Reconcilation Account

If the reconcilation account is changed from one account to another, the transaction  pertaining to the previous reconcilation account No. get blocked (i.e., ) there will be a balance in the vendor account, but  there will be no open items for clearing.
Could any one help me  in this sceniro. Is there any program which i can run.

Hi,
It is not necessary that the balance in vendor / customer account must be zero in order to change the reconciliation in the master data. It can be changed at any point of time. However, if you change you are required to run transaction code balance sheet adjustment F.5D in order to move the entries posted to previous reconciliation account are get adjusted with new reconciliation account.
Please let me know still you struck with any problem.
Regards,
Ravi

Similar Messages

  • Differnce in Accounts Payable Reconcilation Account

    Hello Everyone,
    My user has encounterd a problem, that there is a balace  difference in the same GL reconcilation account if pulled from GL balace display(FS10N) and from SAP standard reporting using F.98 > Information System> Accounting Information> Balance in Local currency. Further the difference is only in last month of previous(March 2008) Fiscal year ( Fiscal runs from April to March).
    Please give the possible area to look and/or advise me with some soutions that why is that difference is coming up on the same GL account if pulled from differenct places.
    Help would be much appreicated and points will be awarded.
    Request to reply ASAP.
    Thank you again.

    Hello
    Check the balance sheet for the balance displayed there. Take that as a base and check if the other balance is statistical and analyse the difference amount.
    Ensure all month end activities, revaluations, conversions, adjustements are carried out.
    Take the balance sheet amount as base and go back wards to tally with the other balance.
    Check in the mext month if these get adjusted.
    Inform customer your reasons and observe next month closing carefully.
    Regards
    Suresh

  • Vendor balances per reconciled account

    Dear all,
    In my country, I use alternative account for vendors. Is there any function to get balance of vendor per reconciled account.
    By example:
    Input:
    Vendor Number
    Reconcile Account
    Output:
    Balance at key date
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    Hi,
    In FBL1N, press change Layout button.  there you will be find a field called G/L Account.  Select it and bring it into display fields and press enter.  It will show the recon a/c to which the vendor line item is posted to.
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  • Balance diffarences in reconcilation account

    Hi,
    my vendor balances according to reconcilation account wise(s_alr_87012082 vendor balances in local currency) in this report my value is Rs 4734349.48/-and my balace sheet report (f.01) particular reconcilation a/c is showing Rs 4837848.48/-.
    because  changed the reconcilation a/c in vendor master after postings .how to adjust this diffarence value according to above report in new reconcilation account. give a solution on this issue.

    Hi Rama
    You need to do the following steps:
    1) do the account assignment in OBBW for those changed reconciliation accounts.
    2) Execute the Program SAPF101
    which will resolve your issue.
    I hope now you are clear
    Regards
    Chandrasekaran A

  • Vendor Balane is not tally with the Reconcilation Account

    Hi to all..
    When i am checking vendor reconcialtion account T,code S_alr_87012082 For eg my reconcilation account  no is 100000,
    and ia m checking in Fs10n Gl balance its not matching some differance is there. But it should match .. pls guide me

    Hi
    I checked in every way bec only this Reco is not matching other Reco is matching it has differrance from 2003 on wards now our people are doing for Rec for 2005 last three years it has a differance pls guide me how to solve

  • Reconcilation Accounts are not updating in KE80 PCA-Report

    Hi,
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    Thanks
    Supriya

    Hello,
    There is no need to maintain the reconciliation accounts in 3KEH.
    You only need to maintain the additional balance sheet accounts in 3KEH.
    If you further interested to determine on various level, you can write the PCA determination in 3KEI
    Please remove reconciliation accounts from 3KEH.
    Execute F.5D (Balance Sheet Adjustment)
    Execure 1KEH, 1KEK, 1KEI and 1KEJ reports. (Make sure that you have removed test runs)
    Useful transaction code is KE5T, where you can see the difference between FI and PCA
    Regards,
    Ravi

