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.

Similar Messages

  • Profit Center wise Vendor & Customer  Line item report

    Hi
    We are on SAP ECC 6. Can I get Profit Center wise Vendor & Customer  Line item report (as like FBL1N)
    Regards
    Sandeep

    Hi,
    Please Try using "S_ALR_87013343 - Profit Center: Receivables " and "S_ALR_87013344 - Profit Center: Payables"
    Reports
    Best Regards,
    Ravi Reddy

  • Profit Center wise Vendor/Customer Master

    Hi
    We have many vendors and customer who are available to various plants. In our system, various plants have been created as profit centers. How can we have masters extended for every profit centers.
    Regards
    Vaibhav

    Hi
    You cannot have a master extended to a plant or profit center? As a standard functioanlity, you can get standards reports of payables and recievables at a profit center level.
    Regards
    Sanil Bhandari

  • Profit center wise vendor balances

    Hi guys,
    My client want to vendor balances with profit center wise. I know t.code s_ac0_52000888 it displays reconsilation account wise balances I want to  profit center wise balances not reconsilation account wise balances its urgent please help me
    thanks
    syam

    Dear
    Use T.code FBL1N - Display/Change Line Items.
    when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
    when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
    Alternately, use dynamic selections in T.code FBL1N selection screen.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Profit centre-wise Vendor/Customer outstanding

    I am working in ECC6. Profit Centre and Segments are activated.
    While I am posting a vendor invoice, I assign the profit centre in the expenses account and the vendor is also posted to that profit centre while posting.
    Now my requirement is to view the profit centre-wise vendor outstandings. I tried to execute the Open item report per profit centre (S_ALR_ 87013343 & S_ALR_87013344). However, I am unable to see any output figure. The list is coming as zero. System shows a message "Report 8A4-0012 does not contain any data pages".
    Is there any other report or what is wrong with the above report ?
    Regards

    The profit centers are not posted directly in PCA.
    The Vendor/Customer reconsilatin accounts should NOT be 3KEH
    Have you run:
    F.5D - Calculate
    F.5E - Post
    F.5F - Display Log
    or
    1KEK - Transferring Payables/Receivables

  • Profit Center : Reflect - Vendor, Customer, Bank/Cash Balance

    Dear Experts,
    Ref. : Reflect - Vendor, Customer, Bank/Cash Balance, Balance Sheet GL Accounts - Profit Center wise.
    When we do postings to P&L Items, we assign a CO / Cost Object. Such Cost objects may be Orders, Cost Centers, etc., which has a Profit Center assigned to it.
    Now, we wish to view Balance Profit Center wise.
    My Concerns :
    1.  Can Vendor, Customer, Bank/Cash Balance, Balance Sheet GL Accounts - Profit Center wise. Since we do not assign CO objects to such line items, but the correspondense line items (P&L GL) has a CO object.
    2.  If yes, how do we move balance of such items, to Profit Center / profit Center wise.
    Experts, please help me to understand the concept.
    Regards,
    Hussein.

    Hi,
    Are you in ECC activated new G/L? If yes, then you can define Profit Center as Document Splitting Characteristic for General Ledger and profit center will be in the AR/AP line item as well in ledger view (though you don't enter profit center during document entry).
    You cannot give the Profit center in line item level to the Subledger accounts like vendor and customers.Vendor and customer accounts take the profit center from the offsetting entry.If want to see the profit center to the particular document, open the document go to Environment field and select Balance Sheet Adjustment option.
    If you want to see the Profit center wise payables and receivables, use T.code GR55 and take report group 8A90 for Periodic Receivables and 8A91 for Payable.
    If you want to see the all payables with Profit center use Table BFOK_A for vendors BFOD_A for customers.
    Regards,
    Viswa

  • Profit Center wise Vendor Balance

    Dear Sir,
    Kindly guide us as how can we get a report / information for "PRFOFIT CENTER wise VENDOR Balances " . I tried with FBL1n but it give Balance without Profit Center . We are using ECC-6 .
    We assure to give full points for the suggested solution pl .
    Kindly help me pl .
    Rgds
    B Mittal

    Hi BV,
    You will not get Profit Center wise payables information from FBL1N,though you can see the profit center field in FBL1N. This Profit center is the profit center sitting in BSEG table and with ECC 6.0 if you are using new GL, then Profit center wise details are available in FAGLFLEXA.
    The other report as mentioned in one of the replies above is also there but its presentation is not so good as of FBL1N.
    And the other option is to develop a Z report for Profit center wise payables. We have done it for receivables and it is working fine.
    Regards,
    SAPFICO

  • Profit center on FI Customer  Invoice

    Hi Experts,
    I am posting FI Customer Invoice. I wanted to have a profit Center associated for this customer. Could any one let me know how can I achieve this.
    Thanks
    Rajanikanth.

