RG1 register opening balance and closing balance updation

Hi All,
We are using the RG1 register recently i.e. after the Functional Upgrade (ECC 6.0). While executing J2I6 RG1 Excel report, opening balance and closing balance is not appearing in the report even though we have done the J1I5 extraction.
Is it mandatory to update the J_2IRG1BAL table with zero stock as and when the new material codes are created.
Regards,
Praveen

HI
Yes it is mandatory to update the table J_2IRG1BAL with material form and opening stock etc. for all the new materials
EXGRP: Excise group of the material
DATUM: Date from which you want RG1 report i.e. 01.01.2004
MATNR: Material
FORM:  P for packed, L for loose. note that the same material cannot be maintained as both packed and loose.
WERKS: Leave it blank
Maintain all relevant opening balance fields. These fields start with OP
Note 951955 - CIN: General clarifications for RG1 goods*
check the above note
regards
Prashanth

Similar Messages

  • Opening Balances and Closing Balance of customer

    Hi,
    Does SAP provide any standard customer account statement for Opening Balances and Closing Balance for specific date range have given in selection screen?
    The statement also contains reference number, order, and Delivery number.
    Note: FBL5N Transaction code will not sufficient for the requirement, so looking for any other transaction code / report provided by SAP already for it.
    Thanks in advance,
    Shwetha

    Hi,
    There are several standard reports which could be easily accessed through the menu (Accounts Receivable - Information systems). If none of these reports does not suit your requirement, you have to develop your own.
    Regards,
    Eli

  • Opening Balance and closing balance

    Dear All,
                 Can i create a calculated field for ledger opening balance and closing balance. we are using  epicor. I dont know the exact table which captures opening balance and closing balance, where as i got credit balances and debit balances for the segments, i could not find opening and closing balances in this table. table name is GLjrntdtl . Any ideas on this subject please.
    Thanks & Regards,
    Akram

    hi Akram,
    this is a question that you may wish to ask at the epicor forums
    -jamie

  • REGARDING OPENING BALANCE AND CLOSING BALANCE

    Hi, All
    After executing the TCode - FBL3N, we get the details list. There we also need to display the OPENING BALANCE AND CLOSING BALANCE according to G/L Account and Company Code.

    Hi
    For opening balance, please use transaction F.01.
    Then go to special evaluations and choose balance sheet type 4 (opening balance)
    Kind regards
    JeVe

  • Opening balance and closing balance on Receivables Customer Statement repor

    I need an opening balance and closing balance of the customer statement in one report. Currently I developed a custom Customer statement report in report builder 6i. I developed a custom procedure to retrieve the previous statement balance. I’m able to successfully retrieve ending balance statement with sysdate but if I go back to previous date or previous statement date then I’m not getting the right ending balance of the report.
    Even the seeded api arp_customer_aging provides the ending balance for sysdate but not for previous dates because this api always looks back to amount due remaining column(ar_payment_schedules_all).
    Did any one ever develop a custom logic to get previous balance and ending balance on one single customer statement?

    Hi,
    I am working on the same logic. My program loads opening and closing balance and a list of items everyday. The GL_balances table gives you current balance but if you want the previous balance, you have to use : "gl_daily_balances" table and provide accounting_date for which you want the balance.
    Hope this Helps!
    Yogini

  • Opening balance and closing balances for discounts?

    Hi all,
    I have a typical sceanario where in
    opening balance for discounts 10,000 (balance of last month)
    actual discounts  from the sales order 5,000
    manual upload is   from flat file            2,000
    closing balance is 7,000 (which is opening balance + manual upload - actual discounts)
    opening and closing balance needs to be calculated, how to calculate nor handle this on every month?
    level of granularity of the data is
    sku, month, rebate category and rebate amount?
    Thanks

    Hi Pooja,
    can you please let us know few things about your report requirements
    What is the extractor you are using?
    What are the KFs ?
    what are the selection parameters that you want to enter at the reporting level?
    is it the report related to FI AR. do you want to display the values based on the customer -->profitcenter?
    Bcoz we had a same requirement where our requirement was global recievables aging report in which the report need to display opening bal, sales,adjustment,colelction and closing balance and the aging values.
    here what we did is changed the modeling of the DSO and infocube.
    we had used non-cumulative KF in order to calculate closing balance and from that derived opening balance and again create a new formula to get the closing balance.
    if you can be specific with your requirement hope can help you with your report.

