Profit center group wise Asset report

Hi
My client wants to take Fixed Asset report according to Profit Center groups for more efficient reporting.
Please tell me How to take this report in ECC6.
Your kind help will be appriciated.
Thanks & Regards
Kishore

use GR55 T.code and give profit center group and balance sheet accounts and execute.

Similar Messages

  • Profit center group wise balance sheet and trading account report req

    Hi.
    We are using Profit ceter accounting for one of our clients.its ECC 6.0 therefore New GL is activated. FSV is not configured.
    Now I want to get the reports - Profit center group wise balance sheet and trading a/c.
    Can anyone help me in this regard.
    Thanks in advance.
    Regards,
    Padmavathi

    Hi Padma
    the std reports S_PL0_***** serve the purpose... You can browse SAP easy access menu under FI
    you can input PC or a group of PC as additional selection criteria
    Ajay M

  • Profit Center Groups Wise Report

    Hi Team,
    Is it possible to have GL Balance, Vendor and customer Balances on Profit Center Group Wise on basis of Plant to which few more plants are assigned.
    For Example:
    Company code is 1000
    Under Co. code 6 Plants are present ie; 2000, 3000, 4000, 5000,6000, 7000
    3000 and 4000 Plants reporting to 2000 plant 6000,7000 plants are reportting to 5000 plant
    for ex geographically you can imagine we have one comany code and uder that two main reporting centers are exists like south and north.
    For every plant we have 10  profit centers. To get the plant wise P&L and B/S we created  profit center groups and we are getting the reports in controlling but client require GL balances vendor balances Customer balances in FI on profit center group wise. (Both vendors balance FK01 & XK01, Customer balance FD01,XD01,  GL Account Balance of 2000,3000,4000 all combined)
    so i would like to know if we want FI reports like plant shall we create group profitcenter or we have some other option because p group wise  GL balnces customer balnces vendor balnces is must requyired for the client.
    Thanks,
    Madhu

    Hi
    You can check with below mentioned reports
    S_ALR_87013326 - Profit Center Group: Plan/Actual/Variance
    S_ALR_87013327 - Profit Center Comparison: Plan/Actual/Variance
    S_ALR_87013330 - Profit Center Group: Plan/Plan/Actual Versions
    S_ALR_87013332 - Profit Center Group: Current Period/Aggregated/Year
    S_ALR_87013334 - Profit Center Group: Compare Actual Quarters over 2 Years
    S_ALR_87013336 - Profit Center Group: Balance Sheet Accounts Plan/Actual/Variance
    S_ALR_87013337 - Profit Center Group: Key Figures
    S_ALR_87013339 - Profit Center Comparison: Return on Investment
    S_ALR_87009712 - Profit Center List: Plan/Actual
    S_ALR_87013340 - Profit Center Group: Plan/Actual/Variance
    S_ALR_87009726 - Profit Center Group: Plan/Actual/Variance by Origin
    S_ALR_87009734 - Profit Center Group: Plan/Plan/Variance
    S_ALR_87009717 - Profit Center Group: Quarterly Comparison of Actual Data
    S_ALR_87013342 - Profit Center: Statistical Key Figures
    Regards
    Praveen PC

  • Profit center and profit center group wise profit and loss account

    Hi
    My name is swetha i have one doubt in ecc 6 version.   i need profit & loss account profit center and profit center group wise is it available in sap ecc 6 . Could u please details such kind of informatiion how we will get the p&l report  in sap profit center group and profit center with transaction code.
    Regards
    Swetha

    Hi
    Please use report
    S_ALR_87009712 - Profit Center List: Plan/Actual
    Here you can enter the Profit Center Group for which you need the P&L .
    Also create a account group which should include all your PL accounts and use the same in the selection of the report.
    There are other reports you can try on the same concept.
    S_ALR_87009712 - Profit Center List: Plan/Actual
    S_ALR_87009726 - Profit Center Group: Plan/Actual/Variance by Origin
    S_ALR_87009734 - Profit Center Group: Plan/Plan/Variance
    S_ALR_87009717 - Profit Center Group: Quarterly Comparison of Actual Data
    Thanks

  • Profit center group wise

    my client requirment is to view the profit center group wise balance sheet  .please suggest me how to configu  with report writer

    Hi Pavan,
    If you have NEW GL in place and Document splitting is active, then only you can have full fledged Balance Sheet.
    Esle we can take only some of the balance sheet items like Stocks, Fixed Asses, AP Payables and AR payables to Profit Center or Profit Center group wise.
    Please let me know if you have NEW GL with Document splitting in place or not.
    Best Regards
    Surya

  • Data required on the basis of Profit center group.

