Profit Center Wise Profit and Loss and Balancesheet.

Hi,
Can anyone tell me how to derive the profit and loss account and balancesheet profit center wise.

F.01 is the T code for you .
Provide the profit center in the dynamic selection menu for profit center .
Cheers ,
Dewang

Similar Messages

  • Profit cente wise profit&loss account

    Plz tell me profit center wise profit &loss account
    tell me TC for this
    Very urgent

    Hi Kavitha,
    I am not aware in which version you are working on.
    But in ECC 6, there is standard SAP report which shows Financial statement per Profit center.
    S_ALR_87009712
    Let me know if you require any further details.
    Kalyan
    Assign points if useful

  • Sales report: Profit center wise includes net, gross and sales tax URGENT

    Helllo Friends,
    Please help me on the below report
    Client requirement is: Sales report which includes the below
    1. Profit center
    2. Net sales
    3. Sales tax
    4. Gross sales
    5. Period
    Please help me
    Thanks for your help in advance
    Narasim

    Hi,
    You will have to get a Z report developed for  this requirement, it will be a Sales Register looking at the requirement
    Firstly discuss with the client and finalize the selection screen , based on which parameters the client wants nto check this report
    1. Customer
    2. Billinng Document
    3. Sales Area
    4. Billing Type
    5, Period
    And based on this system can collect all the billing documents (except cancelled) and pick up the required values from the billing document tables.
    Finalize if the client would also like to see the all the discounts, freights, rebate (if any) , taxes (separetly) , exchange rates (exports) and any other condition types, this will save all the modifications in the future.
    Also finalize what all billing types have to be excluded, like cancelled, credit notes, debit notes etc and also how the values have to be displayed, rounded off.

  • Profit center wise Financial Statement

    Dear Friends,
    In one of our client place there are 2 profit centers. There is no Business Area. Now client want to see the Profit & Loss Account for each Profit center. How to see the P&L account statement.
    Also please provide check list to be verified / configuared to see the Profit center wise P&L statement.
    Is it possible to see the Profit center wise Balance sheet. If so whether we can compare the same with F.01 report?
    Will awards points if it is useful.
    Regards,
    nms

    > Dear Friends,
    >
    > In one of our client place there are 2 profit
    > centers. There is no Business Area. Now client want
    > to see the Profit & Loss Account for each Profit
    > center. How to see the P&L account statement.
    >
    > Also please provide check list to be verified /
    > configuared to see the Profit center wise P&L
    > statement.
    > Is it possible to see the Profit center wise Balance
    > sheet. If so whether we can compare the same with
    > F.01 report?
    >
    > Will awards points if it is useful.
    >
    > Regards,
    >
    > nms
    Hi,
    You can see the Profit center wise Profit and Loss account throgh F.01.
    Click on Dynamic Selections and give the profit center and execute it.

  • How to take Profit Center Wise (Customer Line item & fixed assets)?

    Profit Center Wise (Customer Line item & fixed assets)
    GL Report: S_ALR_87012282 (Profit Center wise GL A/C Line item)
    AP Report: S_ALR_87012103 (Profit Center wise Vendor A/C Line item)
    Similar for I want customer line item wise and fixed asset line item (profit center wise) report, S_ALR_87012197* this for customer line item wise report but,Here in the dynamic function there but not available in profit center, I need report what t.code available in profit center wise customer line item and fixed asset line item.
    Thanks in advance
    Selva

    Hi Sweta
    For obtaining profit center wise receivables/payablees and stock reports, you may need to follow these steps at every period end.
    1. Execute F.5D - Calculate Balance sheet adjustment
    2. Execute 1KEK - Transfer Payables/Receivables
    3. Execute 1KEI - Transfer Assets
    4. Execute 1KEH - Transfer material stocks
    5. Execute 1KEJ - Transfer Work in progress
    For more information, you can read the heading "Balance Sheet Items in Profit Center Accounting" in the below URL.
    http://help.sap.com/saphelp_erp60/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    Regards

  • Profit center wise vendor / customer invoices

    hi experts,
    i believe profit center wise balance sheet is a possible but i am not sure how. but one thing that beats me is how can i make profit center wise invoices on vendor and customer. if its a question of some customization do explain me
    regards
    sayeed

    Profit center is maintained in the material master, When multiple materials are selected in an invoice, accounting documents create entries crediting sales account for each material sale value under associated profit centers.
    In the pre-ECC scenario, there is a t-code 1KEK which is run at period end to segregate the balance sheet receivables and payables by profit centers. Under new-GL scenario, with document splitting this can be achieved as and when the sale is recorded.

