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

Similar Messages

  • 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

  • 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 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

  • Configration steps for business area wise balance sheet and p&L accounts

    dear all
    sinario is two business areas say A and B for diffternt two products in one company code which is already running with different business .
    please any one tell me what are the configrations for business area wise balance sheet and profit and loss account.
    what are the steps required and for configration and when enduser come into picture  acceptance test is reqired.
    plese inform me which are the steps required to test enduser test for business area wise balance sheet and profit and loss account
    regards
    babu

    Hello
    No seperate screen available for BA set up.
    Follow the IMG, enterprsie structure, define and assign set ups.
    Assign to SO / Plant /
    Create cost elements and assign cost centers for each business areas.
    Create clearing accounts for readjustments in BS and PL, and execute BA pl and bs adjustment programs for taxes, GRIR and some accounts, where BA is not populated.
    Now you would get seperate BS for each BA
    Reg
    assign points if useful
    dear all
    sinario is two business areas say A and B for diffternt two products in one company code which is already running with different business .
    please any one tell me what are the configrations for business area wise balance sheet and profit and loss account.
    what are the steps required and for configration and when enduser come into picture acceptance test is reqired.
    plese inform me which are the steps required to test enduser test for business area wise balance sheet and profit and loss account
    regards
    babu

  • Profit center charge to balance sheet account

    Hi SAP experts,
    I would like to seeking for professional advice on is below business process require to use MM module?
    Currently my customer is using MB1B (material transfer) to make an posting to balance sheet account (100) and in MB1B screen there was a column to assign profit center (P1).
    So the accounting document will be DR 100(g/l) & CR 110(g/l) and charge to P1(profit center)
    When customer go to view on KE80, will show the amount transfer charge to cost element 400
    When i go to view line item display for g/l 100, i didn't see got any profit center is assign to as i know that balance sheet account not require to charge cost object (customer is not in SAP 5.0)
    Now i would like to ask is there any possible, i can post a profit center(P1) to balance sheet account(100) and charge to other cost element (400) without using MB1B? only use manual general ledger accounting posting (FB01)
    Note: customer is not in ECC6
    Thanks
    regards,
    ng chong chuan

    Hi,
    I'm not an expert in Cost accounting at all. from my own experience I know, that some of P&L accounts might be relevant to Cost accounting and in this case you need to make appropriate settings in the following node for Treasury: Treasury and Risk Management -> Transaction Manager -> General Settings -> Accounting -> Link to Other Accounting Components -> Allocate Additional Account Assignments to Account Assignment References.
    I guess in your case it is only Interest Income account relevant for Cost center, you can check it by clicking on field Reference key in standard report TPM20 and you should be referred to window with several documents, including Cost accounting document. As far as I remember, Cost accounting document might consist of just one line item.
    hope this will help you.
    Rgds,
    Renatas

  • Profit is different in Balance sheet & in P& L Report?

    Hi
    I have got report from My client like Profit is different in Balance sheet & in P&l report? for same period
    what will be the cause?

    Hi
    Check whether the date are same in Both reports in selection Criteria. Also update the Financial report templat for Both BL & P&L. then check?
    Also check the selection criteria anything u have selected in Expanded mode... try to get without any selection, just give only date field same in both reports.
    Giri

  • Urgent......BALANCE SHEET AND P&L REPORT...........urgent

    Hi experts,
    I have to create the balance sheet report,for this i have to use datasource 0FI_GL_10 according to SAP but there is no data coming from R3 to this datasource , hence i am using 0FI_GL_6 ,for GL transaction data.
      for GL line item data i am using 0FI_GL_4.
       Is it possible to create Balance sheet and P&L reports using these datasources?
      <b>How can i create Balance sheet and P&L report based on these datasources.</b>
    In Business Content there are virtual cubes 0FIGL_VC1 and 0FIGL_VC2 how can i use these cubes as i am not using standard basic cubes 0FIGL_C10 AND 0FIGL_C01 and i am also not using the datasource 0FI_GL_10.
    I need this very urgently to get this report.
    regrds.
    Message was edited by:
            man man

    http://help.sap.com/saphelp_nw04/helpdata/en/57/dd153c4eb5d82ce10000000a114084/frameset.htm
    Steps-1)Load 0FI_GL_C10 cube from R/3
    2)R-Click cube 0FI_GL_R10 and select option "Activate direct access" since its remote cube as otherwise you wont be able to receive data in to this cube
    After loading 0FIGL_C10 goto 0FI_GL_V11 to check if you see data in this cube and then start building queries .
    No physical loading of data in 0FI_GL_R10 and 0FI_GL_V11 cube as its Remote cube and Virtual cube.
    I followed these steps. According to your datasources try following these steps and make sure you create a Virtual cube. The above link shows the standard query for Balance P&L. I have done for 0FI_GL_1 datasource. For this infosource i created standard cube and virtual cube. I guess in virtual cube you should get the data 0GL_ACCOUNT,  Key figues 0VAL_FLOW & 0VAL_STOCK . Please go through the below link for more information regarding these objects.
    Re: 0GLACCEXT vs 0GL_ACCOUNT - How it is USED?
    Regards
    Naga

  • Differenciating between Balance Sheet and P&L Reports

    Hi,
    From a SAP BI perspective, is it a right way to differenciate between Balance Sheet and P&L Reports based on Account Type ( IS- for P&L Reporting and BS- for balance sheet reporting).
    Thanks
    Rashmi.

