Profit center error on VF44(rev reog) & MIGO
HI All, I am facing a problem in profit center posting, when billing a contract (VF01, VF44) and MIGO
Contract Scenario,
I am Creating Contract In CRM and replicating it as a contract in ECC to performe Billing(VF01) and Revenue recog(Vf44) the contract created is replicating to ECC with Internal order as a real account assignment object on the contract , when we are billing / revenue recog the dummy profit center is getting populated inthe accounting entries , the senario is explained as below
I have replicated contract with 4 line items, with different profit centers (Say P1, P2, P3, P4 and assigned to same real internal order(IO1),as i am using single object controlling and controlling senario at the transaction level) to all the line items ,when ever the line item is Billed(Vf01) or the Revenue recognized on the Contract(Vf44) the Accounting Entries are getting populated with Dummy profit center as the AUFNR u2013 prctr is u201CDummyu201D
I there a way we change the profit center on the accounting document on billing and revenue recognition
Goods receipt:
I am Creating Contract In CRM and line item in the contract which is backlined with the princial will generate a PR in ECC with Account assignment cat "F" When ever a Po with u201CFu201D account assignment is created and GR is done on the Same , Dummy profit center is getting populated in the Accounting entries
I there a way we change the profit center on the accounting documents (derive the profit center from the Cost center _ prctr rather than the AUFNRu2013 PRCTR) and even though the Internal order is assigned to the line item
We are not using the Document Splitting Functionality, I am aware that when ever there is real cost object assignment, profit center will be populated from the cost object only
I require your help very badly , Please guide me .
Thanks
Hi Rajesh,
Do you know how you solved it and can you please share it. I am also looking for a similar solution.
Thanks
Prasad
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Profit Center Error in posting
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Regards,
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When executing J1INPR during a particular period, I am getting the following error in the second screen.
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Regards
Komal
Edited by: Komal on Jul 10, 2009 9:07 AM
Edited by: Komal on Jul 13, 2009 11:30 AMHi Komal,
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Profit center 1500 does not exist in controlling area 0001
Go to:
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1. General Data
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3. Company Code
Also, when you maintain all the data, You just check with Tab: Period of Examination;
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Profit center 2000/1500 does not exist for 08.11.2008
Best Regards,
Amit
Note: This information is just for Knowledge-sake; but i must suggest that you should contact to your FI-Counterpart. Its always better if right person do the job. -
RECON A/C DOES NOT CONTAIN PROFIT CENTER Error
I am posting the doc in *'R3*' Bank receipts-NORTH the entry depiting bank and crediting customer but system giving error this Reconcill G/L A/c does not contain Profit center, But if i posting in RV Billing doc.transfer system accepting I dont know wht is the exact error Plz solve my queries....
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Meenakshi -
Message no GLT2201 Balancing field "Profit Center" error F-30 but OK F-32
Hi Experts,
I am facing a problem following:
The same customer, the same document type (AB), the sam vachour.
By T-code F-32, it works fine, however, by T-code F-30 (and F-04, FB05), system will pop up a error message following:
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Message no. GLT2201
Diagnosis
The field Profit Center marked as balancing is not filled with any value in line item 001, even after document splitting.
System Response
The document cannot be posted.
Procedure
First check your entries.
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Customizing
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F-30: Business Transaction 0000
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One thing made me confused more. i did a testing in additional one sandbox client where the line item 001 was assigned to be dummy profit center. I don't know why the dummy profit center would be assigned.
Do much appreciate you if you could kindly help me out from this problem.
Many thanks in advance!
