Regarding AUC

hi all
i need the configuration steps for asset under construction .
i have to configure that for my client.
pls send detailed procecure how auc linked with internal orders ,how can we customize the links b/w auc and intrnl orders,and the settlement process to that perticular asset pls send details to this  e-mail id  [email protected]
responds evryone can appreciated highly.
thanks in advance every one
regards
chandra

Hi
As Far my knowledge there r few steps to configure for apolozise, there r as as follows
1)Maintain Settlement Profile:
Img>Controlling>Internal orders>actual Posting> Settlement--->Maintain Settlement Profile
2)Assign Settlement profile:
Img>Finance Accounting>AssetAccounting>Captilzation of AUC> Define/Assign Settlement Profile..
3) Maintain No ranges for settlement documents
tcode: SNUM
4) Captilize AUC
t-code AIAB.
thease are the basic requirements for creating teh AUC..Plz Apologize me.
regards
sankar.dsr

Similar Messages

  • AUC Down Payment issue

    Dear Experts,
    Recently we have activated the down payment process in our system for normal purchase orders without configuring for AUC. In the month end we settle the internal orders to AUC (KO88), while doing this process, I got the error You cannot use this transaction type to post to this asset Message no. AA834,
    I fixed this error by doing the required configuration in OAYB. In the next error system was throwing the errors related to account determination which can be fixed by maintaining the acquisition down payments and down payment clearing account in AO90.
    I don’t understand the strange behavior of the system. There is no down payment in any of the purchase orders related to the AUC even then system is insisting for the down payment configuration.
    I have maintained account determination in our test system and processed KO88 I can able to settle the internal order but some additional transaction with odd value has got posted by debiting the  down payment  acquisition WIP and crediting the Down payment clearing account.
    I did not understood from where this value is flowing.
    Please throw some light on this issue. I want to settle the internal orders to AUC without any error related to down payment as we are not using down payment for AUC.
    With Regards
    Uday

    Hi,
    If you are using Internal Order in Purchase Order and while doing down payment against Purchase Order, system is also picking Internal Order while processing down payment which cause of errors and posting Down Payment amount on asset while settling Internal Order.
    Please follow the steps for not posting down payment to Internal Order.
    Check your GL account which is using for Posting Down Payment against Sp. GL Ind. (Alternate GL Account)
    Check the field status of that account.
    Maker CO/PP Order as suppress field in Additional Account assignments.
    Now Internal Order field will be suppress at the time of down payment against Purchase Order and then no down payment will be settle to Asset while settling Internal Order.
    Regards
    AJ

  • Migrating AUC from legacy system into SAP

    Hi,
    I'm trying to migrate AUC into SAP from a legacy system and the fiscal year start from 2008. How do I post the acquisition value in AS91 if the AUC is acquired in 2007? using transaction type 900? The asset value date is posted in 01.01.2008 is I post the value through transaction tab. Is that correct? Pls advice.
    Best Rgds,
    Li Ling

    Hi Shaik,
    You need the access to the file system of ur legacy application and then you can follow this link for the required ifnormation
    File & Header
    Regards
    Vishnu

  • KO88 - Error when settling for Cost Center AND Auc for the same Internal Or

    Hi Experts,
    We need to configure Investment Internal Orders that could settle to both Cost Center and Auc, but each assignments with different Source Cost Elements
    We did the following:
    1. Created Auc Class
    2. Created Investment Profile "IMOBIL" and assigned to Auc Class, flagging Auc
    3. Created Allocation Structure "CV" with two assignments:
    01, Source = Cost elements 7000000000 to 7999999999, receiver AUC "by cost element"
    02 Source = Cost elements 4000000000 to 4999999999, receiver CTR "by cost element"
    4. Created Model Order, filling the Investment Profile IMOBIL created in step 2.
    5 Created Settlement Profile ZCV0001, assigning Allocation Strucutre CV, allowing CTR and AUC for receivers, default receiver is "FXA", doc type "AA".
    6 Created ORder Type CV01, assigning Settlement Profile ZCV0001.
    When I post only for Asset Expenses (Source Cost element 7, Assigment 01), the settlement through KO88 correctly settles to AUC, and also creates the settlement rule for cost center (i'm using the strategy to create from Responsible Cost Center).
    But when I post for Asset Expenses (cost elements 7, receiver AUC) AND General Expenses (Source Cost element 4, receiver CTR), KO88 generates an error KD506, saying that for Assigment 02 - AUC I didnt define a settlement cost element.
    1. Assignment 02 is not AUC, is CTR;
    2. I flagged "by cost element", so I don't need a settlement cost element. And also, I was able to post to AUC when the source posting was only for cost element 7.
    Did you face any problem like this?
    I cannot find out what is the missing configuration, or if it is a program error...
    Kind Regards
    Mayumi Blak