    Hi,
        Is there any table or report from where we can find out the values of customer, cusotmer description, city, GL Account, GL description, amount, sales document or sales order on the basis of PROFIT CENTER GROUP.
    Means i need the above details on the basis of  profit center group.
    Can anybody suggest on this
    Regards,
    Shree.

    Hi:
    Using this report, you can display according to profit center wise, not as profit center group wise.
    All the details are displayed accordling according to your requirement.
    Select the screen layout and select the fields you required.
    The Standard report is
    FBL5N - Display/Change Line Items
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Profit center group number on the report painter report.

    Hi,
    We have a client requirement where we have to develop Profit center by Functional Area report by using report painter report functionality, however we are able to bring profit center group description on to the report as per the requirement, but not able to get profit center group number displayed on the report.
    Can anyone please advice me if we can get the Profit center group number displayed on the report in Report painter report. Else let me know if we can get the requirement met by an ABAPER.

    Hi.
    First of all, through transaction GS01 create a set ID for profit centers.
    Give table GLPCT, let the set type be the default (basic set) and give field name RPRCTR. Then define the range of profit centers you want. If you want all the profit centers give * in the "from value field".
    Then create a variable through transaction GS11. Give table and field as above, choose variable type set and at the default set field choose the set you created.
    Finally, at report painter go to Edit/General Data Selection and select profit center.
    Check both flags (for entering sets and variables) and give at the form field the variable you've made.
    Now the progit center group will be available in the selection screen with default value the set you've made.
    Regards

  • Line item actuals report for Profit center group

    I am looking for a Line Item Actuals report for a Profit Center Group  on the lines of KSB 1 report for Cost center /groups.
    I tried report "KE5Z but only profit centers can be selected, not profit center groups.
    Any help on this

    Try out the following report
    S_ALR_87013326 - Profit Center Group: Plan/Actual/Variance
    Call up Actual line items, here we go you would get the profit center group reports in similar lines as KSB1.
    Award points so as to say thanks.
    Regards,
    Suraj

  • Report painter - profit center group

    Hi all,
    How do i make profit center group available in the selection screen before executing the report.
    or.
    I wanted profit center group report, while executing the report how to make profit center group as selection Criteria
    Pls it is urgent.,assured full pint.
    Thanks,
    Sujai C

    Hi.
    First of all, through transaction GS01 create a set ID for profit centers.
    Give table GLPCT, let the set type be the default (basic set) and give field name RPRCTR. Then define the range of profit centers you want. If you want all the profit centers give * in the "from value field".
    Then create a variable through transaction GS11. Give table and field as above, choose variable type set and at the default set field choose the set you created.
    Finally, at report painter go to Edit/General Data Selection and select profit center.
    Check both flags (for entering sets and variables) and give at the form field the variable you've made.
    Now the progit center group will be available in the selection screen with default value the set you've made.
    Regards

  • Report S_ALR_87013336 - Profit Center Group: Balance Sheet

    Hello All
    As an output of this report (S_ALR_87013336 - Profit Center Group: Balance Sheet ) I expect :-
    1. B/S recon accounts which has received PC assignment from 1KEK.
    2. Other B/S accounts (Inventory etc) which received PC assignment while normal goods movement FI posting.
    I am getting the part 1 but not part 2 . I have tried running it with specific account number for Inventory as well but it doesnt come up. Please help
    Also it is showing in the output even the Expense account linked to PC . Not sure if there is check in the report itself to only pick B/S accounts. I know this can be worked around by creating Account Groups but want to know the nature of this report.
    Best Regards

    Hello Ajay
    Nice question and honestly i crossed that as well before, BSEG has separate number of entries for Company code for different profit centre.
    So I have many profit centres on which posting has happened.
    Is it some thing to do with we being on ECC platform and not used NEW GL ? Does SAP reports on this field only when NEW GL is activated ?
    Because not just this report but other GL line item report (S_ALR_87012282 - G/L Line Items, List for Printing ) also shows same balance with / without profit centre.
    What I am planning to do is to copy FSV to PCA account group using KE5B and then run all 1KE* transaction + use PCA report for example (S_ALR_87013326: Profit Center Group: Plan/Actual/Variance) ?Hope it will work , your opinion on this.
    Best Regards

  • How to add the Profit center Group in the PA report KE33.

    Hi Frnds,
    How to add the Profit center Group in the PA report KE33.Iam not able to find PC group in the list to add to the Charateristics already added.

