PRA ACCOUNT KEY

Dear all,
Can anybody tell me when PRA account key triggered by the system?I mean in which scenarios PRA has been trigger?
Thanks & Regards
Dipayan Bose

Hi,
Check link for triggering of  key PRA
PRD - PRA transaction Key
Regards,
Biju K

Similar Messages

  • Account grouping for account key PRD

    Hello Gurus,
    Is it possible to add new account grouping or modifier ( standard SAP provides Blank, PRA,PRF) to account key for Price difference account  PRD in  OBYC (automatic account determination) transaction.
    The requirement is we are using PO condition type for freight and surcharge which is to be paid to a different vendor . In purchasing pricing procedure condition types can be mapped to freight and surchage account keys, in turn mapped to different accounts in OBYC
    In the case of invoicing if  difference in freight and surchage value occurs, system post both balance to PRD account through account modifier blank.So its difficult to identify what caused the account price difference.
    If we can add new account grouping to how to attach to the invoice verification procedure?
    Any help is appreciated
    regards
    Megha

    Hi,
    Group Modifier Key which has a different meaning depending on the procedure. It is used   to differentiate account determination. The key's meaning is predefined in the SAP system and cannot be changed.                               
    For offsetting entries for inventory postings, you enter the key which 
    is assigned to the movement type and posting string.                   
    So the meaning here is you can define your own keys but it should be assigned to the Movement type and posting string which is very difficult as these two affects all types of businesses.
    Thanks
    Krishna.

  • Accrul and Account key in Condition

    Hi Experts,
    I have a specific Requirement, I have created a condition thru M/06 and attached to schema thru M/08. The problem is whenever we use this condition we want that finance entry should be like below mentioned.
    SUBCONT PROCESSING CHARGES DEBIT AND GR/IR CREDIT.
    What accrul and account key I should use in the condition.
    Full Points for helping answer.
    Regards
    GR

    Dear Andra,
    Thanks for the answer, actually in our scenario, when we sent material for subcontracting (suppose plating) vendor charges Sales Tax on 60% Value and Job Work Rate for 40% value.
    (Example Say vendor charges vat / cst on inr 6/- and No Tax or service Tax on Rs 4/- if total agreed price with the vendor is Rs 10/-). Now we have thought to maintain 6/- as basic price in subcontracing info with tax code and Rs 4/- as other condition with out any tax. Now when we have made condition and incorporate in the info. But it is hitting freight clearing/ freight inward account as accrul and account key is made for freight etc.
    Now If you say condition can not be made for GR/IR CR and Sub Proc charges DR, then in what way I should pass the vendor invoice thru MIRO. We don't want to post two miro for one invoice.
    Please help me.
    Regards
    GR

  • How to create a account key for application type M ?

    Hi Guys,
    How to create a account key for application type M ? and link the same with
    Gl account.
    thanks.

    Hi
    Please create the account keys or transaction keys in
    SPRO-> IMG-> MM-> Purchasing-> Conditions-> Define Price Determination Process-> Define Transaction/Event Keys
    Thanks & Regards
    Kishore

  • Posting rules exist for account key

    Hi ,
    I got the message while creating PO AND WHEN I try to enter Tax code and Tax Jurisdiction i am getting the following error message :
    No posting rules exist for account key
    Message no. FF714
    Diagnosis
    No posting rules have been defined for the account key in the tax table in table T007B.
    Procedure
    Change the tax table, enter an account key already defined for the transaction in question or define the posting rules for a new account key in table T007B.
    can any one give me solution to solve this issue !!!
    Thanks & Regards,
    senthil.

    Hi Senthil
    Based on your explanation I can understand that the Configuration settings for Automatic Account Determination is not done perfectly for the Account Ket vs GL Account. Do cneck this process carefully because here we define the posting rule, posting keys for the determined account key and later assign the same to the GL Account.
    regards
    Murali Kanth Natti

  • Tax code - Account key

    Hi all,
    Each tax code determines one account key. Each account key determine one GL account, right ? Could I define one tax code which can post to many GL accounts ?
    Thank you very much & regards,
    Sylvecast.

    Dear all,
    Thanks for your reply. But what I mean is: Could I assign <b>more than one GL Tax accounts to one tax code</b>.
    By exemple: I have a tax code whose rate is 10%. But there are several cases i post the tax amount to a GL tax account, another case i post this amount to another one. So, i need create two tax codes which have the same tax rate and assign them to 2 tax account depend on my scenario OR <b>just create one tax code and assign it to 2 GL Tax account</b> ?
    Thank you very much,
    Best regards,
    Sylvecast.