  • Document split profit center wise

    Hi All,
    I have a senario.
    I want to post a document were it automatically splits and post it to respect profit centers.
    Ex: Canteen expenses for Rs 1000/- my profit centers are PR01 and PR02. My cost center is CCC1.
    Entry should be:
    Dr. Canteen Exp        1000        CCC1    
    Cr. Bank                   1000
    entry should split
    Dr. canteen CCC1    PR01     600
    Dr. Canteen CCC1   PR02      400
    Cr. Bank                               1000
    this i need for two purposes,
    1) Two get the Profit center wise balance sheet
    2) two reduce the client work.
    What are the things i need to take care to get this. how can i get this
    Thanks
    murali

    Hello,
    I am not sure if you can achieve this splitting,because if you want to use document splitting functionality and the split will happen on the line items where there is no profit center  i.e in your case the cr bank will be splitted in to two if you have two debit entries on expense side.
    See for the following scenario u mentioned ;
    Entry should be:
    Dr. Canteen Exp 1000 CCC1
    Cr. Bank 1000
    entry should split
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank 1000
    its not balanced by profit center as you said/stated.
    If you have any entry like ;
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank 1000
    Document splitting can split in to following:
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank  pro1 600
    cr bank pro2 400
    where you have profit center wise  balance sheet.
    And you have to config as stated in the above post.
    Thanks,
    Sai.

  • Reporting - restricted for profit center-wise

    Hi
    My client has two profit centers (1000 and 2000) in one company code. Both profit centers are totally independent. Now my client requirement is that when user of profit center 1000 runs AR01 (i.e. asset balances), he should be able to see assets only for his profit centers i.e. 1000. Asset of profit center 2000 should not appear in that report.
    In EHP 4, there is provision for Profit Center-wise document posting, change and display functionality. But i want to know if this profit center-wise authorization will work for asset balances report (AR01) and other assets reports also.
    Please help.
    Edited by: Deepak Agrawal on Jan 1, 2012 5:43 PM

    K_PCA or authorization object for profit center is not check in assets report.
    In AR01 you cannot restrict the results to profit center as it is not checked in authorization . The fields which are checked are company code , Asset class and asset views.
    Hence you will have to lookup for alternatives like selection based on plant or cost center or responsible cost center etc.
    In case if the requirement is a show stopper then you will have to code the things in Enhancement points as there are no BADI or Exits available for the same .
    Cheers,
    Dewang

  • 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

  • Vendor Ageing Report Business Area and Profit Center wise

    Dear Experts,
    I have a requirement where user wants a Report for Vendor Ageing Business Area and Profit Center wise.I checked Standard T Codes but the same were Business Area wise but i could'nt find Profit Center wise Report.If their is any standard functionality then please advice.
    We are using SAP ECC 6.0 Classic GL with Spl Purpose Ledger active.Can someone please advice can i derive such a report through Report Painter.If possible please advice in details.
    Your Valuable inputs shall be appreciated....
    Regards
    Rahul

    Hi Durga,
    Can you please elaborate further on the same how you are determining the Report in FBL1N.What are the prerequisited to be taken care of and some further details on the same.
    My Bus Area is not as same as Profit Center eg
    BA          PC
    FXRT     RT0001 / 2 / 3
    TMMG   TM0001/ 2 / 3
    LTOB     LO0001/ 2 / 3
    I checked in my system but we do not have the Program for the following T Codes
    S_PCO_36000218 - Segment Receivables
    S_PCO_36000219 - Segment Payables
    S_AC0_52000887 - Profit Center Receivables
    S_AC0_52000888 - Profit Center Payables
    Regards
    Rahul

  • Want to creat customer and vendor as per Co. Branch (Profit Center) wise.

