Reg:Foriegn Currency Revaluation

HI all,
What is the use of Foriegn Currency revaluation and how to configure it.
regards
JK

Hi,
Normal Business practice is to revalue the foreign currency balances (Vendor balances, Customer balances and other GL Accounts) at the end of every month. And this is reversed on the first day of the subsequent month.
Further, when the year end revaluation is done for Balance Sheet purpose, the same is not reversed.
Thanks
Murali.

Similar Messages

  • RE: Foreign currency revaluation

    Hi All,

    Hi,
    Foriegn currency revaluation program is a valuation done at the month end to show the estimated balance on period end in reporting currency. The gain or loss is not realised yet so the actual invoice value should not be changed. System also does the same. The difference is posted to a seperate account maintained in OBA1.
    I hope to have clarified your query.
    Thanks & Regards,
    Raghava

  • Report for foreign currency revaluation - FAGL_FC_VAL

    Hello Experts,
    I have executed FAL_FC_VAL - Foreign Currency Revaluation Program. System posted some accounting entry for the same. However, I want to know how system calculated and for which invoices it calculated.
    For this I want a report from SAP, for foreign currency revaluation. Please let me know the TCode for the report.
    I can see some output on screen, showing calculation, during test run. But it does not get saved anywhere.
    Please help

    Hello Ms Meena,
    You can achieve to have this if you are in ECC 6.0 by activating the Logs to be stored.
    This can be done via FAGL_FC_VAL & go to the last tab as below.
    Precondition : Make sure before user run the revaluation they click on both tick mark.
    Click on Logs
    give the date when they it is run & execute
    Select the log
    Here you can select your fields like vendor name/customer name/GL account Name.
    I would strongly suggest to create a variant by yourself & save & then ask the user to change the date to revaluation everymonth.
    Many thanks
    PB

  • Foreign Currency Revaluation

    Dear Consultants,
       We have maintain the Exchange rate in C and V  for the customer and Vendor
    respectively.
        In fact we had maintained the Exchange rate perfectly for both C and
    V in the system.
    Some documents are posted with currency type"EUR".
    We are in the process of passing Foreign Currency revaluation Entries
    for the Open Vendor Items and Open Customer Items for the fiscal year
    2006-2007.
    Sytem is taking the latest rate maintained in T.code:OB08 for exchange rate type of "EURX"
    Any reasons.Please provide solution as early as possible.
    Regards,
    Kalpana

    Dear Kalpana,
    When you are doing Foreigh Currency Valuation, System will take the Currency rate which is valid on key date ( the date you enter while running f.05).
    If require, let us know.
    Regards,
    Venkat

  • APP RUN Error -Foriegn Currency

    HI Guru's,
    Iam trying post  APP run for Foriegn currency showint following error..
    Job started
    Step 001 started (program SAPF110S, variant &0000000004436, user ID RJRAO)
    Log for proposal run for payment on 21.08.2008, identification T4
    >
    > Additional log for vendor 302289 company code G1SG
    >
    > -
    Payment method selection additional log
    > Payment method selection for items due now to the amount of USD       25,000.00-
    > Payment method "B" is being checked
    > Bank details are being checked
    >    Customer/vendor bank details are being read
    > Country SG / Bank number 7375048 / Account 3043051758 ...
    >     Customer/vendor bank details are being checked
    >   System reads house banks and checks if they are allowed
    >   House bank is selected ...
    > No suitable bank can be selected for comp.code G1SG pmnt meth. B curr. USD
    > Payment method "C" is being checked
    > Payment amount is not within the limits allowed ( 0.00 - 19,999.99 )
    > Payment method "I" is being checked
    > Bank details are being checked
    >   System reads house banks and checks if they are allowed
    >   House bank is selected ...
    > No suitable bank can be selected for comp.code G1SG pmnt meth. I curr. USD
    > No permitted payment method exists
    Information re. vendor 302289 / paying company code G1SG ...
    ... payment not possible because of reported error
    End of log
    Job finished
    regards
    Dhana

