PSB module of Oralce financial standard reports

Hello all,
How I can know which tables and views are used in standard reports of "Public Sector Budgeting" module of Oracle Financial?
From
Chirag Patel

Hello all,
How I can know which tables and views are used in standard reports of "Public Sector Budgeting" module of Oracle Financial?
From
Chirag Patel

Similar Messages

  • HR Module standard reports

    We are in the process to implement HR module in our organization. But our implementation partner informed us that this module has very limited number of reports available. Even we can not have the monthly report for various payments and deductions employees wise and department wise ( sub Area wise) .
    May any body provide us the List of standard reports which are available in this module?
    Implementation partners always convey the message that " It is not aavilable in standard SAP " or " not possible" . How one can get the complete solution fro the SAP system.
    thanks
    harish aswani

    Hi harish
    SAP ERP HCM has a >lot< of standard reports
    For cases, where a standard report makes no sense it offers a query tool, which helps you to create own "reports" without programming
    For cases, where this is still not sufficient, if has Infocubes in the SAP Business Warehouse etc...
    See SAP
    a) service marketplace service.sap.com/erp -> SAP ERP Analytics -> Workforce Analytics
    b) help.sap.com ... Human resources ... Reporting in Human Resources Management
    regards,
    Andreas R

  • Standard report name in PS  module

    if anybody knows the some standard report in PS   module  then please give me  the standard  report name