  • No Account key in pricing procedure

    Dear All
    I have Free goods item order. In the pricing procedure. There is no Account key mentioned in any of the condition type. This pricing procedure was created long time back, don't know when and by whom.
    Now there is need to create retrun order for Free goods item.
    Now when I am trying create Return order using same pricing procedure, it has asking me G/L accounts while saving sales return order. I have checked all the setting. Pricing for my item category has been set as B - 100% discount. I have copied item category used in the Free goods item order and ticked return in new item category. When I am trying to create retrun order using same pricing procedure.  It is asking for G/L Account while saving the return order. when I check account assignmen. It says account key missing.
    I am not able to understand, how then in the Free goods item order,  it does not prompt for account key.
    Can anybody save me. it si urgent.
    Regards
    Saurabh Gothivrekar

    Hi
    I got answer to my query. YOu need to specify the bill type while defining sales document type. This bill type should not have account assignment mentioned in it.
    I changed the bill type, which does not have Account assignment procedure attached to it.
    It has solved my problem

  • Creation of new account key

    Hi,
    For returnable packaging, I have created Z condition type. As per client requirement, I have created new ACCOUNT KEY
    (TRANSACTION/EVENT KEY), & assinged to this condition type in calculation schema. But system is not picking account, which
    is maintined in this newly created account key ( I have copied this account key from std.) What would be teh problem?
    Please any one can guide me
    Regards,

    Thank for your reply,
    We have used following posting keys,
    40- Debit
    50-credit.
    But still system is not picking respective account. Is there any other setting need to be do in system?
    Regards,

  • Accounting Key & Accruals Key in Calculation Schema (Pricing Procedure)

    Hi Freinds,
                   I have a query regarding use of Accounting Key & accruals key in the Calculation Schema (Pricing Procedure).
    What is the significance of Accounting key & accruals key in the calcuation schema?  Which Accounting  & Accruals keys have to be used for Gross price,Discount,Freight, tax etc in the Calculation schema? Please post your precious threads.
    Thanks & Regards
    Saeed Arif

    hi
    AcyKy - Account Key/ Accrls - Accruals:
    for SD module
    u2022     The values of the Sales Revenues, Sales Deductions, Freight Revenues, Tax Revenues, and Rebate Accruals etc. are going to be posted in the respective G/L accounts in Fi Module.
    u2022     In order to do this we assign account keys/ accruals to the different condition types based on their classification. The classification shown below.
    o     ERB Rebate sales deduct.
    o     ERF Freight revenue
    o     ERL Revenue
    o     ERS Sales deductions
    o     ERU Rebate accruals
    u2022     For Ex.,
    o     For all Price condition types like PR00 etc. we assign ERL - Revenue.
    o     For all Discount condition types like K004, K005 etc. we assign ERS - Sales Deductions.
    o     For all Freight condition types KF00 etc. we assign ERF - Freight Revenues.
    o     For all Rebates condition types BO01 to BO05 we assign in Account key ERB - Rebates Sales deductions and for Accruals ERU - Rebate Accruals.
    u2022     This account keys and accruals are in turn assigned to respective G/L accounts. So the system posts respective values in respective G/L accounts in Fi-Co Module.
    u2022     This also one of the areas of SD - Fi Integration. SD consultants assign the account keys and Fi Consultants assign the respective G/L accounts in T.Code:VKOA.
    Similarly for MM Module
    Account keys are EIN, FR1, FR2, FR3, FRE, etc...
    And in OBYC, we do necessary account determination for the same.
    For e.g. Freight Posting in GR
    Condition type FRA1, Accrual FR1 and in OBYC, assign Freight Clearing A/c to FR1
    During GR;
    Stock Account - Dr - 110 INR
    GR/IR Clearing A/c - Cr - 100 INR
    Freight Clearing A/c - Cr - 10 INR
    transaction event key is the Key that identifies different types of G/L account.
    The account key enables the system to post amounts to certain types of
    revenue account. For example, the system can post freight charges
    (generated by the freight pricing condition) to the relevant freight
    revenue account.
    use
    To enable the system to find the relevant account for provisions (for
    accrued delivery costs or miscellaneous provisions, for example), you
    must assign a transaction/event (internal processing) key to each
    condition type that is relevant to provisions in the step Define
    Calculation Schema.
    if u search on SDN or GOOGLE u will get many threads for this
    hope it helps
    regards
    kunal

  • Account determination error for Account key

    Hi Everyone,
    I have maintain one condition manual pricing e.g ZMRG where i m manually putting the margin of sales price
    this condition is only for calculation and i dont want to post it to account. But at the time of bill it is giving me account determination error. In VF02 i check it is showing error due to not assigning the account key for that condition but here i dont want to post that condition to accounts.
    Please suggest me the best possible way.
    Regards
    Shambhu

    Hi,
    You said that the condition is manual.
    Now you saying:
    i maintained the condition for it instead of only text in PP
    Have you got the solution? Then please update.
    Thanks,
    Ravi

  • GL Account Key displays Chart of accounts concatenated with GL Account

    Hi,
    When we pull the GL Account Key object into a WEBI report, the Chart of Account value is concatenating with the GL Account number like ABDA/253616. In Bex Query, choosing the Chart of accounts and GL Account in the Analyser gives only the number value of the GL Account 253616.
    How do we resolve this issue.
    Thanks,
    Anu

    Hi,
    We had a similar problem, and we fixed it by using a variable.
    Create a variable (e.g. GL Account) with the following formula:
    =tonumber(replace([L01_GL_ACC_Key];"ABDA/";""))
    where,
    [L01_GL_ACC_Key] = Original Account key with the Chart of Accounts
    "ABDA/" The piece of the account that you want removed
    The formula will convert your account number to a number by replacing the "ABDA/" with a blank (the "" in the formula)
    Note: There is no space between the two quotation marks
    You can now use the variable in your report instead of the original account key.
    Regards,
    Sias

  • Account keys for movement type 201.

