Profit Centre Report

Friends,
My client need the following report
How to generate a report for profit center by location. It is needed as one for finished goods and one for semi-finished goods.
Please reply with steps if any or if one needs to make a Z report then the tables from where the data for above can be picked up.
Regards

Hi,
  Go through the transaction code :KE5Z, Here you can choose the layout fileds like material number, plant, location, etc............I hope this will help you to solve the problem.
Regards
Maruthi.

Similar Messages

  • How to create a grid like the sample of "profit Centre - Report" use sdk ?

    hi
    in the grid of "profit Centre - Report", it has a button,if you click it ,it can show the detaildata. it can implement many levels "Expand " and "Collaspe",but it's not implemented by group! i want to know how to implement it by ui dpi or udo .
    thanks!

    Hi,
    You need:
    - to know the relevant queries
    - to make copies (use GetAsXML) from the relevant system forms to mimick the standard functionality
    - to do it via UI API (use Grid and DataTable - then you don't need DI API at all)
    Here's some more information on DataTable / Grid:
    The UI sample no. 19 shows you how to load data into the Grid - via the DataTable...
    You can find an enhanced version of the sample (showing you how to get linked buttons, combo boxes etc) in the Education area on SAP Service Marketplace (SMP): http://service.sap.com/smb/education
    Or just try these links (need SMP user account for that...) to download the sample from the Archive of "Live Expert Sessions" (includes a few more things):
    http://service.sap.com/~sapidb/011000358700006282762006E.zip
    That's the link to the PDF for the session:
    http://service.sap.com/~sapidb/011000358700006282742006E.pdf
    ...and that's the recording:
    http://service.sap.com/~sapidb/011000358700006280182006E.wrf
    HTH,
    Frank

  • New GL, Profit Centre Reporting, Settlement

    HI,
    Our company system has ECC6, New GL, but no enhancement packs.
    I notice that Plant Maintenance Orders, once settled, do not generate an accounting document, but only a Profit Centre and controlling document.
    Therefore the GL will not agree with the profit centre reports from GR55, which are the figures we want.
    a) If we are starting a BW implementation "from scratch", is there any disadvantage to not having the Enhancement Packs fitted? Can we not just write the reports ourselves as part of the development?
    i.e. does the enhancement pack 3 offer anything particular that cannot be replicated in the development?
    b) Is this normal settlement behaviour? How would this be changed so that PM orders post into the GL as well as the Profit Centres?
    Thanks.

    Hi,
    Difference without enhancement pack 3 is that you do not get 0FI_GL_14 datasource. This is line item datasource on FAGLFLEXA table (with joinings on BSEG table). So for example, you get all the Billing Doc Number, Purchase Ord no., Customer, Clearing Date (for AR) etc associated with the old accounting doc along with the New GL Doc numbers.
    You do get the totals datasource 0FI_GL_10 is based on FAGLFLEXT only with data structure and data same as that in the table.
    The 0FI_GL_4 (based on BSEG) is available too. So if you want you can stage this BSEG data and stage new GL table FAGLFLEXA and link both in BW based on the Old Accounting Doc number which be available in both. But this would be lot of ABAP lookups, looping etc.

  • PRofit Centre Reports

    While Seeing the profit Centre reports the following Message appears.
        The environment for operating concern S001 either has not been generated   or is inconsistent.
    _System Response
    The transaction was cancelled.
    Procedure
    You cannot use an operating concern until you have activated the data structures and generated the environment.
    Execute the transaction Maintain operating concern and display the status. There the system displays a list of the actions that have yet to be carried out.
    If you do not have authorization to do this, contact your system
    administrator._
    Please advice what is to be done.
    regards,
    Amlan Sarkar

    Hi:
    Operating concern was not activated or defined.
    The FICO Consultant has to configure the Profitability analysis or COPA, if you want to see the profit center reports.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    Sridhar M

  • Profit Centre Reporting

    Hi,
    Normally plans are entered using KP06 in cost centre planning, Planning  relating to expenses are appearing on both cost centre and profit centre reports, but Income plans are only appearing on cost centres reports, i would assume these should be visible in profit centre reporting as well.  i am  i correct?  if so how can i see the incomes CE on profit centre reporting .
    Appreciate your help
    Thanks

    Hi,
    Income on cost centres is only statistical. Therefore, for income planning you should do it directly on profit centres:
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/eb/13740b43c411d1896f0000e8322d00/frameset.htm
    You can also try 1KE0 transaction, but I cannot say if it will copy income accounts.
    Regards,
    Eli

  • Profit Centre report, by Linked accounts

    How is it possible to include the account NAME of the linked account, in the Profit Centre report, by Linked accounts? Possibly in the PLD?

    refer to another thread - unable to use standard report in 2007a

  • Profit Centre Report Print Out

    Hello,
    I would like to change the print layout design of the profit centre report and add account names and transaction dates as well.
    The problem is I can't see how the values are being pulled from the database even for the original data in the report. How was the print layout design of the profit centre report made ?  How can it be customised ?