    Hi Ajay
    I already created Source Structure and assigned to my Setllement profile (so I assigned Allocation Structure AND Source Structure).
    I don't understand when you say that I need to assign the Source Sutrcture in each rule....because the Source structure is in the Settlement Parameters valid for both rules...
    When I post to Asset Expenses only for the internal Order, the 2 rules (CTR and AUC) are created when I run KO88 (but only AUC rule is settled). This is OK.
    The problem is when I post for both General Expenses AND Asset Expenses, the system is not recognizing that I have 2 source structures, neither is findind that for CTR AND AUC the Settlement cost elements are the original cost elements.
    I'm thinking about changing message KD506 to warning, do you know if this can help?
    Kind Regards
    Mayumi Blak

  • Error in creating AUC

    Hi All,
    I have an issue in creating as AUC ,
    I have tried testing in development system by creating a project and wbs element. In control tab of wbs we need to select the Investment profile (we have maintained the investment profile with asset class 9000), wen we release the wbs AUC is created .
    All the steps mentioned above are working fine in Dev system, when the TR's are transported to Quality syst in the control tab of wbs when I selected the investment profile , I am not able to get the Inv profile wat we have created, If I select the default profiles which has the same Asset class with manage AUC ticked , I am getting the error as
    "Error when processing AUC for wbs,
    Substitution AS01 not found"
    Regards,
    Vineeth

    Hi All ,
    I am getting this error as shown in the attachment. when I have selected the Investment profile with asset class 9000 (for creating automatic AUC) Capital investment measures. when I release it I am getting the following error. I have also attached the number range maintained.

  • AUC (CWIP) Error

    Hi,
    While creating the WBS Element user has wrongly updated Requesting company code.
    all AUC assets were created in requesting company code for the investment management.
    PO is created with that WBS Element & GR, Invoice, Vendor Payment also made.at the time of GR (Service PO) FI Entry was created as below.
    CWIP Exp A/c Dr 500 (with WBS as cost object)
    To GR/IR A/c 500
    now while settlement CWIP Exp is going to requesting co code AUC which were created at the time of WBS Element Creation with different requesting Co Code with Cross Company Transaction activated. now i tried to remove reqesting company code from WBS it is showing below error.
    Asset 300200000682 0 not in requesting company code ABC In global memory of function group AIST
    Message no. AA001
    Diagnosis
    The asset number 300200000682 0 you entered, does not exist in company code ABC In global memory of function group AIST.
    System Response
    Processing cannot be continued.
    Procedure
    Correct your entry.
    It is also possible that this asset is defined as a group asset. In that case, it cannot be used as an asset.
    i need
    1) can i remove or change requesting comapny code from WBS.
    2) can i delete AUC's which were created in requesting company code & recreate in existing Co Code (Transactions posted PO to
    PAY)
    3) How do i capitalize the CWIP Exp to original company code AUC.
    Regards,
    Ravi

    Hi,
    the only possibility I see is to do the full settlement to the final asset and then to transfer the values from the final asset in requesting company code to the final assets in the correct company code.
    Best Regards,
    Blaz

  • AUC and settlement rule mismatch.

    Hi,
    We have created many AUCs while uploading initial data at the time of go-live by posting JVs on WBSE and then performing the settlement. Now due to some currency issues we have reversed all settlements, and then Asset accounting person has resetted the asset register.
    now when I am trying to create AUC from CJ20N, system creates AUC and provides the number. but this newly generated AUC number is not matching with the AUC in settlement rule. I can't delete the old settlement rule as the settlement performed on that. as well as I am not able to add new AUC in settlement rule.
    Please let me know if there is any program / tcode which can remove this inconsistency. or is there any other procedure to make it streamline.
    Please help.
    Regards,
    Nilesh.

    Hi,
    There is no error message in this case.
    The scenario is like:
    I have one WBSE and AUC is created for this WBS. for example AUC number is 1. the WBSE is released and some cost has incurred on it. during periodic settlement the cost is settled on the AUC.
    Now the Client FICO team observed that the asset accounting is wrong due to currency conversion problem, so FICO team decided to reset the asset register and upload the entire master with new corrections. this will reset the AUCs as well.
    so i reversed the settlement done on AUC and got the cost back on WBSE.
    FICO team has resetted the asset register and all AUCs got deleted.
    Now the issue is: WBSE is having AUC #1 in settlement rule which can not be deleted as settlement is carried out on this rule.
    But when I create new AUC for WBS it is being created as some different number, (lets say #7) so even if now I run settlement the settlement will be done on AUC #1 insted of #7 even though #1 belongs to some other WBSE now in new scenario.
    I hope I have clearly mentioned the issue.
    Regards,
    Nilesh