    Hi Friends,
            Can anybody tell me, what are the account keys (tran/event keys) we will set for movement type 201. And why we are setting that.
    Kindly resolve my doubt please.
    Regards,
    Prasath

    Hi
    The Transaction Event key set for movement type 201 is WA.
    WA - Goods Issue Document.
    In the account detemination for movemnt type 201 the Account modifier VBR is assigned for determining the offsetting account for consumption posting
    Thanks & Regards
    Kishore

  • No entry for account key 1002 in HRA transaction key in Account assignment

    Dear sap-gurus,
    the following problem occured. When posting a document (s-modelling), system displayed an error that there is no entry for account key 1002 in HRA transcation key in SPRO Account assignment.
    The document's size is very big, it considers many lime items in it.  May be this happened because of this?
    In F1 for SPRO Account assignment we have:
    In this step, you assign a document split account to an account key. This is a clearing acount (Transaction HRA) in Accounting.
    For various reasons, payroll data that is formatted for posting to accounting must be split into several documents per posting run. In Human Resources (HR), key 1001 is used for the breakdown of documents. A breakdown occurs if:
    There are several company codes
    There are different posting dates
    There are postings to G/L accounts, customer accounts, vendor accounts
    This is specified in the step Create Posting Variants (for example, document breakdown for expenses and payables)
    The document split account that is stored under the key 1001 is also used to clear the balance within a G/L account document for each business area.
    An additional split may be required depending on the size of the document in Financial Accounting. In this case, the clearing account specified under account key 1002 in transaction HRA, is used as the document split account.
    Further notes
    To avoid problems in current operations, it is advisable to set up a document split account even if a document breakdown is not necessary. In this way, you can avoid having to set up the system at short notice if changes are made to the settings or if there is an increased number of postings, or if cross-company code transactions occur.
    We have an entry 1001 and a clearing account for postings between several company codes. What are we supposed to do? How to avoid this error and post the documents to FI? Please, help!
    Best regards,
    Eldar

    Hello,
    How did you resolve this issue? Any inputs anyone.
    John

  • Freight Purchase order and Account Key

    Hi All,
    I am trying to create Material purchase order with freight conditions.
    I am performing the below steps
    1) Create Material purchase order with vendor, i am manually inserting the price for freight condition type and inserting a different freight vendor in the Freight conditions.
    2) I have created new account key for freight purchases and inserted the account key against the freight condition type in Pricing procedure
    3) I have added a G/L account for freight account key in OBYC
    4) When i do GR the freight value is reflecting as price difference (PRD), i want this to hit the freight account. I am using Material Ledger type of valuation.
    5) I am unable to do invoice (MIRO) for freight vendor, i get a message saying balance not zero.
    Let me know where i am going wrong, or is there any other setting that i have missed out.
    Awaiting your inputs here.
    Thanks,
    Regards
    Raghavendra

    In order to be able to also choose this freight condition in MIRO, your condition type shall have the cond. category B (delivery costs) in trs M/06.
    Remember also that if you create the PO with reference to some other document (PIR, contract, another PO), then the condition records are copied to the new PO and the customising changes are not read. The same happens if the system automatically copies the conditions from the previous PO even if you haven't specified this explicitly.
    You can see the condition category that is actually assigned to the condition in your PO by selecting this condition and choosing "Condition detail" beneath the table.
    BR
    Raf

  • Account key and Accural G/L account

    Hi,
    For a freight condition we have assigned FRE as the account key and FR1 as the accrual. For the both the keys we have assigned GL accounts.
    FRE-506000ACCT KEY
    FR1 131100ACCRUAL
    Postings:
    1) AFTER GRN - The accural key gets hit
    243000        Material
    131100        GR/IR
    2) INVOICE also the accural key gets hit
    131114        Vendor account
    131100        GR/IR
    When and in which scenario will the account key get hit?
    Secondly, are there any setting required to make sure that the account key GL (506000) gets hit.
    Regards,
    mahesh.

    Dear Mahesh,
    I guess that the GR / IR account is not getting picked from FR1, but is getting picked from GBB – WRX.
    For FR, we need to assign account called “Freight clearing account”. The entries to this account will flow, when the Purchase order has a freight condition and these FRE and FR1 keys are attached to that freight condition.
    Assign points if useful
    Regards,
    Venkatesh

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