    Hi
    PC group is not available as a Char in COPA..
    if you want to do that, either create a Char Hierarchy in KES3 for the Char Profit Center
    OR
    Create a WW char in KEa5 and write a derivation rule using the method "Enhancement" .. Write ABAP Code in COPA0001 exit
    bt, Ajay M

  • Cost Center Group and Profit center Group

    Hi All,
    The Client is requested to have Cost Center Group in the CO reports. I have trying to analyse how to get Cost center group in the report or Info Provider.
    When i went to T-code KS03 in ECC ( Display Cost Center), i get the Hierarchy Area field called KHINR, which shows the Cost center grp. Upon discussing with Functional person, he has told that this Field lies in Table CSKS (Cost Center Master).
    Now i am thinking to enhance the Cost Center Attribute Dsrc. with this Field KHINR.
    I just want some suggestions or advice on how to bring Cost center grp and Profit center grp
    Thanks and Regards
    Edited by: Raihaan Khan on Dec 12, 2008 3:35 PM

    Hello Simon, Thanks again for all your FICO resolutions.
    Yes i truly agree that Cost Center Grp is CostCenter Hierarchy,, but i dont understand, y the Client has told that he needs the field KHINR in the Cost Center Report too.
    Actually he wants Cost Center Group wise report and NOT Cost center wise report.
    I have thght of extracting the Complete Std Hierarchy to 0COSTCENTER and then in the report , i can give a Cost Center Hierarchy Variable(probably a selection screen), such that the User can select the Nodes he want and then drill down the CostCenter Groups to see his respective Cost center accounting.
    Please opinionate on this
    Thanks

  • Profit Center populated in FBL5N Report

    Dear Friends,
    our client is asking for getting profit center in the customer line items where in the view FBL5n we are not getting the profit center populated in the report, but our business is not satisfied with report and expecting that profit center should populate in the report.
    Can any one suggest any way of doing this.
    Thanks in advance.
    Regards, MD.
    Moderator: Please, search SDN

    Hi Prasana
    As per your issue 1st you have maintain the required entry in filed status group level as well as at posting key level in the General TAB and select Reference specification 1/2 as a require entry after that you have to MAP in the T code OB32 at account type level
    Eg:  D        BSEG-XREF1        Reference key 1
           D        BSEG-XREF2        Reference key 2
          S      BSEG-XREF1           Reference key 1
          S      BSEG-XREF2           Reference key 2
          S      BSEG-XREF3           Reference key 3
    Like above based your requirement you have to maintain
    - Document change rules line item (TC: OB32)
    - Posting key (TC: OB41)
    - Field status groups (SPRO -> FI -> FI Global settings -> Ledgers -> Fields -> Define field status variants)
    - Special field display (SPRO -> FI -> GL Accounting -> Master Data -> GL Accounts -> Line items -> Define Special Fields for Line item display)
    - Doccument change rules header (SPRO -> FI -> FI Global settings -> Document -> Rules for changing documents -> Document change rules, document header)
    After that while you posting  any transaction data you have to enter reference key1 and 2 filed at more data Tab  where you can see  at header level tabs
    Finally  you can able see in the FBL5N report...same case we have faced previously it was resolved
    I hope it will helps you
    Thanks and Regards
    sudharshana vamsi

  • Creation Of new profit center group

    Dear Experts,
    I would like to know who will create profit center group. What is the role of an abaper in creation of profit center group. How much time will it take to create a new profit center group.

    Hi,
    Certainly, not. It's not a major development, but a standard data maintenance. Even for reporting, standard ones, the creation of a new group does not mean additional development, as it will be automatically reflexed in the reports.
    Regards,
    Eli

  • Vendor & Customer Balance On Profit Center Group

    Hi experts,
    I have a client Requirement.
    They need to display Vendor & Customer On Profit Center Group Level.
    Also Customer & Vendor Balance On  Same Level.
    Is it possible in classic G/l or i have to implement new g/l?
    any report program or t-code for display ?
    Please give any input.
    Cheers.

    Dear Friend,
    You may enter t-code FBL1N and FBL5N, vendor and customer repectively, and fetch document number. Go to t-cde FBL3N and hit Shift + F4 for dinamic selections. Paste BELNR document number in he field and execute F8.
    Inside list you can display Profit Center Column by Ctrl+F8.
    This is a way you have a report with this requirements, however to have a report with more practical and efficiecy you should develop a Report Writer or an ABAP development. Hope that helps.
    Regards

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