    Profit center usually is not assigned to the customer line item.  You enter the customer details in the header and revenue/income account in the line items section right?  For the revenue/income line item, assign a profit center.  Via document splitting functionality, system populates the profit center to the customer reconciliation account line item.
    You entry view is as under:
    01 Customer XXX  1,000  PC blank
    50 Revenue Acct. -1,000 PC A
    Once you post, the GL view of the above entry will be as under.
    40 Customer recon acct 1,000 PC A
    50 Revenue Acct -1,000 PC A

  • Profit Center on Vendor/Customer Reconn account

    Hi,
    I have a requirement where we need to replace the dummy profit center on the Vendor/Customer line item in the Accounting document with the profit center from the offset line item. The transactions that will be used MIRO, VF01 and FB60.
    We cannot user 3KEI or 3KEH since the profit center is dynamic and needs to be copied from the second line item in the accounting document.
    I have used substitution rules to achieve the same. But the same does not work for MIRO since the BSEG-BUZEI is not populated and I do not have access to the entire item table to do the modification in the program of substitution.
    Please let me know if I can achieve the using substitution or is there any exit or BADI that can achieve the same.
    Thanks,
    Preetham S

    Hi
    If you have new GL, profit center is copied from the second line item. I believe, you need to check your splitting configuration throughly. There is no need for any BADI or other configuration settings. Follow the path
    IMG>Financial Accounting(New)>General Ledger Accounting (NEw)> Business Transactions>Document Splitting>Extended Document Splitting>Define Document Splitting Method
    Here in check the Item Categories and Base Methods assigned for Document Splitting. Pls check for your Splitting Method, for Business Transaction 0300 - Vendor Invoice and 0200 - Customer Invoice, if you have all the categories assigned. For example for Vendor Invoice Business Transaction 0300, you should have at least the following base categories assigned like, 03000 - Vendor, 05100 - taxes on Sales & Purchase, 05200 - With Holding Tax, 01100 - Company Code Clearing to give you an example.
    Pls check the configuration. In case of doubt, pls revert back
    Thanks & Best Regards
    Sanil K Bhandari

  • Profit Center for Vendor/Customer line item in F-02

    hi all,
    We have implemented SAP ECC 6.
    At the time of vendor line item posting, there is no input field for profit center.
    Can anyone please tell the way out for Profit Center field pop up in case of t-code like f-02 for vendors & customers
    Abhishek

    Please note the following:
    - On FBL5N and alike customer/vendor line item reports you won't find
    the field profit center filled; hence you can't directly input it during document entry (as pre-mentioned)
    and the profit center for customer/vendor gets inherited (as of document splitting functionality) from the document other line item(s) (according to the defined document splitting rules...)
    - Yet you can use the below reports (with New G/L.) to get the customer/vendor line items wise reporting over a profit center (i.e. unlike FBL5N & showing the inherited customer/vendor profit center in the G/L. view)
    S_AC0_52000887 - Line Items->Open Items->Receivables: Profit Center
    S_AC0_52000888- Line Items->Open Items->Payables: Profit Center
    In both reports you can use:
    "Custom Selections" -Dynamic Selections Icon- enabling you to filter the output according to
    a. Customer line items specific data entered within the posted document(s)
    b. General ledger items of the G/L. view of the posted document(s)
    & the "Output type" includes like most of the New G/L. Reports:
    - Graphical report output
    - Classical drill-down report
    - Object list (more than one lead column)

  • Profit center to vendor/customer reconciliation accounts

    Hi All,
    Dummy Profit center has already been assigned to customer/vendor reconciliation accounts in 3KEH in PCA.  Will that affect F.5D  - post balance sheet adjustment process?
    Thanks!
    Rajesh

    Normally in 3KEH is to assign the default profit center, all Balance sheet accounts are assigned to a Dummy Profit Center.
    This profit center is only considered if as per the process, Profit center is not populated in the Customer or Vendor, Dummy profit center would be assigned so that Legal Balance sheet and Profit centerwise Balance sheet can always match.
    We can always repost from Dummy profit center to the right profit center.