    There are other which is not on the list, but this is a good platform to start and build up your own list of PS transactions as per your requirements:
    CJ01    Create Work Breakdown Structure
    CJ02    Change Work Breakdown Structure
    CJ03    Display Work Breakdown Structure
    CJ06    Create Project Definition
    CJ07    Change Project Definition
    CJ08    Display Project Definition
    CJ11    Create WBS Element
    CJ12    Change WBS Element
    CJ13    Display WBS Element
    CJ14    Display WBS Element (From DMS)
    CJ20    Structure planning
    CJ20N   Project Builder
    CJ21    Change Basic Dates
    CJ22    Display Basic Dates
    CJ23    Change Forecast Dates
    CJ24    Display Forecast Dates
    CJ25    Change Actual Dates
    CJ26    Display Actual Dates
    CJ27    Project planning board
    CJ29    Update WBS (Forecast)
    CJ2A    Display structure planning
    CJ2B    Change project planning board
    CJ2C    Display project planning board
    CJ2D    Structure planning
    CJ30    Change Project Original Budget
    CJ31    Display Project Original Budget
    CJ32    Change Project Release
    CJ33    Display Project Release
    CJ34    Project Budget Transfer
    CJ35    Budget Return from Project
    CJ36    Budget Supplement to Project
    CJ37    Budget Supplement in Project
    CJ38    Budget Return in Project
    CJ3A    Change Budget Document
    CJ3B    Display Budget Document
    CJ40    Change Project Plan
    CJ41    Display Project Plan
    CJ42    Change Project Revenues
    CJ43    Display Project Revenues
    CJ44    Act. overhd: Projects, ind. process.
    CJ45    Act. ovhd: Projects, coll. process.
    CJ46    Plnd ovrhd: Projects, ind. process.
    CJ47    Pld Overhead: Projects, Coll.Procssg
    CJ48    Change Payment Planning: Init.Screen
    CJ49    Display Payment Planning: Init.Scrn
    CJ70    Maintain Project Settlement LIs
    CJ72    Project: Act. amt. line item settlmt
    CJ74    Project Actual Cost Line Items
    CJ76    Project Commitment Line Items
    CJ7E    Plan Data Transfer: Projects
    CJ7G    Plan Data Transfer: Projects
    CJ7M    Project Plan Cost Line Items
    CJ7N    Maint. DRG inv.projects for retmt.
    CJ80    Availability Control - Overview
    CJ81    Update Report List
    CJ88    Settle Projects and Networks
    CJ8A    Act.-setlmt: Proj. retirmt. from IM
    CJ8G    Actual Settlement: Projects/Networks
    CJ8V    Period Close for Project Selection
    CJ91    Create Standard WBS
    CJ92    Change Standard WBS
    CJ93    Display Standard WBS
    CJ9B    Copy WBS Plan to Plan (Collective)
    CJ9B_OLD        Copy Project Cost Planning (old)
    CJ9BS   Copy WBS Plan to Plan (Indiv.)
    CJ9C    Copy WBS Actual to Plan (Collective)
    CJ9C_OLD        Copy Project Revenue Planning (old)
    CJ9CS   Copy WBS Actual to Plan (Indiv.)
    CJ9D    Copy Plan Versions
    CJ9E    Plan Settlement: Projects
    CJ9ECP  Project System: Easy Cost Planning
    CJ9F    Copy Project Costing (Collective)
    CJ9FS   Copy Project Costing (Indiv.)
    CJ9G    Plan Settlement: Projects
    CJ9K    Network Costing
    CJ9L    Forecast Costs: Individual Projects
    CJ9M    Forecast Costs: Coll.Project Proc.
    CJ9Q    Integrated Planning for Ntwks(Coll.)
    CJ9QS   Integrated Planning for Ntwks (Ind.)
    CJA1    Proj.Rel.Order Receipts: Coll.Proc.
    CJA2    Proj.Rel. Order Receipts: Ind.Proc.
    CJAL    Send project
    CJB1    Generate Settmt Rule: Coll.Proc.
    CJB2    Generate Settmt Rule: Indiv.Proc.
    CJBBS1  Planning Board Report Assignment
    CJBBS2  Structure Overview Report Asst
    CJBN    Reconstruct Availability Control
    CJBV    Activate Project Availabilty Control
    CJBW    Deactivate Project Availabilty Cntrl
    CJC1    Maintenance Dialog for Stat.by Per.
    CJC2    Maintain Planned Status Changes
    CJCD    Change documents: WBS
    CJCF    Carry Forward Project Commitments
    CJCO    Carry Forward Project Budget
    CJCS    Standard WBS
    CJE0    Run Hierarchy Report
    CJE1    Create Hierarchy Report
    CJE2    Change Hierarchy Report
