Recon accounts- Open item managed
Hi All,
I have a doubt in Reconciliation accounts of Vendor/ customer & Assets. When we create a reconciliation account in GL master, it was created as non open item. but it is behaving as a open item. This function is working only for vendor & customer. why it is not working for Asset cases?
Regards,
Usha
Dear Usha,
Structure of handling transactions of Vendors/Customers is different from Assets. For Vendors/customers we don't have any depreciations and retirement type of transactions. We will maintain only two types of recon (normal & Special).
But if you see from the Asset Perspective its different. We have to do the depreciation, Asset retirements as well as the Asset Transfer. All transactions are belongs to the same asset but the treatment is given differently. For example for Depreciation also we have a recon account.
If we maintain only one Recon like AP/AR then it is very difficult to analyze these data differently. May be that is the reason SAP configured the Asset Recon account in this way. hope its helpfull. thanks
Regards,
Ahemmed
Similar Messages
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Gl account open item management.
Hi
This is Amar i am some daught about open itme management.
in one gl A/c open itme management is taken while careting the GL, and posted some documents in that GL account is it possiable to remove the open item indecater in that GL at any time?
Exp: in one GL A/c open item management is taken while creating the GL A/c and posted some documents in that account and cleared that open items now that GL A/c balance is '0' now it is possiable to remove the open itme indecater in that account?
Regards,
Amarnadh.Hi
Yes you can switch.
Goto SE38 and run program RFSEPA02
Cheers
Srinivas -
"Open Item Managed" for Bank GL accounts
I am trying to tell my users that they should set the bank GL accounts (not the bank clearing account) as "open item managed". Our users have been clearing the bank accounts down to make it exactly the same as the bank statement. All the SAP Helps and manuals suggest that bank accounts shouldn't be open item managed. But what is the implication? Is there any auidt issue?
ThanksHi
The main Bank Account is the GL Account that is used for all the accounting transaction by default including the payment transactions. Bank Sub Account is used as a clearing account for payment transaction to track the payments that are not yet cleared by the bank. It would not make sense to make the main Bank account Open Item managed from accounting perspective. This account will come into picture when actual clearing happens and gets confirmed from the Bank.
It may not be an Audit related perspective.
Anuradha Ambekar -
FB50L error: Postings to G/L accounts with open item management are not permitted
Dear All
I need your help.
I am trying to do some adjustment to GR/IR clearing account in Non-leading ledger. Since for this account open item management is ticked, I am getting an error message 'Postings to G/L accounts with open item management are not permitted'.
Now I have checked the forum to find some solution...but does not fit my requirement.
I cannot create a new account. I cannot change the existing account. I tried OBA5, but the message persists.
I also checked the notes.
Appreciate a response on how the post to open item managed accounts in non-leading ledger.
Regards
KunaalHi Kunaal
Usually, OIM accounts are not allowed for Non Leading Ledger postings... With EhP4 or 5, i guess, a new feature is added in GL Master whereby you can specify that a GL will be OIM for Leading Ledger and Not OIM for a Non Leading Ledger
Regards
Kavita Agarwal -
hi all
could you explain me about Open item managment.
regards
sureshOpen Item Management : For Accounts which are to be monitored i.e. payment are to be monitored the account must be defined as a open item management account (Pending Item)
We can specify it for Balance Sheet Account
For Clearing Account we need to select open item management
Open item management is to be selected for Balance Sheet receivables and payables Accounts
Ex : Bank Clearing Account
Expences Payable Account
Income Receivable Account
Taxes Payable Account
Loan Payable Account
Open Item Management must be followed by Line Item Display (Mandatory)
For Recon Account donot select the openitem management.
Thanks
Hari -
Changing Open Item Management Settings
Hi,
When iam trying to change the open item management settings i am getting the error that Account balance is zero, but the account has open items. Why iam getting this error? and how to resolve this.
ThanksHello,
was the message : FH190 generated when you change the o"pen line item management flag"?
The error message FH190 prevents users from switching off the Open item management indicator when open items already exist. Please consider the following options:
1) Change error message FH190 to warning message via transaction OBA5.
