Posting to Different Profit Centers with different g/l s, condition wise

Dear Experts,
I am fasing a posting issue in contract.
I have different conditions in contract,and depends on the condition,flow type ,A/c symbol , I have different g/l for each condition.
At Contract level (General Data screen) I am giving one profit Centre(XXX).while posting , all the conditions are hitting at the same profit centre(XXX) only, instead of hitting the relevant profit centers which are mentioned at Condition G/l level.
Some times it is hitting at the correct G/L, but profit center showing the same one(XXX) which mentioned at header level.
My requiremnt is to hit the corresponding profit centers & G/L s only.
Please help me to fix this issue.
Thanks in advance,
Regards
Eswar

Hi Deepak,
thank you for your explanation. But did you really manage to get 2 different profit centers in one contract at the same time?
I checked it in my system. It is possible, of course, to change the profit center, but this change is then valid for all conditions of the contract.
- The profit center is changeable only in the standard term for organisational assignment.
- If an additional organisational term is created the profit center field is greyed out.
- When the profit center is changed in the standard organisational assignment term this affects all conditions.
This is the actual standard behaviour.
Example:
Create a new contract:
organizational assignment standard: profit center A
organizational assignment 10 (deviating): profit center B    <<< should never be possible, because the field profit center is greyed out
I am wondering how you managed to get his though and waiting for your remarks.
Regards, Franz

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