    CJE3    Display Hierarchy Report
    CJE4    Create Project Report Layout
    CJE5    Change Project Report Layout
    CJE6    Display Project Report Layout
    CJEA    Call Hierarchy Report
    CJEB    Background Processing, Hier.Reports
    CJEC    Maintain Project Crcy Trans.Type
    CJEK    Copy Interfaces/Reports
    CJEM    Project Reports: Test Monitor
    CJEN    Reconstruct: Summarized Proj.Data
    CJEO    Transport Reports
    CJEP    Transport Forms
    CJEQ    Import Reports from Client
    CJET    Translation Tool - Drilldown
    CJEV    Maintain Global Variable
    CJEX    Reorganize Drilldown Reports
    CJEY    Reorganize Report Data
    CJEZ    Reorganize Forms
    CJF1    Create Transfer Price Agreement
    CJF2    Change Transfer Price Agreement
    CJF3    Display Transfer Price Agreement
    CJF4    Transfer Price Agreement List
    CJFA    Analysis of Data Trans. into PS Cash
    CJFN    CBM Payment Converter
    CJG1    Enter Transfer Price Allocation
    CJG3    Display Transfer Price Allocation
    CJG4    Enter Trsfr Price Allocation: List
    CJG5    Cancel Transfer Price Allocation
    CJH1    Reconstruct Project Inheritance
    CJH2    Project Inheritance Log
    CJI1    Project Budget Line Items
    CJI2    Budget Line Items: Document Chain
    CJI3    Project Actual Cost Line Items
    CJI4    Project Plan Cost Line Items
    CJI5    Project Commitment Line Items
    CJI8    Project Budget Line Items
    CJI9    Project Struct.Pld Costs Line Items
    CJIA    Project Actual and Commt Paymt LIs
    CJIB    Project Plan Payment Line Items
    CJIC    Maintain Project Settlement LIs
    CJID    Display Project Settlement Line Itms
    CJIE    Projects: Retirement LI Settlement
    CJIF    Projects: Profitability Analysis LI
    CJIG    Display PS Cash Documents
    CJJ2    Change Statistical Key Figures
    CJJ3    Display Statistical Key Figures
    CJK2    Change Statistical Key Figures
    CJK3    Display Statistical Key Figures
    CJL2    Collective Agreement
    CJN1    Reval.    ACT:  Projects    Ind.Pro.
    CJN2    Reval.    ACT:  Projects    Col.Pro.
    CJNO    Number range maintenance: FMCJ_BELNR
    CJO8    Overhead  COMM: Projects    Ind.Pro.
    CJO9    Overhead  COMM: Projects    Col.Pro.
    CJP1    Create Project Plan Adjustment
    CJP2    Change Project Plan Adjustment
    CJP3    Display Project Plan Adjustment
    CJP4    Delete Project Plan Adjustment
    CJPN    Number Range Maintenance: Proj.Items
    CJPU    Execute Project Plan Adjustment
    CJR2    PS: Change plan CElem/Activ. input
    CJR3    PS: Display plan CElem/Activ. input
    CJR4    PS: Change plan primary cost element
    CJR5    PS: Display plan primary cost elem.
    CJR6    PS: Change activity input planning
    CJR7    PS: Display activity input planning
    CJR8    PS: Change revenue type planning
    CJR9    PS: Display Revenue Element Planning
    CJS2    PS: Change stat. key figure planning
    CJS3    PS: Display stat. key fig. planning
    CJS4    PS: Change stat. key figure planning
    CJS5    PS: Display stat. key fig. planning
    CJSA    Data Transfer to SAP-EIS
    CJSB    Select Key Figure and Characteristic
    CJSG    Generate WBS Element Group
    CJSN    Number Range Maintenance: Projects
    CJT2    Project Actual Payment Line Items
    CJV1    Create project version (simulation)
    CJV2    Change project version (simulation)
    CJV3    Display project version (simulation)
    CJV4    Transfer project
    CJV5    Delete simulation version
    CJV6    Maintenance: Version administration
    CJV7    Display transfer log
    CJVC    Value Category Checking Program
    CJW1    EURO: Adjust Project Budget
    CJZ1    Act. Int Calc.: Projects Coll. Proc.
    CJZ2    Actual Int.Calc.: Project Indiv.Prc.
    CJZ3    Plan Int.Calc.: Project Indiv.Prc.
    CJZ5    Plan Int.Calc.: Project Coll.Prc.
    CJZ6    Actual Int.Calc.: Indiv.CO Order Prc
    CJZ7    Planned Int.Calc: Indiv.CO Ord.Proc.
    CJZ8    Actual Int.Calc.: Coll.CO Order Prc.
    CJZ9    Plan Int.Calc.: Coll.CO Order Prc.