    Hi Janardhan...
    Sorry if this is not the correct place to put my question... Can you please provide any documents or any links for setting up the Workflow approval process for parked documents as you have already done that ...
    Please kindly help me...will be really thankful

  • APP RUN-Foriegn Currency

    HI Guru's,
    Iam trying to run for foriegn currency its shwoing folllowing error.
    Job started                                                              
    Step 001 started (program SAPF110S, variant &0000000004418, user ID RJRAO)
    Log for proposal run for payment on 21.08.2008, identification JOT5      
    Information re. vendor 302289 / customer  / paying company code G1SG ... 
    Payment with currency USD, payment method : No valid payment procedure   
    Information re. vendor 302289 / paying company code G1SG ...             
    ... payment not possible because of reported error                       
    End of log                                                               
    Job finished                                                             
    how to solve it
    regards
    JK

    HI
    Check Payment method in T.C FBZP for currenices allowed for APP. If any currency code is mentioned in currency fields only that currency are allowed for running  APP.(for allowing all currency don't mention any currency in this field)
    Check it for company code  level
    Thanks & Regards
    CRM
    Edited by: crm on Aug 21, 2008 8:35 AM

  • Foriegn Currency Vendor

    Hi,
    We are with SRM 4.0, Extended Classic Scenario. We have one backend Purchase Organization (=1000) and Local SRM Purchase Organization.
    In ECC we are creating the Vendor with Purchase Org 1000 and while replicating to SRM we are selecting the check box 'without refrence to backend purcahse org' and we are selecting 'SRM Purchase Org' and Defualt Order currency as USD. So the foriegn currency vendors also replicating to SRM as USD. Is there any other way to replicate the foreign currency Vendor as their orginal currency in ECC.
    SRM Administrator run this T Code at end of every business day and he dont know which vendors are with Foriegn Currency Vendors.
    Thanks in advance. Points will be rewarded
    Thanks
    Navven

    Hi,
    As of SRM40, you don't have to use a local Porg anymore for ECS scenario. For thsi you have to implement OSS notes 944918 and read consulting note 946201.
    As a consequence, the vendor replication is possible WITH reference to backend Porg.
    Thus, the backend vendor currency is used.
    Kind regards,
    Yann

  • Foriegn currency in unique format

    Hi Gurus
    This is regarding, I have requirment in rdf report. i want to display foriegn currency in unique format . how to do this in rdf. Please help me it is urgent.
    regards,
    Sreeni.

    phani,
    Specify Custom Data format for the numeric field...Go to Data format tab>Check "Override Default Data Format">Select "Custom" from the drop down and put some thing like # ## ### ###.#0
    which result in spaces instead of comas in your column as well as grand total for that particular column.
    mark answers promptly.
    -bifacts
    http://www.obinotes.com
    J

  • Accounting in foriegn currency

    In my case, there is only one company code but they are involved in import/export. So I want to cofigure the SAP system which can record the transactions in foriegn currency without group currency configuration.

    If your requirement is to post in difference currency, you can set the requirements like:
    Currency translation ratios : OBBS
    Maintain Exchange rate : OB08
    Then you can post in other currencies.

  • Foreign Currency Revaluation of open items in ECC6

    Hello,
    while running the foreign currency revaluation of GL open items via FAGL_FC_VAL, I notice that open items on our VAT account are revaluated.
    the account is flagged for balances in local currency only and open item management.
    I am very suprised to see this account popping up in the revaluation. This was not the case in previous releases.
    How can I prevent this,
    kr
    Nico

    Hello,
    I understand that you DO NOT want to revaluate VAT accounts (which make sense).
    Check if those accounts are included on FCR customizing and remove them.
    As an additional check exclude them from program's variant and they will not be selected nor revaluated.
    My question is how the program revaluates posting on VAT accounts if they are open item managed? Revaluation of open items accounts should need a not open item account in order to post the postings.
    Regards

  • Foreign Currency revaluation in SAP

    Hi Friends,
    I run the Foreign currency revaluation using FAGL_FC_VAL Transaction code in SAP.
    After run the revaluation i go and see the GL Balances but it's not appear any items.But in FAGL_FC_VAL sysyem showing the Document 1800001057 001 2009 already valuated with valuation are YB on 31.03.2010
    Can any one  help me about this issue.
    thanks,
    Hani

    check the amounts are posted in the LOCAL Currency 2.

