Profit center in New GL functionlity

HI GURUS,
We are going to implement the new gl functionlity in our client, now the profit center is part of FI previously it was part of co. My question is while creating the profit center in New GL sytem is asking for controlling area but we dont want the co in our client is there any setting for profit center without controlling area,or my configuration is wrong anywhere???
Thanx in advance
regards
dipak

Hi Dipak,
You just activate controlling area. There is no impanct of any changes if you activae controlling area It's just for postings Cost centers and profit center documents
You can use upto Cost center and profit center postings only.
Regards,
Kishore K

Similar Messages

  • Dummy Profit Center in New GL

    Hi,
    we activated New GL with Segment Balancing. The P&L accounts will get the profit Center from the cost objects. We have defined a default segment in the constant for unassigned process, and we only have zero balancing at the segment, and not the profit center. This is a business requirement.
    However, I am not sure how to cover the scenario where there might be no profit center in the cost center master or the material master or any other scenarios. I have tried configuring the default profit center in FAGL3KEH. but when I tested, the document splitting is not working correctly. SAP recommends not using default profit center if document splitting is activated. 
    I wanted to see if dummy PCTR is an option. I have read in the SAP library, but they do not explain clearly about the dummy PCTR. It says activating dummy PCTR is optional, but do not give a good alternative option. They say we can activate balancing by PCTR, but that is not our requirement. Also, if we assign a default PCTR in the non assigned process, it will apply for the balance sheet accounts as well, which we do not want. 
    I am not sure what are the other options. Please suggest if there are any other options. Also SAP does not mention if we activate dummy profit center from the New GL side (not through the classic PCA menu path), does it still activate the Classic PCA tables?
    Please let me know.
    Thanks

    Hi,
    As I have already explained, both the default profit center and configuring the default profit center for non assigned processes does not work for us.
    The default profit center conflicts with document splitting. SAP recommends not to use default PCTR if we do document splitting.
    As far as the constant for non assigned processes goes, we have assigned a default segment here (not a default PCTR), since we are doing only segment balancing (reporting by segment), and also the business wants to be able to pick only the segment for any b/s adjustment postings.
    Also, my earlier question has not been answered. Does activating the dummy profit center from GL side still activate the Classic PCA ledger 8A?
    Thanks

  • Profit center in New GL

    Hi,
    I got good info on Profit center and Doc splitting from the forum archives.
    I have a doubt : If doc splitting with Zero balancing is activated the system takes care to get the BS and PL at profit center.
    1. Is it necessary to clear the balances in Clearing account  posted by system to balance the Dr and Cr to 0?
    2. How to ensure that all my transactions are getting the profit center  a) Automatic postings like PO,SD  B) manual Posting
    3. I think 3KEH is no more useful to map all Balance sheet accounts to Profirt center.
    Assure to assign points
    Thanks, Chitras.

    Hello,
    regarding your third question please have a close look on SAP note 826357, especially part "1.  Set the proposal profit center for additional balance sheet and P&L accounts."
    There is the new transaction FAGL3KEH which had to be developed because SAP needed to get the former 3KEH logic being processed at an earlier stage in the CO-Interface before the Document Split logic is being processed.
    Transaction 3KEH is still necessary but ONLy controls/decides if an account should be posted in PCA. Then the decision WHICH profitcenter is being set as default profitcenter will be processed in FAGL3KEH.
    Regards, Andreas

  • Profit center when new GL activate

    Hi all
    I have activated new GL. What are the changes occure in profit center, when compare to regular one.
    for e.g.  configuration wise, storing master data or transactional data in tables.
    i heard that data store in different/multiple tables when compare to classic profit center
    Regards
    Hari P
    Edited by: Hari Peddi on Jun 24, 2009 11:35 AM

    Hi
    By the activation of New GL accounting, the system activates new table FAGLFLEXT table, where in the transactional data for profit centers also stored. The Normal PC master data tables I think will holds good for the NEW GL as well.
    regards,
    Christian

  • Repost between profit center with new GL

    Hi,
    We had the wrong profit center assigned to one of our cost center. now, we corrected the assignment, but we need to move the posting from the 'wrong' PC to the 'right' PC for previous months.
    Except for a regular journal entry to reclassify between the two profit centers, is there a better way to move or repost the line items?
    Thanks,
    Yoel.