Enter application area FH. Press Enter. Click on New entries.
MsgNo Online Batchl
190 W W
Click on Save.
2) Create new G/L account with Open item management indicator turned OFF via transaction FS00. Transfer balance from old G/L account (open item management ON) to new G/L account (open item management OFF).
Please review note 606977 for further info.
Also check NOTE 403744 which may be helpful to use. However, this is aConsulting note where is also advised not to activate the line item management but to transfer the items to this new account.
Best Regards,
Gladys xing
Edited by: Gladys Xing on Jul 1, 2009 4:28 PM -
Can we Select Open Item Management for Recon Accounts??
Hi Members,
Is it necessary to select check box open item management for reconciliation accounts ???
for ex; sundry debtors, sundry creditors .
If so may i know the reason.
Bcz all subledger accounts are automatically maintained as open item accounts ..so is it again necessary to select this check box in recon. accounts.
thanks and regards.Hi
System will not allow to save with OIM selected for Recon account.
For all sub ledgers OIM will be unchecked.
VVR -
Change GL Account from Open Item Managed into non-Open Item Managed
In the former R3 environments, release 4.6 there was the program RFSEPA03 to turn off open item management.
However, in ECC 6.0 this program is blocked and there seems to be no possibility to change a GL account back to non-open item mgt.
Please comment,
Kind Regards WRYes .. I Agree with you ...
Actually I accidently, did not check the GL first, but run the ZRFSEPA02 first .... because of that, my GL is check as an open item and as a recon account too ...
any solutions ? -
Posting to G/L accounts with open item management not permitted Fagl_post
Dear Expert,
When i run the foreign cur rev. through FAGL_FC_VAL then system is not post the currency rev on open item on GL account. It showing subject message and also show below mesaage:-
Message no. FAGL_POST_SERVICE012
Diagnosis
You use GL account 210012 in company code 1000 with open item management. However, posting are not permitted G/L accounts in individual ledger with open item management.
Please advice on this issue.
Thanks & Regards,
PankajHello Pankaj,
Is your adjustment account was defiined as OI management. if yes, then t is generally not permitted to use the O/I managed account as an djustment account. The adjustment account is the same as O/I
managed GL account, so the error message FAGL_POST_SERVICE012 is issued. This is justified because open items must be made valid for ALL ledgers in the client but FAGL_FC_TRANS posts ledger specific posting by having ledger group in the document header - Ledger Grp 0L.
The best solution is to assign non-O/I managed account as an adjustment account, and this is the 'standard' solution.Please also check note 884639.
Best Regards,
Gladys xing -
Account type M and G/L account with open item management not permitted
Hi,
I am getting the following error while applying VL02N (PGI) is "Account type M and G/L account with open item management not permitted". Before I got an error like posting period and I have closed those posting periods 2008/08 and 2008/07. Now I am getting this error.
Please provide the solutions to overcome this and I want to execute the full transaction.
Thanks in ADVANCE.
KishoreHi Kishore,
Please check these threads
Account type M and G/L account with open item management not permitted
Re: Account type M& GL with open item managment not permitted error
Posting to G/L accounts with open item management are not permitted
Hope this would help you.
Good luck
Narin -
Postings to G/L accounts with open item management are not permitted Messag
HI All,
Me activiated New GL. and when I am trying to post the
document, I am getting the below error.
The GL used 200100 is Cash A/c (40)
Cr Eq Share Capital A/c (50)
As Cash A/c requires Clearing, I have activated "Open Item Management".
Can you advice me why Its giving me the below mentioned error.
Thanks
Postings to G/L accounts with open item management are not permitted
Message no. FAGL_POST_SERVICE012
Diagnosis
You use G/L account 200100 in company code RLIF with open item
management. However, postings are not permitted to G/L accounts in
individual ledgers with open item management.
Procedure
If you have not yet made any postings to this account and if the
account is to be used for closing processes in non-leading ledgers,
deactivate the Open Item Management indicator in the company code data
for the G/L account.
Thanks,
Niranjan YandamuriHi,
Please, refer to note 1646466 for the info on this message.