  • Need profit center in Vendor & customer Line items in reports FBL1N & FBL5N

    Hi,
    how to get profit center field in reports FBL1N and FBL5N.  Please help.
    Regards,
    Sumit Jain
    Moderator: Please, search SDN; it has been answered several times

    Hi,
    I have done the below to get this. (You can change the naming convention of function module as per your wish):-
    Step 1:-
    Create function module Z_GET_PRCTR as below:-
    Import:-
    BELNR     LIKE     BKPF-BELNR
    BUKRS     LIKE     BKPF-BUKRS
    BUZEI     LIKE     BSEG-BUZEI
    GJAHR     LIKE     BKPF-GJAHR
    Export:-
    PRCTR     LIKE     BSEG-PRCTR
    FUNCTION Z_GET_PRCTR.
    ""Local Interface:
    *"  IMPORTING
    *"     VALUE(BELNR) LIKE  BKPF-BELNR
    *"     VALUE(BUKRS) LIKE  BKPF-BUKRS
    *"     VALUE(BUZEI) LIKE  BSEG-BUZEI
    *"     VALUE(GJAHR) LIKE  BKPF-GJAHR
    *"  EXPORTING
    *"     VALUE(PRCTR) LIKE  BSEG-PRCTR
    DATA: ZDOCLN LIKE FAGLFLEXA-DOCLN.
    CONCATENATE '000' BUZEI INTO ZDOCLN.
    SELECT SINGLE PRCTR FROM FAGLFLEXA INTO PRCTR WHERE RYEAR = GJAHR
                                    AND  DOCNR = BELNR
                                    AND  RLDNR = 'NL'
                                    AND  RBUKRS = BUKRS
                                    AND  DOCLN = ZDOCLN.
    CLEAR ZDOCLN.
    ENDFUNCTION.
    Step 2:-
    Then create the Function Modules as below:-
    Z_LINE_ITEMS_GET_PRCTR (Copy of SAMPLE_INTERFACE_00001650)
    FUNCTION Module Z_LINE_ITEMS_GET_PRCTR.
    ""Local Interface:
    *"  IMPORTING
    *"     VALUE(I_POSTAB) LIKE  RFPOS STRUCTURE  RFPOS
    *"  EXPORTING
    *"     VALUE(E_POSTAB) LIKE  RFPOS STRUCTURE  RFPOS
    Initialize Output by using the following line -
    E_POSTAB = I_POSTAB.
          E_POSTAB = I_POSTAB.                "<-- important
          IF I_POSTAB-PRCTR EQ SPACE.
              CALL FUNCTION 'Z_GET_PRCTR'
                   EXPORTING
                    BELNR           = I_POSTAB-BELNR
                    BUKRS           = I_POSTAB-BUKRS
                    BUZEI           = I_POSTAB-BUZEI
                    GJAHR           = I_POSTAB-GJAHR
               IMPORTING
                    PRCTR           = E_POSTAB-PRCTR
               EXCEPTIONS
                    OTHERS          = 1.
          ENDIF.
    ENDFUNCTION.
    Step3:-
    Transaction FIBF:-
    Settings -> Products -> of a Customer
    PRCTR     Profit Center in Line Item Display          Active
    Settings -> P/S Module -> of a Customer
    00001650     PRCTR                    Z_LINE_ITEMS_GET_PRCTR
    Step 4:-
    Create the layout for FBL*N with display of the profit center.
    Regards,
    Gaurav

  • 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

  • Vendor Profit Center wise balances

    Dear friends,
    Here is the requirement to provide details of vendor wise profit center wise balances. As report required to run for all vendors for a certain period it is consuming a lot time to calculate opening balances from line items.
    Is there any table like LFC3 which will store vendor wise, profit center wise balances. Kindly suggest.
    Regards,
    Praveen Lobo

    Dear
    Use T.code FBL1N - Display/Change Line Items.
    when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
    when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
    Alternately, use dynamic selections in T.code FBL1N selection screen.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Vendor balance profit center wise

    Dear friends
    my client need profit center wise vendor report but its not in the standard report fbl5n can any body help me to get the solution

    Hi Lancy, USe T. Code S_ALR_87013346 and see it meets your requirements.
    -- Shivaji

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