  • Reconciling accounts in GL

    Hi,
    We are using Oracle Apps Rel 11.0.3 on Sun Sparc Solaris 2.6.
    We are looking for a way to reconcile accounts in GL. We have installed German Localization and are trying to use this for
    its reconciliation feature but it does not quite suit our needs. I have searched in Metalink and have come across Notes like 1016426.6, 1041211.6 and Doc ID 141777.999 in GL Technical Forum on subject "Oracle R11 Reconciliation in GL". I have also downloaded the Oracle Financials Regional User's Guide under Technical Libraries\Financials\Global Financials\Product Documentation\Rel 11 Documentation:EMEA/Regional. This user guide shows similar features to German Localization except that I do not have the option Localizations -> Manual Reconciliation in General Ledger.
    Besides, Note 1016426.6 mention localized version of Enter Journals in GL (JGZZJERJ).
    How do I get this form and using which responsibility? I can't find this form under $JG_TOP/forms/US.
    How can I reconcile accounts in GL e.g reconciling journal lines from AR and from legacy systems (like Revenue System) - our legacy system has an interface with Oracle Fin thru Journal Import.
    Grateful if anyone could advise. Thanks.
    Andrew Li
    null

    Hi Andrew,
    If you are member of OAUG you go to the following web site for technical paper on how to reconcile AR with GL
    www.cathycakebread.com
    HTH
    Sanjay

  • How to make balance in reconcilation account

    Hi gurus
    When I am posting JV in FB50 by debiting to depreciation asset retirement account and crediting to asset account which is reconciliation account its giving error as below
    Account xxxxx in company code xxxx cannot be directly posted to
    Message no F5354
    I want to make zero balance on this accounts as asset account is closed in the company code.     
    Please let me know how can i make them zero
    Regards
    Sunitha
    Edited by: sunitha reddy on Mar 18, 2010 3:26 PM

    Hi,
    The error F5354 is not an unknown error:                               
    Please check your account determination in AO90 as this error is a     
    typical customizing error.                                                                               
    Please be aware, that certain accounts cannot be reconciliation        
    accounts but are 'normal' GL accounts. That is an important reason why 
    this error does show.                                                                               
    Since the upgrade, the system checks now some account controls and that
    is why you get the error message now (even if it was working before    
    with the same customizing and even if this account is not directly used
    in the current transaction).                                                                               
    You may want to review the FI-AA consistency report re G/L Accounts:   
    IMG Path:                                                              
    FI-AA -> Preparing for Production Startup -> Check Consistency         
    -> Consistency Report: Asset G/L Accounts (tx OAK4 = program RACKONT1),
    here you will find the same error messages as in AFAB.                                                                               
    As per note 7595 indicates:                                                                               
    The balance sheet accounts and the accumulated depreciation accounts   
    must be characterized as reconciliation accounts of account type 'A'.  
    Down payment account KTANZA must also be a reconciliation account      
    of account type 'A'. The clearing account for down payments KTANZG     
    must not be set up as a reconciliation account.                                                                               
    Error message F5345 indicates that's you are using reconciliation      
    accounts in a depr. area which doesn't post online (T093-BUHBKT > '1') 
    So, if the accumulated depreciation account is a reconciliation account
    it is fine. The problem must be found somewhere else. Maybe the account
    is also used for a concept where non-reconciliation accounts are needed
    (for example and offsetting account or a clearing account).                                                                               
    Please check table T095 in the account determination for revaluation.  
    The field KTAUFW is defined like KTANSW with the reconcilation account.
    That is correct as they are balance sheet accounts.                                                                               
    But the contra account must not be the same, because when posting      
    revaluation the system try to post                                     
    with posting key 70/75 KTAUFW against 50/40 KTAUFG.                    
    The problem is that reconciliation account can only be posted          
    with posting key 70 / 75.                                              
    So you have to change the contra accounts.                                                                               
    Regards Bernhard

  • Multiple Reconcilation Accounts

    Hi gurus
    I am getting one problem. As i am maintained Multiple alternative reconcilation accounts to vendor/customer. Because at the invoice posting i want select suitable reconcilation account. But the Reconcilation account field was displed as non-changeable mode. So i am unable to select for my desire reconcilation account . At the time of invoice posting i am able to see all my  reconcilation accounts but  not possiable to change the  reconcilation account . Becuase it was unchangeable mode. So how can i adjust that field as changeable mode in invoice postings.
    And I am assign all alternative reconcilation to reconcilation properly.That Reconcilation account has been assigned in master records.
    regards
    ram