    If you can not see database fields but only variables or text in PLD, that means the report is hard coded by system.  You will not have any powers to change it.  PLD is a very basic tool.  You probably need to try other tools like Crystal Report if you need to customize your report a lot.
    Thanks,
    Gordon

  • Regarding TB & RECEIVABLES WITH PROFIT CENTRE report

    Hi ALL
    Some enteries were posted in null profit center, which I corrected by updating FAGLFLEXA table. Now S_AC0_52000887 (RECEIVABLES WITH PROFIT CENTRE) is giving correct report but same is not afftected in S_PL0_86000030 (G/L Account Balance). How do I do? Kindly suggest.
    Regards,
    Rajesh Vasudeva

    You can try using Financial Report Templates.
    Create a new template for Profit and Loss Report that meets your reporting requirements.
    Quick start to creating financial report template:
    1. Goto Financials -> Financials Report Templates
    2. In Financial Report Templates form -> Select Report {Profit and Loss} -> in Template {Select New and give a name for template}
    3. Click on Generate Chart of Account Template
    4.1. Right click on the selected account title -> choose Remove (or) choose Advanced -> Delete Account (to delete specific accounts)
    4.2. (or) Select an account title and click Hide Accounts
    5. You can create subtotals also
    After creating a financial template, while generating profit and loss report, select newly created template.
    Hope this helps in resolving your query.
    Regards
    Satish

  • Profit centre report drill down total

    Hi
    I am executing S_ALR_87009722 proft centre report from period 0 to 1. The balance of a bank account is  76,729.18.
    When I drill down to actual line items it's showing the break-ups amounting to 3,320.17; which is only the break up for period 1. Shouldn't this show the break-up of the balance as at the report date?
    We need to see the break-up for 76,729.18 (Balance as at end of period 1).
    The Profit centre currency is different to company code currency and the transaction currency.
    Any assistance is appreciated.
    Thanks & Rgds
    Nadini

    Some things you might to check:
    Actuals/ Plan values?
    Same version?
    Has somebody changed report recently?
    Have you run line item transactions individually and compared?

  • Reconcilation account in Profit Centre reporting reporting

    Hello all,
    We have defined an customer reconcilation GL account in transaction 3KEH and have defined a default profit center to it.
    Now one of the company code wants to use profit center financial statement reporting for which they will run tran F.5D and 1KEK.
    This will result in the co-code having difference in the GL and PCA report to the extent of reconcialtion account.
    Is there an alternative solution available for the same as we would like to keep the default profit center definition in 3KEH
    Thanks
    Nelson

    Hi Paul,
    We had wrong FSG assigned to asset reconciliaiton account where cost centre was supressed.
    Great help, thanks a lot. Full points assigned.
    Cheers
    Samir

  • Print Sort Code in Profit Center Report

    Hi,
    i'd like to print the field Sort Code in the 'Profit Center Report by Linked Accounts', from Profit Centre Report, but i'm not able to do.
    I can see Profit Centre field, and Name field, but not the Sort Code.
    There is a way?
    Thank you very much.
    Regards
    Marco

    Hi,
    You will still get the answer from ERP financials. SAP Business 1 is simply a preconfigured SAP R3 system with the same modules etc. and this question is very definitely a financial module problem.
    I am sure that you will get the answer there.
    Good luck
    Steve B

  • Profit Centre Hierarchy Change and Profit Centre Budget

    Hello Friends
    For better view of Profit Centre Reports we are planing to change the Profit Centre Hierarchy.
    I wanted to know that, are there some Specific Points which we have to take care of, before changing the Hierarchy?
    Will some other settings get affected in System after changing the Hierarchy?
    Also i want to know the TCode for entering Profit Centre Budget in System.
    regards
    prashant

    Hi,
    Profit centre planning (there is no budget for profit centres) is entered via 7KE1 transaction. If you change your hierarchy you should think of the effect on your reporting and allocation processes. That is if you use certain group in your cost allocation cylce and now you change it, it might have an effect on costs distribution.
    Regards,
    Eli

  • Profit Centres and Distribution Rules

    Hi, Is there someone who can help me about a problem with cost accounting?
    I've set profit centres, distribution rules (created and linked to profit centres), I've linked accounts to distribution rules so the "profit centre report" shows all the expenses related to each PC/DR. I also can see the table with all the parameters I set. My question is: how can I check (or is it possible to check) if a specific cost (account) is more than the limit I set in the distribution rules? In other terms: If I set 10.000 EUR on DR called "training expenses" with account linked "040001" and then I charge this account with 20.000 EUR; is it possible to have a notification or something in the "profit centre report" or in the "table of PC and DR" who tells: "ehy man, you spent too much!!!" (or at least the possibility to have DR values in the PC report?).
    Thanks a lot in advance and sorry about the length of my post.

    No but you can use the Budget features of B1 to do something similar. If you turn on Budgeting from the System Initialization>General Settings>Budget   You can warn on devations from Budget or block devations from budget, on PO, GRPO and JEs
    dan

  • G/L Account & Profit Centre Wise  Trial Balance Report

    Im working on a Client which is in 5 version and does not have the new GL account and document split.
    They require a  report where they could get the trial balance report (Gl accoun & profit centre).Standard report F.48 provides only Gl Account wise.
    Please suggest me on how i can start this develpomnet.As per my view i need to update a Z table with profit centre and Gl account Amounts and then in turn fetch the values to my report.
    Can the SDN experts help me on this,i would be very gratfull.

    hi,
    you can use these tables for trial balances g/l account wise.
    TABLES : glt0 ,
                   skat ,
                   t001 .

  • Report on revenue of Profit Centre Transfer pricing

    We want to have a report on the revenue earned on profit centre transfer price.  We have maintained all the settings for the transfer price and the document is also posted correctly.  We want to see a report showing the revenue and profit earned on each transfer between profit centres.  When I go to the accounting document and in the "Display currency" and select "Local Currency/Profit Centre valuation" I can see the revenue and transfer price for profit centres involved in the document.  But how can I take a straightforward report on this rather than going inside the document and changing the currency, etc.?

    Hi Nikkitha ,
    Have to checked the standard SAP Report .. S_ALR_87013355 .. Transfer Price Reconcilliation  it should solve your purpose.
    Regards
    Sarada

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