  • AUC Asset and depreciation error in Area 20

    Hi All,
    I have a problem with AUC settlement,  there is negative values in my AUC (Area 01, no values in Area 20) and when I am settle that to Asset master I got the error message Negative values not allowed in Area 01.   So I have selected negative values allowed check box for  Area 1 and Area 20 in AUC asset master data, now the settlement is fine and have settled that.
    Now the main problem I am facing is, here am seeing the balance of negative value on AUC asset under the Area 20 and also the total negative value is picking as Accumulated depreciation.
    Could you one provide the ideas how the nagative balace went in Area 20 and why it caluculated depreciation even though the depreciation key is 0000.
    Thanks
    Sreenivas

    Hai Qian,
    You can maintain the Net book value and special depreciationall values allowed in OADB t.code or whtever fields u want the maintain the All values allowed
    Regards
    Madhu I

  • AUC asset settlement to P&L account

    Hello Experts,
    Can we transfer the AUC value to P&L account directly through F-02, without capitalizing and scrapping it? No error showing Asset is investment measure, transaction type is not allowed. Is there any relevant  transaction type available for this process? Is it compulsory to follow the usual steps of capitalizing, scrapping and charging off to P&L or we can directly do the posting?
    Thanks in advance.
    Regards
    Partha

    Hi Partha,
    you can post the entry from AUC to P&L account with t coe FB01.
    AUC  credit (75). (use TTY 20A- retirement without revenue)
    P&L account Debit (40).
    Regards,
    Ravi

  • Error while Settlement to AUC from Project CJ88

    Hi,
    ECC 6.00/PSM-BCS
    While settling the Project to AUC I am getting the below error. Please advice.
    *Asset DAML 000009000004 0000: no subnumber with FM assignment CAPEX / /*
    Message no. AW851
    Diagnosis
    During settlement of sender WBS DAMEPL 1.1.1.1 there was an attempt to settle a posting that has account assignment CAPEX /  / (fund/functional area/grant) to an asset subnumber. However, the receiving asset DAML 000009000004 0000 does not have an asset subnumber with this assignment.
    System Response
    The posting on this sender cannot be settled to an asset subnumber.
    Procedure
    Either create an asset subnumber with account assignment CAPEX /  / for asset DAML 000009000004 0000, or settle to a different receiver.
    If this message appears as a warning only, then the posting from this sender is settled to the asset main number.
    Fund Capex : CAPEX
    Company Code : DAML
    WBS Element : DAMEPL 1.1.1.1
    Best Regards
    Shekhar
    Edited by: Chandrashekher Yellapragada on Jun 5, 2010 7:00 PM

    I  am facing the same error and find this OSS Note 440396 - Missing entries for configurable messages in IS-PS-FM where you can deactivate the error message.
    Hope this will solve your issue too.
    Regards,
    OSS Note 440396
    Symptom
    System issues messages AW851,AW852,AW856 or AW857 as Error even though
    functionality exists to make these configurable.
    Other terms
    LAIMBFM1, OBA5, AW, AW851, AW852, AW856, AW857
    Reason and Prerequisites
    Missing entries in tables.
    Solution
    Create Application Area for Customizable messages for 'AW' using transcation SM30 with view V_T100SA.
    Next using transaction SM34, enter view cluster VC_T100S, click maintain and select Application Area AW and double click Messages. Add the following entries:
    AppArea     No. Allowed Values     Std     Switch off
    AW     851    EWI     E          X
    AW     852    EWI     E          X
    AW     856    EWI     E          X
    AW     857    EWI     E          X
    Afterwards with Transaction OBA5 insert the entries for the messages you want to customize, and set them to the error level the behaviour should be for your particular case.

  • Error while AUC settlement

    Hi
    This is with reference to the settlement of assets under construction to final asset.
    We have maintained the settlement rule properly and while settlement thru T Code AIBU, getting following error:-
    Transaction type 345 not possible (posting to affiliated company)
    Message no. AA390
    Diagnosis
    For the current document, you specified either implicitly (via the customer/vendor), or explicitly (with a manual entry), that this posting is to an affiliated company. In this case, Asset Accounting requires you to use special transaction types. This enables the system to separately identify such transactions. Procedure Check the line items that you have already entered, and the transaction type you entered.
    We have tried to resolve the problem thru SAP note no 143410 but not able to settle the AUC.
    Members are requested to look into it and guide us for step by step correction.
    Regards,
    DD

    Hi Paul
    Thanks for reply. yes I start the resolve the problem with note no 143410. But did not got result. then only I start looking other solution.
    I wrote to SAP and got following reply:-
    VBUND is either filled in the master data of account to be posted or it is filled in a substition or an exit. Please check this two cases.
    In transaction AIBU the VBUND information can´t be filled. The transaction type 345 therefore is delivered in Table TABW without VBUND info (XAVERB / XABERBN) so error AA390 is correctly displayed
    when field VBUND is filled.
    The only exception in transaction AIBU is explained in note 718533.
    The logic of a normal settlement from AUC to a normal fixed assets is always without a trading partner. Therefore the message appears in AIBU.
    We hope this helps you. For more information please contact your Local SAP Consultant. Kindly close the message at your comfort.
    But from above reply I am not able to conclude the solution. If you can understand the same pl convey to me
    Request you and other member also to help me the resolve the problem.
    Regards
    DD