    Hi,
    Go to FS00 see the reconcilation account choosen the option reconcialtion account ready for input. Under field status group
    One more for that reconcialtion account are you assign the alternative reconcialtion accounts or not.
    Hope this is clear, if yes assign points
    Regards,
    Sankar

  • How to distribute Reconcilation account balance from a Prft Cntr-FAGLGA35

    Hello,
    Please provide your input for the below query:
    How to distribute Reconcilation account balance from a Prft Cntr-FAGLGA35?
    Regards,

    Hello,
    Thanks a lot for replying.
    I have done new posting KR (vendor Invoice), where in General Ledger View the Pofit Cneter got populated in the vendor line item because of the doc spliting.
    Now when I hae trying the do assessment of the vendor balance as directed below, no sendor is getting selected.
    Please help me how to do the assessment of reconciliation account.
    Regards,

  • How to assign reconcilation account to particular compant code ,

    Hi ,
    How to assign reconcilation account to particular compant code , please

    Hi siva
    You can create the reconciliation account in FS00 there while creating you can give the company code
    Another option is Copy the available reconciliation account in FS00 and change the company code.and give your own G/L account number. and save it
    Regards
    Srinath

  • Vendor master -Reconcilation account

    Hi,
    I am running a Scenario of stock transfer from Plant to plant ,For that sending plant i am creating as vendor & receiing  plant as customer, In this case in the reconcilation account field of Vendor or Customer master what Gl should i give ?
    Regards,
    Santosh kumar

    Do these plants belong to two different company codes?

  • WHAT IS RECONCILATION ACCOUNT WHIILE CREATING VENDOR MASTERDATA ?

    Looks like your caps key is stuck.... please type in proper case ... it is a strain on the eyes to read al CAPS ..
    WHAT IS RECONCILATION ACCOUNT WHIILE CREATING VENDOR MASTERDATA ?
    WHY WE MAINTAIEN IT?
    Edited by: Arun Varadarajan on Mar 10, 2009 9:14 AM

    Hi Rama Krishna,
    under reconciliation account there are several sub ledgers (subledgers:vendors) once u post in subledgers automatically update reconciliation account.  we can't post directly in reconciliation account.
    for eg: we have 100 vendors with having one reconciliation account we call sed all the vendor balances by using reconciliation account
    hope it clears
    Thanks & Regards
    phaneendra

  • Vendor Reconcilation account change during the document posting

    Hello Experts,
    I have one doubt about the Vendor Reconcilation account change during the document posting.
    Is there any way/possibility to change the vendor reconcillation account during the document posting, for a particular vendor.
    If is there any chance please let me know the way how to change it and also letme know the impact of this.
    Thanks in Adavance,
    Satya

    The System always takes the reconciliation account stored into the Vendor master data.
    Technically it is possible to change reconciliation account in vendor master record as follows:
    1) SPRO -> Financial Accounting -> AR and AP -> Vendor accounts -> Master Records -> Preparations for Creating Vendor Master Records -> Define Screen Layout per Activity (Vendors) -> Change Vendor (Accounting) -> Company Code Data ->
    Account management -> field 'Reconciliation account' set to 'optional entry'
    2) Then system will allow you to change reconciliation account in vendor master record.
    In general you can only change recon account when balance is zero.
    "By changing the reconciliation account in the open item master record the proportionate values from the items open at the time of change are not posted to the new reconciliation account.
    Hope this claifies.
    Kind Regards
    Soumya
    Edited by: Soumya Rao on Oct 13, 2011 12:51 PM

  • Reg Reconcilation account

    Dear Gurus,
                          I would like to know the reconcilation account used for my company...how do i chk it...? pls clarify...Thank you...

    Hi,
    Refer Report S_ALR_87012086 - Vendor List
    Here in selection screen, enter Company Code and select "Account Control and Status" indicator and execute

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