    Hello friends,
    I am in a critical case, my client want the customer and vendor as per company branch wise (i.e. Profit Center wise) not by account Group wise but as per my knowledge we can create the customer and the vendor as per account group..
    Kindly let me know if there is any procedure or configuration/ Customization to create the Customer and Vendor as per u201CCompany branchu201D wise. Please let me know the detail steps for itu2026
    Have a very Nice Dayu2026
    With regards
    Amresh..

    Dear Amresh,
    Customer and vendor master are maintained in company code level.
    this cannot be maintained profit center level.
    What actually does your client wants.
    To get report receivable and payable profit center wise you can use S_AC0_52000887 and S_AC0_52000888.
    Please be more specific to solve the issue faster.

  • Where and how to enter plan data cost and profit center wise to get data in grr1

    Hi Gurus,
    Appreciate you can tell me where and how to enter plan amount cost center wise for cost elements and profit center wise for revenue elements????
    So that we can get this data in grr1 report.....
    Can we upload this planned data, if yes how??
    Thank you

    Hi..
    If you use classic PCA, refer to Plan Data Transfer - Profit Center Accounting (EC-PCA) - SAP Library.
    If you use new gl pca, refer to Transferring Plan Data from Controlling - General Ledger Accounting (FI-GL) (New) - SAP Library

  • Plant and Profit center wise Turnover and  gross profit for the Month for s

    Hi
    We need a report Plant and Profit center wise Turnover and
    gross profit for the Month for selected month and GL's
    We are using new GL. but our bi system old version.
    SAP_BW -- 7                      Patch:SAPKW70015
    BI_CONT - 703                    Patch:SAPKIBIIP7
    Do you have any idea or experiences which data source and data target required to full fill this requirement?
    Thanks
    Ramana P

    Hi
    You need to check if you really the report Plant wise and if yes, then check if the Accounting Transactions are maintained at Plant Level in your source system i.e. in R3.
    Ideally it should be Business area or Functional Area or Controlling area which are maintained in Accounting Transactions. You will also the relevant details for these Characterisitics + Profit Center in the NEW GL Accounting data sources.
    Cheers
    Umesh

  • Profit center wise Balance sheet & profit & loss account

    HI, Expert
    we are currently using ecc 5.0 and New gl & document spilting is not active i want to see profit & loss & Balance sheet profit center wise . how can i see the report & what are the cofiguration changes need
    Regards
    gk

    Hi
    Same as in 4.7EE and earlier versions ...
    Create FSV- Financial Statement Version and use TCODE: F.01 to get the reports.
    Also, use the RP/RW for the same.
    VVR

  • Profit Center population in the Vendor and Customer Line items

    hello
    our client is asking for  getting profit center in the vendor and customer line items  where in the view FBL5n and fbl1n we are not getting the profit center populated - in the new gl i understand that there is a standard report based on the gl account.
    but our business is not satisfied with the report and expecting report at profit center level.
    Can any one suggest any way of doing this.
    regards,
    Vijay

    Dear Vijay,
    Let me provide you my view of solutioning for this. This is an enahcement that needs to be done
    1. You can get the profit center from the given vendor and customer line item at the time of posting, using an enahcement you will be able to capture it.
    2. Existing the profit center field is not populated in the BSIK,BSAK,BSID and BSAD tables
    3. Hence, in the same enhancement once you capture the profit center , you can write the code that profit center is updated in these tables also.
    4. This will help you to do the vendor line item wise selection in the FBL1N,  FBL5N profit center wise.
    Constraints of this solution:
    The only constraint remains where in the for a given document if there are multiple profit center, then the system will do the splitting profit center wise for a vendor line item, which will not populate the profit center in those tables as there is only one field available in the bsid etc.. tables.
    This basically would be the one the soltuion where in as seeen from the end user ther eis no change in the front end interface , the way they are doing always they can do.
    You need to also take care the % of document splitting means cross profit center postings /cross document splitting charactericstics postings and the volume involved in this. so that you can suggest this to your client.
    Regards,
    Bharathi.

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