  • Asking for the standard report or function module or class  for determining no of employees under a client

    Hi,
    Advance thanks for ur reply......
    Is there any module function or class or standard report which gives the no of employees under a specific client based on country group and also gives percentage of employees belong to the client?
    Regards,
    selwin.

    Hi,
    According to your requirement, you can prepare report through S_PH0_48000513 - Ad Hoc Query , you can get percentage from IT0007 in Ad Hoc query. first decide how many fields you want and then choose in selection criteria and generate the report.
    Thanks,
    Nirali P.

  • How to find available standard reports  for SD module

    hello folks,
    can any one please guide me how to find the standard reports available for
    the ssd module

    hi cnu,
    here r some steps to find the standard reports
    goto SE81 and click on the corresponding application like sd
    You will get the standard packages for SD with the programs available
    Please check out this link
    http://www.sap-img.com/financial/useful-reports-tcode-in-sap-financial-accounting.htm
    or
    Check this Transaction: SAP1
    U will have reports based on the area.
    or
    Look at the table TADIR --> see only the programs, even you can look at based on the Development class wise
    If you find it useful mark the points
    ~~Guduri

  • Add fields to standard Report for T-code-S_PL0_86000028-Financial Statement

    Hi Sap Gurus,
    The standard trial balance report does not generate the trial balance report with the parked documents, since the parked documents do not update the posted documents tables.
    now i have to add that colum next to the normal items column and display Parked Document data.
    so please suggest me which is the best way to do it.
    1. Either copying the standard to Z prog and do it
    2. Or enhance in any point in the standard Report.
    this report seems to have dynamic programs in it so confused how to start on.
    Tr code is: S_PL0_86000028

    Hi Sagar,
    Adding a New field is a new requirement. Its a new developement and it would be good idea to
    go ahead and develope a Z-program.
    Using Enahancement- there is high possibility of affecting the functionality...
    Regards,
    Kittu

  • All module sap standard reports

    hello,
    im preparing fi-co realted standard reports. any one help me .
    thank you
    rajesh

    Hi Rajesh,
    For all std CIN related reports, enter tcode J1ILN>> Sap menu>> Indirect taxes>> Sales/outbound movements.
    Hope this helps.
    Regards,
    Dinesh Jagasia

  • New GL and Impact on BI Financial statement reports

    Dear All,
    I would like to know if and how the finacial statment reports  would be affected by using the new GL extractor 0FI_GL_14. New GL is being implemented on ECC,  hence the change in extractor in BI.
    Is there a standard cube that can be used for Financial statement reports(Balance Sheet comparision, BS by PC,P&L reporting by PC) for New GL.
    Currently we are getting our financial statement reports out of a Virtual cube which is based on a function module Module:RS_BCT_FIGL_DATA_GET_VC1.
    *Our current extractor for FIGL is 0FI_GL_4 .
    Appreciate your Input on this .

    Hi,
    You will find all the details here:
    http://help.sap.com/saphelp_nw70/helpdata/EN/49/5700570223413085021a8b4ef1087a/frameset.htm
    -Mayuri

  • SAP standard report to show Inter Company transactions

    Basically, we have two companies that are buying and selling between each other. One of the companies is a subsidery of the other. So, the parent(x) can sell or buy from it's sub(Y) and visa versa. At the end of the period, we need to consolidate both companies for reporting purposes, therefore there will be elimination entries which should be identified.
    I need an SAP standard report to show these transactions which might still be sitting on each other books unsold

    Dear :
                   We are using ECC 6 SAP version and we have the t code FBU3  for displaying all inter company transactions. Have you done necessary configuration in OBYF. You can display all related inter company transactions through FBU3.
    Your 2nd query corresponds to same credit control area that was assigned to two company codes. In order extend credit limit for a customer who is extended on two company codes which have same credit area. It is not possible you distinguish credit limit for a customer who is extended on two company codes having same credit control areas. CCA is defined at organization structure level and for the distinction you will have to define new credit control area in customization at
    enterprise level i-e
    Enterprise Structure.... Definition.... Financial accounting....define credit control area
    Assignment.....Assign credit control area to co code
    Do necessary customization for SD module
    and then in credit management for AR you will have to assign the credit control area to company codes i-e
    Account Recv/A/c Payable.....Credit Management.... Assign permitted CCA to Co code
    . This is the only way to to segregate customer credit limit for two company codes. Please revert in case of any confusion.
    Regards

  • Need to find standard reports

    Hi all,
        Where can I find the standard reports in FI module, how can I activate those? Where can i get the documentation regarding those reports?
    Thank you in advance,
    Chandra.

    Hi
    Please goto SE81 and click on FI.
    You will get the standard packages for FI with the programs available
    Please check out this link
    http://www.sap-img.com/financial/useful-reports-tcode-in-sap-financial-accounting.htm
    Message was edited by: Dominic  Pappaly

