Profit Centre & Controlling Documents

Dear SAP Guru's
When the transfer document is generated there are 3 more documents generated
1. Accounting Document
2. Profit Centre Document
3. Controlling document.
*Can you tell me where is the Number ranges of the above documents. *
I feel that the number range is exhausted for the same.
regards,
SAP SD

Hi There.
I would like to add some more information:
BSAD - Accounting: Secondary Index for Customers (Cleared Items)
BSAK - Accounting: Secondary Index for Vendors (Cleared Items)
BSAS - Accounting: Secondary Index for G/L Accounts (Cleared Items)
BSID - Accounting: Secondary Index for Customers
BSIK - Accounting: Secondary Index for Vendors
BSIS - Accounting: Secondary Index for G/L Accounts
Profit center:
CEPC - Profit Center Master Data Table
CEPC_BUKRS -  Assignment of Profit Centers to a Company
CEPCT - Texts for Profit Center Master Data     
Controlling Document:
COBK - CO Object: Document Header
COKA  - Control Data for Cost Elements
COKAA -Control Data for Variances and Results Analysis
COKL -  Control Data for Activity Types 
COKP -  Control Data for Primary Planning  
COKR  - Control Data for Statistical Key Figures
COKS  - Control Data for Secondary Planning
Good Luck & Rewards
HARSH

Similar Messages

  • Profit centre in Document Splitting

    Hi!
    I am facing problem with profit centre in document splitting.
    My client is posting document with two Balanse sheet accounts like Accrued Expenses Dr to Bank A/C, where both are Balance sheet accounts and there is no profit centre in those line items, system is giving error "Balancing field profit center in line item 001 is not filled"
    regs,
    ramesh
    Moderator: Please, search SDN

    Dear ramesh,
    Simply put profit center for the bank or accrued expense at the time of entry.
    Because there is no line item from where the Profit center can be derived right.
    It is not a document split problem.
    Edited by: lolu jo on Feb 18, 2011 4:13 PM

  • Profit centre vs document splitting

    Hi,
      in ecc 6 iam not active  the document splitting but can i use the profit centre in controlling because iam go for Business area in fi and controlling iam going for profit centre.i want reports at profit centre levell and business area levell .any body help this query
    regards
    Nagaraju

    Business area is not recommended by SAP.
    The reason is 'The Problem of splitting of account balance is more pertinent in case of tax accounts'.
    Implement Profit center Accounting instead of business area.
    Please let me know if you more information.
    Assign points if useful.
    Regards
    MSReddy

  • Profit centre error while vendor rebate settlement

    Hi
    this is regarding vendor rebate settlement TC- MEB4.
    while settlement of agreement, system is not able to determine the profit centre, hence unable to post the entries. in this regards, i have checked following:-
    1. material used in rebate agreement - profit centre maintained
    2. field status of all GL used in settlement process is optional for profit centre and cost centre
    3. in document splitting, categories of the GL's are Balance Sheet Item and Revenue
    4. field status of the posting key also open for profit centre
    5. document type is defined as Unspecified posting in splitting
    do i need to look some other place for possible cause of error? please revert
    Regards
    DD

    If you have mainatained the Rebate as accrual based on agreement adn Sales conditions then you should use Item Category as "01300-Cash Discount Clearing".
    Change and try in atest system and while changing the category read the warning message carefully that the system issues and understand the implications.

  • Profit Centre Account Archive

    Hi ,
    I have one doubt , can any one please clarify my confusion .
    While Archiving Profit centre accounting document , whether it's delete only cleared item or open item or all line items .
    Thanks & Regards,
    Vaigunda Raja .

    Hi,
    Prior to creation of the Z Object - there must be FRS (Functional Requirement Specifications) document, with which you do analize the issue. There you will find the logic and tables / fileds technical names.
    Where you gave the t.code of sets, can not be identified for the same.
    Regards
    VG

  • MIRO User - Exit to Change the Profit Centre..?

    I need to change the Profit Centre in the Accounting document(for Vendor Line Item) and Profit Centre Accounting Document(For Payable Line Item) Created by MIRO Transaction.Can any one let me know if there is anyuser-exit or badi to achieve the same
    Thanks a lot for your help .
    Regards,
    Gopi.K

    hi
    These are all the user exits avalilable for MIRO transaction.
    LMR1M001            User exits in Logistics Invoice Verification
    LMR1M002            Account grouping for GR/IR account maintenance
    LMR1M003            Number assignment in Logistics Invoice Verification
    LMR1M004            Logistics Invoice Verification: item text for follow-on docs
    LMR1M005            Logistics Inv. Verification: Release Parked Doc. for Posting
    LMR1M006            Logistics Invoice Verification: Process XML Invoice
    MRMH0001            Logistics Invoice Verification: ERS procedure
    MRMH0002            Logistics Invoice Verification: EDI inbound
    MRMH0003            Logistics Invoice Verification: Revaluation/RAP
    MRMN0001            Message output and creation: Logistics Invoice Verification
    I think you can use this exit.
    LMR1M002 
    Regards.
    Lavanya.