Regards,
Eli -
Post open items with clearing for a account nt previously open item managed
Hi,
We have a current VAT account which was not open item managed till April 2008. Since the account has a zero balance we were able to make it open item managed from May onwards.
Using transaction code FS10N we see that there are some items which are open (type SB and SA). We want to post these items with clearing.
Moreover the postings made in the vat account are done every month but they are manual postings only using T.Code FB50 and as checked using the transaction code OB40.
We are not also allowed to run program RSEPA02. as this is not a standard program and not recommended to be run by SAP.
Could anyone please sujjest how can we post the previous items with clearing.
Thanks and regards,
Priyajit.Hi,
In this case when you are shifting account from open item to non open item all the open item debit and credit side to a dummy account and when account is converted into open item you have to reverse the earlier entries.
Check this with what exactly you have done.
Assign points if solved the problem.
Warm Regards
Edited by: MILIND on May 20, 2008 10:29 AM -
Open item manage accounts clearing problem
Dear experts,
We have created some of the liability gl accounts master without open item management. After a period of time we have converted the gl accounts into open item management by executing the programme RFSEPA02. Now we are going to clear the old documents, which are posted before open item management conversion.
Now the problem we are facing is - document splitting for the old document.
Kindly send your openions to clear the old documents or again we are ready to convert the open item management to non-open item management for the GL accounts. How to do it.
BSRbutter to search for OSS note or write service market place
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Open Items Management for B/S Account
Hi Friends,
I have a b/s account in which open items management is turned off[unchecked],
We have already made postings to that account, Now when I try to turn it on, it gives me error message that balance needs to be zero to change the status of open item management.
Is there any other way , I can change the status of account.
Regards,
WilsonHI,
Create a new account with the correct account assignment. Post your items to the new account. If you want to use the original account number, you must bring the account balance to zero, change the account assignment, and re-post the items. You can remove the old items by archiving the documents.
Please change the error to a warning and you will able to skip it This will allow you to change the indicator XOPVW.
Keep in mind that changing the account management to line item/open item display is not recommended by SAP.
Rewards me If it useful
Regards
Ravinagh Boni -
Activate Open Item Management for a tax GL account
Hi experts
I have tried different options and explored forums but haven't been able to find the solution as yet.
I have some tax GL accounts (Tax Category field in their GL master is < or > i.e. Input or Output Tax Account). There have been postings to these accounts but these accounts are not open item managed. To perform clearing for these accounts, I need to activate OIM for which I'm trying FAGL_ACTIVATE_OP but the system gives me error"
"Not possible to determine tax indicator in company code xxxx
Company code xxxx is not considered for the activation"
When I further drilldown the error, i find the following information:
Diagnosis
Postings to the selected account require a tax code. On the basis of the company code data (T001), the system tried to determine a tax code for zero tax. However, there is no such tax code stored for the company code.
Procedure
Specify the tax code for zero tax in the company code. You do this in Customizing for Financial Accounting Global Settings (New) under Assign Tax Codes for Non-Taxable Transactions.
I have checked settings in OBCL for Non-Taxable Transactions and found that I0 and O0 are maintained for Input and Output tax (also tax jurisdiction). In Table T001 I also find these entries so these seem to be complete.
Can somebody please help me sorting out this issue.
Many thanks!
MoazzamHi,
Some G/L accounts cannot be managed on an open item basis,
specially G/L accounts that are used in account determination for
automatic transactions (ie: accounts set up as bank accounts, Tax
accounts, raw material accounts, reconciliation accounts, profit and
loss accounts).
It is the standard design of the FAGL_ACTIVATE_OP that there is no
conversion of a tax account to open item management.
Processes as the posting of the sales/purchases tax payable do not
process any clearing transactions therefore the open item management is
not necessary. Clearings must really never be posted to an input VAT or
output vat tax account, otherwise it would prevent subsequent processes
on the actual open items (Customer or vendor). The only tax account on
which the open item management should be possible is the G/L account of
the deferred tax.
Hope my information was helpful for you.
Regards,
Cristiano
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