  • Internal Order for AUC Asset not getting created Automatically

    As per SAP Standard , when I create an  AUC Internal Order (KO01), and save , AUC asset is gets created automatically ted via AS01 and stores the AUC Asset in Internal Order settlement rule. 
    However when tried with the client Im not able to create, AUC is not getting automatically created and stored in Int Order Settlement rule.
    In config I have added investment profile to Ord Type  and in OAOA ( AUC Asset class setting , Investment profile is also checked)
    Kindly let me have your inputs to fix the issue
    Advance Thanks
    Sanjai

    Hi,
    In order to create AUC asset automatically by the system, you need to create an investment profile in OITA.
    Then assign this investment profile in the Internal order master data created through KO01 in the Investments tab.
    There is no option of assigning the Investment profile in the Order type.
    And in OAOA that is Asset class, select the radio button investment measure.
    You can default the Asset class of AUC in the investment profile or leave it blank so that same can be filled when system prompts for AUC creation.
    You cant see the AUC asset in the settlement rule once Investment order is created, but only after settlement of the balances to the AUC u can see.
    Thanks & Regards,
    Ravi Kumar

  • VIV for AuC asset error.

    Hi Friends,
    We have a scenario,
    1. PO for asset was made in foreign currency and GRN done.
    2. AuC asset settled
    3. Now while making the VIV the exhange rate is changed and the system is trying to credit the asset, but as the asset is already settled and the balance is 0, system gives error message
    "Acquisition value negative in area 01."
    Now the issue is we can't have negetive value in the asset, we can't stop processing the VIV.
    Any standard way to handle this.
    Kindly suggest.
    Regards,

    Hi,
    thanks for ur reply, i treid that earlier at sandbox.
    Can't do that as that will allow the value of the asset to go below 0. Which is not the policy.
    Thanks

  • Error when reversing settlement back to Auc - Balance in transaction curren

    Hi,
    We get following error when reversing a settlement from asset back to Auc (using AIST):
    FI/CO interface : Balance in transaction currency
    Message No. RW022
    This error only occurs when we settle a portion of the amount sitting in AuC and not the full amount. (When we settle full amount in AuC to final asset we can reverse no problem).
    When we do a partial settlement to final asset, SAP creates a document and in that document it posts a debit and credit for the unsettled amount e.g. 50k in Auc and we settle 45k to final asset with 5k remaining in Auc -  the document looks as follows
    AuC     5,000.00-
    Auc      5,000.00
    AuC    45,000.00
    Final Asset    25,000.00-
    Final Asset    20,000.00-
    The 5k above is the unsettled amount still sitting in AuC
    When we try reverse we get error message RW022 and detail is as follows:
        The balances in transaction currency must be zero for each logical
        transaction when transferring to the FI/CO interface. A balance of "
        5,000.00-" "CAD" was determined for the logical transaction "AZVZ".
    System Response
        The FI/CO interface does not process any transactions which have a
        balance in transaction currency other than zero.
    Procedure
        This is a system error of the calling application.
    Note:  We do use line item settlement in asset classes
    Much appreciate any help..

    Hello,
    You may need to check SAP notes below regarding this issue:
    1523814   Transaction AIST ends with error RW 022
    1514384   Error message RW 022 after Note 1444750 implem
    1444750   Postings without transaction currency
    I hope it helps.

  • Settlement rule for AUC not automatically generated

    Hi Experts,
    I am working on a capital project scenario where I have configured the investment profile and assigned this to the project profile.  I have also configured the settlement profile and allocation structure for settlement to FXA.
    On release of the WBS element the AUC is automatically created.
    I have posted costs to the WBS element.
    When I run settlement in test mode, using CJ88 the details show the sender as the WBS element and the reciever as the AUC, and the amount = the cost posted to the WBS element in the posting period, (as expected)
    However, (now my problem)
    When I run settlement in "update" mode the settlement shows 1 settlement however when I drill down to see the sender or reciever details are blank.  There are alno no accouting documents and a settlement rule does not display for the WBS element.  There are no error messages even though the settlement has not taken effect.
    Please can anyone advise on the possible cause of this error.  One further  point the document type on the settlement profile is configured as "SA"  GL Account Document.
    Thanks in advance.
    Ian

    hi,
    Go to Settlement rule (CJ02),where enter the WBS .here go to Extra in the menu bar of that WBS ,under Asset under construction ckeck the box of Historiy....something like that .
    Regards
    Ricky

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