    If your General Ledger accounts, for the Chart of Accounts in use in your R3/ECC source environment, have the account type populated for each account as BS for Balance Sheet accounts and IS for Income Statement (P&L) accounts, then that should work for separating accounts for Balance Sheet and P&L reporting.
    However, if this doesn't always hold true, another way you can do this is by using the XBILK (Indicator: Account is a balance sheet account?) field on SKA1 where X denotes a Balance Sheet account and blank denotes an Income Statement account.
    Either way, you should validate with your FI Functional Consultant or FI business person to determine that your thought or the alternative I provided is correct. I say this because there may be reconciliation accounts that will are identified as Income Statement accounts, but the business doesn't want them to be reported (and in most cases they aren't reported - at least in my experiences).

  • Profit Center wise balance sheet and Profit and Loss account

    Hi Experts,
    I will explain my scenario
    The is cleint having Head Office for handling procurement of goods for all branches(8) and the physical delivery happens for goods at the requested branch and GR and IR also makin at the branch level.
    And we are treated each branch as profit center apart from HO(profit center).But the vendor payment should be happen from HO(prfoit center) so and they are not using automatic payment programme.
    My question is
    1.While doing the vendor (Branch)payment from Cash/Bank GL (HO) how the balances will be tallied ?
    2.If I am using the document splitting and zero balance document clearing will it tally at the profit center level ?
    3.At the period end if I will do the 1KEK T Code to transfer the payables to the profit center which profit center system will take for posting ?
    Please advice me in this and I will give good points with correct answer.

    Hi Edukondalu Garu,
    Please find answers to your questions below:
    1.While doing the vendor (Branch)payment from Cash/Bank GL (HO) how the balances will be tallied ?
    Answer: The Profit Center balances will get automatically tallied due to document splitting and Zero balance account being defined properly.  The automatically identifies it
    2.If I am using the document splitting and zero balance document clearing will it tally at the profit center level ? 
    Answer: Yes that is the main criteria to get full fledged Balance sheet and P&L account by Profit Center
    3.At the period end if I will do the 1KEK T Code to transfer the payables to the profit center which profit center system will take for posting ?
    Anwer: With Document Splitting, you don't have to do the period end transaction in PC to transfer the account payables, accouts receivables and fixed assets.  The transfer is online and real time basis.
    I hope i answered all your questions.
    Please feel free to get in touch with me if you need futher clarifications
    Best Regards
    Surya

  • 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.

  • Profit & Loss / Balance Sheet and Project performance Report

    Hello,
    I am in mining service industry and looking for two basic reports as under, can you please guide me through and provide transactions.
    1)Profit & Loss/ Balance Sheet
    2)Project Performance report
    Your prompt response will be much more appreciated.
    Thanks,
    San

    Hi,
    use this as shown below
    menu path-
    Accounting ® Financial Accounting ® Special Purpose Ledger ® Tools ® Report Painter ® Report Writer ® Report Group ® Display
    tcode- GR53, GR55
    Enter report group SL01.
    Choose  Execute.
    Enter report group SL01 again, and then choose .
    Enter the following data: current year, period 01-12, company code,ledger and plan version
    kind regards
    Arman
    SAP FICO

  • Business Area wise Balance sheet and P&L display

    Hello SAP Gurus
    Can anybody tell me how to configure to view, balance sheet and Profit & Loss  as per business area?
    Regards,
    Abhijit Walke

    It is a misconception that Business Areas are not recommended by SAP.
    Business Areas and Profit Centres serve two different purposes and Profit Centres are NOT a replacement for BAs nor vice-versa.
    We have just implemented ECC 6.0 using Business Areas and there was no indication at any stage neither from SAP nor its consultants that BAs will not be supported. There is no SAP written document that these will not be supported and if there is, I would be interested to look at it.
    As for config, you may want to follow this link for details:
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/5f/1fb0274aee11d189740000e8322d00/frameset.htm
    Cheers.

  • Plant wise Balance Sheet and Profit and Loss report generation

    Hi,
    Can any one please give me the configuration steps for generating plant wise P&L stat and B/S.
    The client has a single  company code with 5 plants and wants to generate the statements  plant wise.
    Thank u,
    Regards,
    SP.

    Hi,
    I SAP we can draw the B/S and P&L on company code and Business area. and from ECC6.0 on profit center.
    We can not draw B/S and P&L on Plant. So is your r  on Ecc 6.0 and above define profit center for each plant and then u can draw B/S and P&L on plant.
    And if below Ecc 5.0 define business for each plant and u can have B/S and P&L .
    Hope this is clear , assign the points.
    With regards
    Krishna Singareddy

  • Profit center update for Balance sheet GL A/C

    Hello,
    I am working on ECC 6.0 version. And document splitting is active. When we do GR in the line item level profit cent is updated but the profit center document is not posted. The profit center is picking from my Material master.
    May i know what configuration is required to update profit center for B/S Items.
    Regards,
    SK

    Dear SK,
                Regarding to balance sheet accounts (Stock account and WIP), profit center will be updated automatically from the material master. Profit center document will be generated whenever GR happened.I think already configuration has been done ur organisation for PCA. once again you check all the configuration settings in T.code 1KE1 and no ranges in GB02.
    Regards
    Jay

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