  • How to add new fields to standard reports

    hi friends,
                 im into ABAP and working across all modules..the basic thing is users and functional people are not satisfied with the standard reports..they need some logic change or to add some more fieldsinb the standard reports.For logic change we have to copy the standard to zprogram and can do or create a new program itself..but in many cases they ask for extra fields.how to achive it ..
    for example my requirement now is adding vendor name field to the report FAGGL03 ....i found a badi and have make changes to it ...now the vendor name will be coming in sgtxt over writing the text ...but they need text also...now what shall i do???
    append structure vendor name field in faglposx table ....???how to find out the final internal table from where the output is coming ????
    ?when we check the standard rewport codes...there are lot of include statements perform statements etc  ...how to find out the final structure or internal table which has the output values..???

    hi
    it would be better if u giv full name of the report
    if ur displaying the data in alv then search for the
    word REUSE_ALV_LIST_DISPLAY REUSE_ALV_GRID_DISPLAY from which u can get the final table name
    then check the data that is comming into
    try using implicit enhancement or any other exit in the declaration and declare a new structure with the field and append it to the field catalog
    if ur displaying the data using write statement
    then create a zprogram and add a write statement
    fi ur unable to find here the final table then after displayign the report start the debugging and double click on any row to find out more easily
    shiva

  • How to add additional fields to zreport which contains standard report code

    Hi Experts,
    In order to add additional fields to standard report i copied the code into zreport but i am unable to  add additonal field into report because the code is looking so complex.
    standard report:AQZZ/SAPQUERY/FKF1============
         or
    sapmenu->accounting->financial accounting->accounts payable->information system->reports for accounts payable accounting->master data->S_ALR_87012087-Addresslist.
    Additional feilds to add is :Region,company code,country
    Please let me know how toidentify ALV and guide me how to solve this.
    Regards,
    naresh.

    Hello Naresh,
    First check whether these three fields are available in the text elements area.
    Please write your code in the subroutine %comp_ldesc.
    Repeat the code for your three new fields
    perform ldesc(rsaqexce) using 'G00010000X010       00  A1'
        %txt1 %txt2 %txt3 'LFA1-LIFNR' LFA1-LIFNR 'LFA1-LIFNR'.
      read table %textpool_langu into %textpool_langu_line
                                 with key ID = 'I' key = 'A01'.
      if sy-subrc is initial. %txt1 = %textpool_langu_line-entry.
      else. %txt1 = %txt_unknown.
      endif.
    So this subroutine will give you the basic list. Now Program is creating ALV with this basic list. So I think you don't need to worry about that. Please have a thorugh look at the code over this perform, and write accordingly.
    I think this is enoogh.
    Please update if you got the solution, which will be informative for others.
    regards,
    Antony Thomas
    Edited by: Antony Thomas on Jul 27, 2010 7:57 AM

  • Purchase Order Standard Report

    Dear Experts,
    I am new to MM module.
    I want a standard report which can display purchase order report.
    Please help me. Its important.

    Hi Charan,
    This is a forum about certificaiton. So please start a new question in the application forum, I assuem in your case you could post in SCM forum.
    B.R. Jenny

  • Standard report for period end stock report

    Hi all,
    My client is looking for a SAP standard report for material.Their req is as follows.
    Open Bal (Stock)
    Add: Purchase/Production
    Less: Sales/Consumption
    Closing Bal(Stock)
    I have sugegested them MC.9,MB51,etc....but they are not satified.
    They are not willing to go for a 'Z' report too....
    Can any one suggest me whether their is any function module or bapi or badi thro' which i can fullfill my clients req. or any other better alternative like report painter,set,etc which suit my requirement.
    (can you please let me know from table i can get these datas......just for knowledge purpose)
    hope that anybody will guide me...
    We are in 6.0 version
    God Bless
    Regards

    Try Standard Report MB5B once.
    Regards,
    Ashok

  • Standard report in sap  for  open value to capitalised as per project wise

    Sap gurus,
    Is there any standard report avilable in sap which shows Asset code,wbs element,project code,opening balance of a
    value of project for a particular period, addtion/deletion value in that project for particular period and closing balances of
    project  for that particular period.
    Regards,
    Rajesh K.

    Pls have a look into FI part of Business Content especialli to CO module:
    http://help.sap.com/saphelp_nw70ehp1/helpdata/en/61/7beb3cad744026e10000000a11405a/content.htm

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