    Hi,
    if you are able to assign (temporarily) the old wrong Profit Center to this cost center:
    1: credit the cost center with old profit center for all the postings to be corrected, debit a CO-object assigned to any other PC (or even dummy PC).
    2: change the PC in the cost center to the new one
    3: credit the temporary used CO-object and debit again the cost center with the new profit center.
    4:post it periodically,  the balance of the intermediate object must be zero for all periods.
    The cost appear on the cost center assigned to the new profit center.
    Sounds painfull...
    Best regards, Christian

  • Profit Center authorization - New GL

    My client is using the new GL for Profit Center reporting and the Profit Center Accounting module is inactive. There is a requirement to restrict profit center manager's reporting access - summary reports (GR55) and line items - to their own profit centers.
    I have tried using the profit center accounting authorization objects - K_PCA and K_PCAR_REP - but neither one seems to restrict the profit center centers reported.
    Can anyone advise me on the correct authorization objects for Profit Center reporting in the New GL?
    Thanks in advance,
    Marc H

    Hi
    Report writer / painter is a mess from an authorisation perspective.
    From previous experience OSS note 107394 should fix this particular problem for New G/L reporting.  If you still have problems work through the notes available when searching OSS for "GR55 AND Authorizations"

  • Re: Report painter - Creation of Profit center report (New GL enabled)

    Hello all,
    I am trying to create profit center report using report painter. I am trying to create formula variable to show the cumulative values for the elements assigned to the profit center. 
    I want to get values for cumulative period ie for eg if i give 12 as period on selection screen i want to get the cumulative value for per 1 + per 2 + per 3+ per 4 + ......... + per12.
    I did the following for getting the cumulative values for period.
    1. created Formula variable ZPER01 with formula '#S006'
    2. created formula variable ZPER02 with formula IF 'ZPER01' > 1 THEN 'ZPER01' + 1 else 17.
    3. IF 'ZPER02' > 1 THEN 'ZPER01' + 'ZPER02' + 1  ELSE 17
    3. continued the creation until ZPER16 with formula IF 'ZPER05' > 1 THEN 'ZPER01' + 'ZPER02' +
    'ZPER03' + 'ZPER04' + 'ZPER05' + 'ZPER06' + 'ZPER07' + 'ZPER08' + 'ZPER09'+ 'ZPER09' + 'ZPER10' + 'ZPER11' + 'ZPER12' + 'ZPER13' + 'ZPER14' + 'ZPER15'+ 1 ELSE 17
    Could you pls help me with your inputs.
    Many thanks.
    Regards,
    Pabbi.

    Hi,
    You can copy your Report Writer or Report Painter reports from Profit Center Accounting to new General Ledger Accounting. This is possible for standard reports as well as your own reports. A corresponding tool supports you in this.
    Prerequisites
    In classic Profit Center Accounting, you have standard reports or your own reports that you want to copy.
    To be able to use the Report Writer reports or the Report Painter reports in new General Ledger Accounting, you need to have assigned the scenario Profit Center Update to at least one ledger in Customizing for Financial Accounting (New).
    http://help.sap.com/erp2005_ehp_03/helpdata/EN/47/1360faad483127e10000000a1553f7/frameset.htm

  • Profit Center in New GL with Document Splitting

    Hi
    As per my understanding, from ECC 5.0 onwards you are forced to use New GL, and we are also planning to use Document splitting as some of the period end closing of profit center accounting are avoided.
    Further I want to add that since document splitting is active, the old profit center tables GLPCA & GLPCT are not updated. The profit center details are updated in FAGLEXT, FAGLEXP & FAGLEXA tables.
    I need clarifications for the following: -
    1. How do I plan for the profit centers Profit Center & Balance sheets
    2. How do I do profit center Plan / Actual Assessments / Distributions
    Kindly clarify.
    Regards,
    Suraj

    I am also facing the same issue. Can anyone please guide how to handle the AUC downpayments  made in the legacy system to SAP?
    The solution I thought of is just create a special GL indicater for AUC downpayments and post the vendor payments in F-48. Please guide is this the complete solution? We are using the Internal Order for AUC with investment measure.