Regards,
Fei ShiHi
Please check the below mentioned steps for Document splitting
IMG > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Define Document Splitting Characteristics for General Ledger Accounting
suggest you to go through the below mentioned links
Balancing Field "Profit Center" in line item 001 not filled
Balancing field "profit center" in line item 001 not filled
GLT2201 - Balancing field profit center in line item 001 not filled
Balancing field "Profit Center" in line item 001 not filled
F-51: Balancing field "Profit Center" in line item 001 not filled
Balancinf field profit center in line item 001 not filled
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Hi recently we reorganized the Profit center accounting and Cost center accounting by deleting the hierarchys (we have Go Live in 4 months), previously our Profi centers/Cost centers are with 5 digits and now we made them as 6 digits, and we have New GL active in the system so we used OKE2 and OKC4 for deletion in Quality system.but now when we are trying to upload the Activity rates the system giving message as follows,
Messgae :FAGL_ORG_UNITS001
Profit center 42445 not found in controlling area 4001
it is happening to all the cost center values in KP26 we didn't understand as we already reorganized both and now it is looking for previous Profit centers and what is the Link b/w Profit centers and KP26?
Thank you ,
Sandhya,,,Note 906970 - Profit center check although PCA not active
In a decentralized HR system, you use Controlling objects to which a profit center is assigned in the master record (for example, cost center data was transferred by ALE). When you post to these Controlling objects, an error message appears stating that the profit center is not valid (for example KM026). However, the classic Profit Center Accounting is not active in the controlling area and should not be activated either.
After you implement Note 131557, the error message FAGL_ORG_UNITS001 appears.
Other terms
CEPC, CEPCT
Reason and Prerequisites
The New General Ledger is active in your system and you activate the scenario for profit center and segment.
Solution
This is the intended system response, since the PCA master data should exist if it is maintained in the Controlling objects.
There are two possible solutions:
1. Maintain the master data of the profit centers in the affected system (HR system). You can also create a corresponding transport request using Transaction 0KEQ.
2. In the affected system, implement the modifications set out in the Source Code Corrections. When you do this, the profit center is only checked if classic Profit Center Accounting is active, or the scenario Profit Center is active in the New General Ledger. Only make this change in the system if you definitely do not intend to use Profit Center Accounting.
Firstly, depending on your Support Package status, implement Note 764841 as a prerequisite. Then implement the attached program corrections. -
Landed Cost - BK Profit Center error
Hello,
I am trying to add a landed cost document in the system but it is giving an error that I ''BK-Please enter profit center" I have been using this for a year now and I dont put any profit center. what could have caused this?? PO was raised in July and GRN done in November and am trying to addded landed cost today.
Please help.
I have followed all required procedures to do landed cost.
Thanks,
TitiHello,
No there is none running...... one confusing thing is that if i create everything using today's date its going through the system. Only that transaction is giving me the BK-please enter profit center
Please help,
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Titi
Edited by: TitiKoko on Dec 9, 2010 8:53 AM -
Balancing field "Profit Center" error FB60 - Tax Posting
Hi,
I have a nagging error at below scenario:
Doc Type KR
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Bus Transaction Variant 0001 - Standard
Zero Balance Method - P
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Line item 2 (PK 40) Input Tax $700
Line item 3 (PK 50) Vendor $10,000
Posting simulation in the GL view
Line item 1 (PK 40) Expense against Cost Center $10,000 (Item cat 20000)
Line item 2 (PK 40) Input Tax Profit Center couldn't be derived from base line item 1 $700 (Item Cat 05100)Line item 3 (PK 50) Vendor against Profit Center derived from line item 1 $10,000 (Item Cat 03000)
Line item 4 (PK 40) Zero Balancing Account Profit Center derived from line item 1 $700 (Item Cat 01001)
Line item 5 (PK 50) Zero Balancing Account Profit Center couldn't be derived from line item 1 $700 (Item Cat 01001)
I got the following error message:
(Message no GLT2201) Balancing field "profit center" in line item 003 not filled
What setting is wrong?
Regards,
WHHi Ravi,
It's not an issue with field status, because if I post the same document without tax posting, the derivation works fine. The A/P reconciliation account should not have cost center assignment. My derivation is based on Profit Center.
I managed to post if I tick the "overriding" option at Tax account on "Classify G/L Accounts for Document Splitting"; now the tax account will have item category of 01000 (Balance sheet account).
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Best regards,
WH
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