the moment if it is so...)
    Please advice.
    CHeers
    Gautam

    Hi ,
    The concept of period end closing is to avoid the confusion  and consistency .
    Allow me to explain
    Once the period is closed ,
    1.Users cannot post into the period.
    (That means accountant wil know that the  number they printed has not been influenced by another user data entry
    that will help them to maintain correct data by month )
    2.What is the purpose of closing by month
    It will give you an idea how organisation is doing by monthly basis .
    Lets say if you donot close period , user can enter the transaction in open period.that means you will never be sure and you have to check everyday if somebody post an transaction in earlier period than running period .
    I hope that will help

  • Month end closing - production order status

    Hello,
    I am requesting the information, can I  carry  the month end closing and account for only production orders having the TECO system status rather than considering production orders with the DLV status.
    Where in SPRO these parameters are being adjusted .
    Thanks and Regards
    Artur

    Hi,
    For settlement, the Order Status Should be TECO and/or DLV.
    If it is not TECO also, with DLV status syetm will consider the Order for Settlement.
    With BS22 (Maintain System Statuses) you can handle the Situation..
    Travel to I0045 - TECO- Double Click on that.
    Please refer this link also
    [Link|Re: scrap]
    Hope this clarifies..
    Regards,
    R.Brahmankar
    Reward if useful.

  • Month end closing procedures

    hi sap gurus
    can anybody give me the list of month end closing procedures with T.Codes
    thank you

    Hi
    Month-End Closing: Checklist
    Assets
    Fixed Assets
    -Execute the depreciation run  (SAP FI-AA)
    Current Assets
    Inventories
    -GR/IR clearing account – clarify any differences and correct them if necessary (SAP LO-MM)
    -Clear the GR/IR clearing account (SAP FI)
    Prerequisite: Accounts have already been maintained by (SAP LO-MM)
    Period closing program (SAP LO-MM)
    -Settle the work in process (SAP FI-CO)
    -Post the reconciliation ledger (SAP FI-CO)
    Receivables and Other Asset Items
    -Check whether all the billing documents have been posted (SAP LO-SD)
    -Valuate the foreign currency for the open items (SAP FI), see also Payables
    -Valuate the foreign currency for the balances (SAP FI + SAP FI-TR)
    Accruals and Deferrals
    -Post accruals/deferrals (SAP FI-TR + SAP FI)
    Liabilities and Owner’s Equity
    Accruals
    Payables
    -Payroll accounting (SAP HR)
    -Valuate the foreign currency  open items (SAP FI), see also Receivables
    -Valuate the foreign currency  G/L balances (SAP FI)
    Accruals and Deferrals
    -Post accruals/deferrals (SAP FI)
    Miscellaneous:
    Additional Tasks (SAP FI)
    -Post accruals/deferrals (SAP FI)
    -Check whether the accrual/deferral documents have to be reversed
    -Carry out recurring entries and update the batch input session (SAP FI)
    -Reconcile cost of sales accounting/period accounting/profit center ledger (SAP FI/SAP FI-CO)
    -Close the posting period (SAP FI)
    -Run the reconciliation program (SAPF190)
    This program checks the documents and transaction figures in the R/3 System. You can only execute this run if you do not intend to carry out any postings for the period, otherwise reconciliation differences will occur. You can schedule the job to run in the background.
    Printing Reports and Notifications:
    -Financial Statements (Balance sheet and P&L account)
    -Advance return for tax on sales and purchases (VAT)
    -EC sales list (quarterly)
    -INTRASTAT declarations (SAP LO-MM)
    -Account balances (SAP FI)
    -Journals (SAP FI)
    Internal Closing (SAP FI-CO)
    Internal order and project-related tasks:
    -Transfer postings, surcharges, project interest calculation, settlement
    Product and production-related tasks:
    -Release a standard cost estimate, perform inventory costing, transfer postings, surcharges
    Variance calculation, results analysis, and settlement
    Cost center-related tasks:
    -Transfer posting, distribution, assessment, activity allocation, transfer key figures, cost center variance, price calculation
    Results-related tasks
    -Evaluate actual postings, transfer external data, distribution, assessment, transfer balance sheet items to Profit Centre Accounting (PCA).
    assign points if useful

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