  • VBRP does't have the PROFIT CENTRE FIELD

    Hi Gurus,
    Hi Gurus
    I  am fetching the billing(commision, credit notes ) from vbrp, based on profit centre, controlling area and date.
    but some where in vbrp profit centre field having no value.
    Actually this report is FICO  but commission ,credit notes and cover price(MEDIA MODULE) available in SD ONLY.
    if any body knows give the sollution.
    this is very urgent.
    Regards,
    Shashikumar.G

    Hi ,
          It is at the item level under Account Assignment tab of sales order transaction .VBAP-PCTRF and also the same is copied in VBRP-PRCTR .
    and obtained from COBL.
    Please reward if useful.

  • Validate the posting date for profit centre documents actual/plan

    Hi,
    I have an requiremnt where we want system to validate the posting date for profit centre documents actual/plan, Functionality should be same as system check  posting period for FI documents maintained in OB52 and controlling cost centre documents posting period maintained in OKP1.
    For creating Profit centre document activity types are available in Tcode 0KEO.
    I have come across Exits EXIT_SAPLPC08_001 and  EXIT_SAPLPC08_002. But i am notsure whether we can use these and implement these.
    PLease suggest what can be done to achieve this.
    Regards,

    Hi,
    U can use subsititution and specify that the profit center could be your head office or the store as per your req...
    I think thats the only option we have..
    Cheers
    Raghu

  • Profit Centre Document issue at the time of Post Goods Issue on SD.

    Dear Experts,
    While SD person is posting Post Goods Issue, System is generating Profit Centre Document along with other documents. We are facing an issue with Profit Centre document here and the issue is:
    Some Profit Centre Documents are populating Delivery Order Number on respective field while some are not. Ideally all profit centre line items should show Delivery Order Numbers.
    Please guide any solution to resolve this issue, its urgent.
    Thanks in Advance.
    Regards,
    Zain Bashir

    Hi Zain
    This is a tricky issue
    Are you saying that the PCA document has the Delivery Number (VL01N) updated in some cases and not updated in some cases?
    The Delivery Number is updated in PCA document when you create Delivery from VL01N and do PGI from VL02N
    But, if you do PGI from VL01N itself, then the delivery number is not updated in the PCA document
    SAP recommends to post PGI from VL02N
    Br. Ajay M

  • Raw material profit centre document is not generated

    Hi All
    When i maintain profit centre in raw material and do GR/IR, only accounting doc is generated. The profit centre mentioned in material is reflected against both accounts in the entry. (rm inventory a/c and GR/IR clearing a/c)
    When I go and see report of that particular profit centre I dont see any posting. Why is it so?
    Can u help me out?
    Regards
    Rakesh

    I am certain that a profit center document gets created for materials that have moving average price.
    If the profit center in the material master was entered after the goods receipt, then the amount is still  posted to a default profit center, but not to the profit center you expect.
    first find your movement in MB51 or in purchase order history tab of ME23N.
    Beeing in the material document, click the finance documents button at header level in document info tab. A pop-up appears where you have to select to where to go, either to the accounting doc or to the profit center document.
    If you see this profit center doc in this pop-up, then you can be sure that it is posted to a profit center. go into this document to see to which profit center the posting was made.

  • Reading the description of Sales document type and Profit centre from table

    Hi
    I want to print the description of Sales document type and Profit center on output
    I have checked in table TVAK and CEPC  but i am unable to pick description against the code
    Can anyone please suggest from where can i capture the description of sales document type and profit centre
    Thanks and Regards
    Sunil Srinivasan

    Hi
    If you have the sales document number VBELN then pass this VBELN in to table VBAK and you can get the sales document type VBAK-AUART.
    Now pass the same VBELN to VBAP table here you can get the Profit Center VBAP-PRCTR
    For sales Document type description you pass the VBAK-AUART values into table TVAKT  table and get the values for TVAKT-BEZEI is you sales document type description
    For Profit center description goto table CEPCT and enter the profit center you will get the
    KTEXT
    LTEXT
    MCTXT
    regards
    Prashanth
    Edited by: Prashanth@SD on Oct 25, 2010 12:29 PM