  • Transfer of profit center balances from old profit center to new profit cen

    HI,
    My client wants to deactivate all cost centers and profit centers and create new cost centers and new profit centers for new fiscal year 2009.
    So here my queries are
    1. Putting an end date to the existing cost center and creating the New cost center now itself in the system with effective date as 1st April 09?
        I changed validity period in cost center but it does not accept.
    2. How to restrict postings to profit center from April, 2009 ? even changed validity period and changed as inactive mode in profit center,
        It is allowing postings to profit center.
    3. How the balances need to be transferred to New profit centers? I tried in 9KE0 T.code but in this T.code we can transfer profit center and GL A/C wise
        but here we have around 20 profit centers and 100 above Gls, so it will take so much of time, so kindly suggest me short way.
    4. And When can we transfer balances to New profit centers i.e April 1st or after completions of Audit? because client wants to post pending transactions of 2008 FY
        to old profit centers in April and May months. So in this situation how can i proceed?
    5. For mapping the Assets & Liabilities balances as on 31st Mar 2009 to New profit center the following need to be provided
        A. Profit center wise Trail balance
            ( For this i suggested S_PL0_86000030 t.code) is this correct?
        B. Profit center wise Balances of Subsidiary Ledgers i.e Vendors, Customers & Assets
    6. On which date I can close 2008 FY& open 2009 fiscal year for Assets?
    Please guide and provide me solutions above my queries.
    This would be great help for me, Thanks in advance.
    Thanks
    Supriya

    Hi
    Pls find enclosed the replies
    1.Pls tick all the lock indicators. System would not allow the posting to the cost centers
    2. for the analysis, maintain the lock indicator to the profit center. System would give an error when anybody tries to post to the profit center during the analysis period. please note system would allow posting to the profit center outside the analysis period of lock indicator
    3.You should transfer the balances through LSMW or other mass data transfer tool like BDC or ECATT
    4.I Guess you should finish all your transactions and then do the transfer on a date which is acceptable to the business
    5. The report code S_Pl0_86000030 is correct.
    6. Try the report codes S_ALR_87013343 - Profit Center: Receivables , S_ALR_87013344 - Profit Center: Payables
    Regards
    Sanil Bhandari

  • Profit center in New GL-Revenue Cost Element

    Do we need to make revenue cost elements for the revenue GL Accounts in New GL,since now the profit center would be mandatory itself by document splitting functionality..
    Awaiting response..
    regards,

    Hi
    In New GL as the PC is a part of FI there is no need to create revenue cost elemnts for revenue GL accounts to make the values from these revenue GL accounts to flow to PC.
    Thanks
    Sandy

  • How to use new cost center field, new profit center field, new account field?

    As I create a new change request of adding new GL account, or that of new cost center, or that of new profit center, I normally enter the new GL code GL01, or new cost center CC01 or profit center code PC01 in "General Data" section on the change requst screen,  these codes (GL01, CC01, PC01) are landed in ECC upon data replication.
    I do see there is another field called "New Account" of GL change request, or "New Cost Center" of CC change request, or "New Profit Center" of PC change requst all of which is under "Administrative Data" section. I have never used it. but I was wondering what the purpose it will serve and how should I use them.
    Please advise,
    Thanks,
    LUO.