  • Re-run Foreign Currency Revaluation

    Hi,
    Hope somebody can help me with my problem.
    I performed F.05 transaction and upon saving the report in our shared drive I encountered problem causing to lost of the report.
    Question, is there any way to retrieve the report? Please adivise.
    Thanks in advance.

    Hi,
    You can still use t-code F.05 to get back the report, as long as leaves the indicators of "Create posting" and "Reverse posting" blank, then execute the report again, you will get the report of foreign currency revaluation back.
    Good luck
    Tao

  • JVA Foreign Currency Revaluation

    Hi,
    We are implementing SAP-JVA for our client with New GL Active (Document Split not active). We wish to do the Foreign Currency Revaluation in JVA instead of FI using T-Code GJ91 (JVA Open Item Foreign Currency Revaluation).
    As I understand, for the Unrealized Foreign Gain/Loss posting, the Cost Object that should get posted for the said UXD Loss/Gain Account should be the Original Cost Object (WBS in our case) derived from the expense line item. Hence, the Cost Object may/will vary for each line-item in the Unrealized Foreign Gain/Loss account. But the system is not picking the expense line Original Cost Object (WBS) inspite of maintaining the configurations and assignments in GJ56 for Exchange Difference Account, GJBA for assigning the respective UXD Loss/Gain and Balance Sheet Adjustment Account. Instead, while executing the Foreign Revaluation for Open Items in JVA, the system gives an Error saying that Cost Object is required for the UXD Loss/Gain Account as it is a Cost Element. When we maintain the OKB9 Default Account Assignment (Cost Center) for the Unrealized Foreign Gain/Loss account, then the Error is not there but the Cost Object is the one maintained in OKB9. Ideally it should be the Cost Object of the expense line item.
    However, if I create the Unrealized Exchange Loss/Gain Accounts without Cost Element (example 6210720-Loss and 6110820-Gain), and assign the respective settings in GJ56 with Cost Element GL (6210710-Loss and 6110810-Gain), I still cannot post the UXD since the Program picks T8JK-COSTS which has GL Accounts with Cost Element and thus requires a Cost Object. The Balance Sheet Adjustment Account is though picked from T030H-LKORR in all cases.
    We have implemented the SAP Note 998431 to enable GJ91 posting in New GL. I can see many other SAP Notes on the related issue but am not sure on which is the aappropriate note to be applied, if any.
    We wish to process GJ91, GJNO and GJ90 in JVA in respect to Foreign Currency Revaluation. We wish to get the postings to Original Cost Object for all Exchange Difference related postings. Kindly suggest and recommend the relevant procedure and appropriate guidance to get things working.
    Kindly revert back if you need any further clarification or information.

    Hi Amit Agarwal,
    I have a situation now, very similar as yours.
    We wish to get the postings from IVA to Original Cost Objects at JVA.
    Now the system brings just one Cost Object for IVA and all the other lines are without cost object splliting.
    We really need the split and we are with New GL.
    Could you help us?
    Thanks a lot for your help.
    Dante Souza

  • F.05 foreign currency revaluation

    Hi All,
    Please any body suggest me how the foreign currency revaluation works.
    Once we run F.05 transaction means what it will do and which items it will pick and where it will post, and what is the realised gain and unrealised gain vice versa loss.
    And why the tcode fb1s and what it will do.
    I have one item there is no value in document currency and there is value in local currency2.  due to this item there is a inconsistancy balance in F.08 GL balances, how can i correct it.
    For knowing the above things please any body explain the process of foreign currency revaluation f.05.  And appreciate if suggest the answer for the above issue.
    Thanks in advance
    Nandha