  • Profit centre document not getting posted in ledger 8A

    Hi All,
    We are posting a a document through FB01. We have given a profit centre & also derived a profitablity segment. After the FI document is posted, when we go to environment>Document environment>Accounting document we are double clicking on profit centre document. It is leading us to a screen which shows that the ledger is L0 but we want 8A to appear. What are we missing?
    Thanks,
    Lakshmi

    Please check the ledger to application/sub application assignment in table T881.
    You should normally 8A ledger - Summary table GLPCT - Application EC - Sub application PCA.
    Regards,
    Ganesh

  • Sales Documents and Profit Centre and GL Accounts

    Currently a when we create a sales document for a plant, that document is posting to a specific GL account (Cash on Hand account) and profit centre. In VKOA, the Account Assignment Group is assignment to a GL Account, and that AAG is assigned to the material master. I want to find out how SAP is currently determining to which profit centre and GL Account it is posting to. The only thing that I can get is the Plant and sales office in the Sales document. I want to know the determination factor

    I want to know the determination factor
    Have you checked in OKB9 ??
    thanks
    G. Lakshmipathi

  • Document Splitting-Balancing field "Profit Centre"

    I am trying to post an F-02 transaction as follows:
    Salary & Wages   1000     Dr.   Cost Centre(A) & Profit Centre (A)
    Salary & Wages  1000     Dr.   Cost Centre (B) & Profit Centre (B)
    Salary Payable    2000     Cr.   
    But when I tried to post it, the system is showing the error that "Balancing field Profit Centre not found in item 3.
    I am expecting that the item-3 as above should be split and inherit the profit centre information.  However, the document is not split and the system is showing the error.
    I cannot assign a default Profit centre to the item -3 .  How can I reslve this error.  Document type used is SA and it is 'unspecified posting' in the Document Spitting method 0012.
    Please help out.

    Dear,
    Nikitha.
    Isn't your system asking you profit center as your mandatory field ? If it is so just put your enter your respective profit center
    and simulate the entry. ( In some cases enter your cost center system will catch assigned profit center from CC try out )
    Follow the following path :-
    IMG --- FA NEW -
    General Ledger Accounting New --- Business Transaction -
    Document Splitting -
    Define Document
    Splitting chracteristics for General Accounting.
    Here is your PRCTR is defined mandatory.
    If you untick it your system will allow you to post the document. But listen if you have activated segment also with that.
    Your reporting will be of no use and result void.
    In the SAP best practices it is said dont untick it if you have posted documents with same activated functionality
    By unticking your profit center wise & segmental reporting will be of no use.
    or do one thing go to down side of the same path a little you will see one transaction as Edit constants for non assigned
    process select your constant and double click on assignment of profit center maintained there default profit center or
    maintained dummy profit center 9999. Now your system will pick this profit center 9999 or your mentioned one
    as your default profit center.
    Or one more else thing you can do is by posting key make your profit center optional through its posting key's field status
    group.
    Hope this helps you to solve your issue.
    Please revert back for further clarification.
    Regards,
    Pankaj.
    Edited by: pankaj_ab on Nov 24, 2009 12:45 PM

  • Profit Centre Document Not Generating

    Hello All,
    I have made GR entry and later on in the month end i found it as goods received but no invoice and done GR clearing using MR11.
    The issue is that the MR11 document is not generating the profit centre dcoument along with which it should generate
    I have checked the document it has a cost centre and profit centre related to it but only the document is not getting generated.
    where can be the possible error please advice
    Reagrds
    Arun

    My problem got resolved , the issue was due to the user exit maintained in the company code against the transaction MR11
    Thanks
    Arun

Maybe you are looking for

  • Photoshop CC does not see the full RAM

    I just installed Photoshop CC and I see in the performace that it only sees 3255 MB.  But I have 32G RAM on my PC and Photoshop CS6 sees the full 32G of RAM.  How can I solve this?

  • Https not work in java1.6

    I have created a java application that communicates with a Server via HTTPS. I use both jdk and jre 1.4 application work find not error message but I use jdk 1.6 application not work and application have error message javax.net.ssl.SSLHandshakeExcept

  • Pink tint after 10.8.2 and firmware update

         I'm not sure if anyone else is seeing this but my MBPr is behaving very oddly.  I installed the 10.8.2 update yesterday and everything went prefectly.  I then installed the firmware update and all the other updates (iPhoto, etc).  This evening (

  • Batch gets skipped or duplicate batch number appears

    Hi all, What should I have to do if Batch gets skipped or duplicate batch number appears while releasing Process Order?

  • IPad with retina display cancelled

    I purchased iPad with retina display. And it cancelled but my monny didn't refinde. <Personal Information Edited by Host>