    Hi Kiran,
    Thanks for the info. I don't quite understand though. could you tell me more about the usage of each? Why it is used when GL or CC or PC is blocked? Would the new cost center code entered replace old cost center master record?
    Thanks,
    LUO 

  • Create New-GL Profit Center P/L by Report Painter (GRR1)

    Dear CO gurus
    I'd like to create P/L by Profit center level (New-GL, not EC-PCA).
    As a solution, I'd like to use CO report painter (GRR1), instead of new-gl's drill down report painter FGI3.
    I could create library by referrencing to FAGLFLEXT.
    But when I goes to GRR1, it is difficult to create report.
    So, if anybody tells me the detail step or reference side, please let me know.
    Yoshi

    Hi Yoshi San
    Process in GRR1 remains same whether you choose 8A library  or ora New GL Library
    Fgi3 is for drildown reports and GRR1 is for normal reports
    What problemproblem are you facing in grr1?? The process is same as for other reports
    Br. Ajay M

  • No line item in Profit center

    Hello Experts,
    I have a question regarding the scenario "FIN_PCA --> Profit Center Update" in New GL.
    I have assigned this scenario to my leading ledger (0L) and also to non-leading ledger.
    When I did the posting to the primary cost element which is assigned to Co.Cd and co.cd assigned to both leading and non leadign ledger, both cost center and profit center are picked and posting went fine. But the problem is am unable to see this line item in  the profit center (T.code - ke5z),  where as the same line item is available in cost center. The same line item in the table FAGLFLEXA shows the both cost center and profit center to which it is posted.
    I am not sure if I am missing any configuration step. I have assigned the profit center in the cost center master data and also the profit center is activated.
    Any help in this regard will be duly rewarded and appreciated.
    Regards,
    Sriram

    Hi Sriram
    If you are saying that you are able to view the data in FAGLFLEXA, then the data should also be seen in these reports.May be the selection criteria entered for the reports are not correct,
    You have the following selection
    Currency Type - 10
    Company Code -
    Ledger -
    Fiscal Year
    Period
    Period
    Execute the report, the data entered by you should appear.
    Further coming to the 1KEF, you are activating the actual documents to flow to profit center accounting. Without this configuration, data in the table GLPCA, GLPCT and data in the report KE5Z would not happen. But you also need to do the configuration under SPRO->CONTROLLING->PROFIT CENTER ACCOUNTING also should be done.
    But in ECC 6.0 you dont need profit center accounting, New GL with Document splitting takes care of all the requirements.
    Regards,
    Suraj

  • Is Dummy Profit Center required in ECC

    Hi there,
    Just wonder if dummy profit center is required in ECC6 despite the New GL.
    However, if I do not activate profit center accounting, table GLPCT will not be updated, the stadard SAP reports for profit center can not be used. How to overcome this?
    Thank you,

    Hi
    You need to create a dummy profit center in new GL also. If you look at the configuration steps under new GL accounting, Master data- Profit center accounting- create dummy PC.
    Regards

  • Balance sheet creation at Profit center Level

    Dear SAP gurus,
    Can anyone help me in creation of balance sheet at profit center level.. i am trying to make it thru report painter as new gl functionality is not activated at the client.. Pls tell me step by step..
    regards,

    Hi,
    As we know, we assign Profit Center to Revenue Accounts (Cost Elements) while for Expense Accounts, Profit Center is derived from Cost Center assigned, as we maintain Profit Center in Cost Center Master Data.
    Balance Sheet Account posting derives profit center in New GL in following way:
    1) Cost Center of offsetting line items (Expense Posting) has been assinged to the Balance Sheet line items.  Profit Center is derived from this cost center.
    2) Profit Center of offsetting line items (Revenue Posting) has been assinged to teh Balance Sheet Line Items.
    Say, Customer Invoice, we debit Customer (Acct Receivable) while credit Revenue GL Account.  Revenue Posting has profit center assigned to it.  Profit Center for Acct Receivable (Balance Sheet Acct- Customer Reconciliation Acct) is derived from Revenue posting.
    If there are two offsetting line items (document with one Receivable line item and two revenue line items - posted to two diff profit center), documet splitting function splits the receivable line items in equal proportion and posts profit center for this balance sheet line items.
    Unlike earlier versions of SAP, you do not need to go to profit cetner acct module to generate financial statement for profit center but can be generated from SAP GL Module itself if New GL is activated with Document Splitting function.
    Hope this may give initial insight.  Inform if you need further specific details.
    Send me your email id, I will send some documents on SAP New GL.
    Award points if this is useful.
    Regards,
    Chirag

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