    Hi Expert,
    Please any body suggest me how the foreign currency revaluation works.
    This link will explain foreign currency revaluation works.
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/91/5ac4402418742ae10000000a155106/content.htm
    http://help.sap.com/saphelp_dimp50/helpdata/en/a6/004940f0030272e10000000a155106/content.htm
    Once we run F.05 transaction means what it will do and which items it will pick and where it will post, and what is the realised gain and unrealised gain vice versa loss.
    http://help.sap.com/saphelp_46c/helpdata/en/a1/61b60c142b11d3a6710060087d1f3b/content.htm
    And why the tcode fb1s and what it will do.
    u2022 This transaction is used to clear open item managed general ledger accounts.
    A similar transaction exists for customer and vendor account clearing.
    u2022 If you have numerous items to clear, and prefer to deselect those that should not be included in the clearing document,
    click and deselect Selected items initially inactive checkbox.
    The transaction will then start with all items active (i.e. selected for clearing).
    u2022 You can clear multiple items in one posting. The only requirement is that the sum of debits and credits equals zero, meaning the clearing document is balanced.
    Field Description Tables
    The R/O/C column of each Field Description table indicates whether the field usage is:
    R - Required in SAP.
    O - Optional in SAP.
    C - Conditional in SAP.
    Procedure
    1. Double-click on Clear Open Items to go to the Clear G/L Account: Header Data screen.
    2. Complete/review the following fields:
    u2022 Account
    u2022 Clearing date
    3. Perform one of the following:
    If Go To
    You wish to specify a selection value range by selecting the options in the Additonal selections panel.
    For example, you may only wish to review items which have posted in the previous month.
    4. Select the radio button for the option for the open item filter you wish to enter, in our example Posting date.
    Clear G/L Account: Enter selection criteria
    5. As required, complete the following fields:
    u2022 Posting date from
    u2022 Posting date to
    6. Click to go to the Clear G/L Account: Process open items screen.
    7. Double click on the amount of the first open item in the GBP Gross column that you wish to clear.
    The system will activate the line you have chosen, and the amount in the Assigned field in the Editing status panel will reflect all activated items. If the system shows a balance in the Not assigned field, then your clearing document is not in balance.
    8. Select an offsetting item by clicking on the amount in the appropriate line.
    Both items will now display as active, and the Not assigned field will show zero, indicating your clearing document is in balance and can be posted.
    9. Click to post your document.
    The system displays the message, "Document xxxx was posted in company code xxxx".
    I have one item there is no value in document currency and there is value in local currency2.  due to this item there is a in-consistency balance in F.08 GL balances, how can i correct it.
    In the below link, Burak Uygur explained about the Foreign Currency Valuation
    F.05 foreign currency valuation
    For knowing the above things please any body explain the process of foreign currency revaluation f.05.  And appreciate if suggest the answer for the above issue.
    This link will explain the process of foreign currency revaluation..
    http://help.sap.com/saphelp_erp60_sp/helpdata/en/91/5ac4402418742ae10000000a155106/content.htm
    Regards,
    GK
    SAP

  • Foreign Currency Revaluation concept

    HI experts,
    I am an MM Consultant, I would like to know the concept behind Foreign Currency Revaluation, I want to know the process in depth with concept wise and configuration wise.
    good reply will be rewarded.
    Thanks in advance.

    Hi,
    i am valuating my vendor open item balances. My scenario is like
    Balance of Acer Limited on 10 April 2014 amount USD 1000 @ Rs 65/- = Rs 65000/-
        On Month End (30 April 2014) one usd = INR 70 in that case below entry
         Unrealized Exchange Gain  Debit Rs 5000/- (USD 1000X5) (Expense A/C)
         Acer Limited Credit RS 5000                                                      (Vendor A/C0
    Is there any chance to post such type of entries using this functionality
    Regards
    vasu

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