  • How is carry forward balance and closing balance stored in BW

    Hello all,
    I am working with the new G/L cube...and as per one of the reporting needs I need to display the carry forward balance and closing amount balance that comes from R/3.
    Can someone tell me how can this be achieved in BW.
    Thanks,

    if you are in 2006 ...execute the report for 2005...and at the end of the year whatever amount shows up in your cumulative balance key figure, is the balance that has been carried forward into 2006...
    assign points if it helps...
    P.S: Check if tcode fs10n helps in R/3

  • Mismatching between opening balance and closing balance in F.08

    Dear Experts,
    i have one issue regardig the dismatching between the closing balance of 2010 and the opening balances of 2011.
    Actually we have the retention account for customer which showing a correct figure in 2010 but unfortnatly it showing another figure in the opening of 2011.
    Note: i have done the carryforward succefully but i am getting the same result as well.
    please would you advice me ?
    Regards,
    Bilal

    Hi,
    Run report RFINDEX_NACC (in SE38, older versions of SAP have RFINDEX as the program) for the GL account.  Please read the documentation of the program; as the program is resource intensive; limit your selection to this specific account.  Select the "more detailed" radio button.  should help you identify the reason.
    Also do check that the 2010 period is not open and being posted into.
    Cheers..
    Edited by: Neeraj Kukreti on Jul 6, 2011 2:29 PM

  • Opening Balance and closing Balance - Crystal Report

    Hi,
    We have a report with account number, date , opening balance , closing balance and transaction amount. we had grouped the report by account. User will run the report with set of date range and we need to find the minimum date to find the opening balance and maximum date to find the closing balance and display them in the account group header for each account.
    WhilePrintingRecords;
    NumberVar CBal;
    If  {Command.VALUEDATE}= Maximum({Command.VALUEDATE}) then
        CBal= {Command.CLOSINGBALANCE};
    +CBal;
    It is showing the closing balance and opening balance in the account group footer. but we could not able to show in the account group header.
    Regards,
    Sreeni

    The easiest way to do this is NOT use variables.
    Sort the data in date order ascending.
    Then simple place the date field in Group header, details and footer.
    Header will now show first date and Footer last date.
    Ian

  • Opening balance and closing balance of BANK accounts

    I would like to see the replica of Pass book (bank statement ie opening balance
    +/- tranactions during the month then closing balance.
    I would like to execute and get these Bank Journals at any point of time for any period/year.
    Is this possible in SAP?
    Thanks a lot for helping on this
    Sridevi

    Hi
    I heard that its not possible even with Z report. is that so? Or do you think its possible with Z report or report painter. Could you tell me the reasons for this?
    Thanks
    Sridevi

  • Gl opening balance and closing balance not maching

    Dear all,
    am looking at IT12 balance, and the issue is that the GL 495000 into the TB is 8,670.68   While if I browse in Fagll03 the balance is 7,307.88 
    Can you please clarify with figure is wrong !!!!!!   And why they do not match !!!!!!!!
    IT12 is the COM. CODE
    TB means trail balance acct
    Fagllo3 is the T.code in 6.0 to view acct balances (behalf of FS10N)
    This is my clint issue.can any body tell me procedure to solve
    Thanks in advance
    srinivas

    Dear friends,
    Thanks for your quick reply,
    I have carryforworded gl balance again. still it showing worng balances only. Should i check anything other than f.16.
    plz help me
    Regards
    srinivas

  • How to check RG1 Opening and Closing balance

    Dear All,
    Kindly let me know how to check the opening balance and closing balance in RG1 register.
    Regards,
    Mullairaja

    Dear J Prakash,
    Do we need to check the balance based on Excise Transaction Type?
    I assumed that, we need to check as per the Registers.
    Similary, please clarify another doubt also.
    On what basis we need to check Excise balances?
    1. Based on Excise Registers
    2. Based on Excise Transaction Types
    3. Based on G/L accounts.
    Regards,
    Mullairaja

  • Opening and Closing balance in FBL3N?

    Hi All,
    In other ERP systems, if you browse GL Account, i.e. FBL3N in SAP, you get the list of documents within specified period but in other systems you also get the OPENING balance as well as CLOSING balance and the current postings are in between them. Is there any standard report or report painter is to be used for such requirement.
    Balances can be checked through FS10N and S_ALR_87012301 etc. but requirement is to get the list of documents with opening and closing balance in beginning and end of the report. The best example is of Cash Journal (Txn FBCJ)
    Thanks

    Thank you Will,
    Yes, actually if other system provide such functionality then SAP should be providing that. I searched within table TSTC for such transaction but unable to get. Accountants requirement is when they execute FBL3N within specified period, the cummulative opening balance and closing balance should be provided with report.
    Thanks for your answer!
    Regards,
    Nayab

  • Opening and Closing balances in RG1 register

    Hi,
    We are facing one issue in RG1 register. When we update and extract the RG1 register from system, its showing Sales Qty and Excise duties properly. But opening and closing balances are not coming, its showing zero there. I checked J_2IRG1BAL table and found that it is also not getting updated. Material comes into stock with 561(initial stock) and 101(from production) movement types but opening/closing balances not coming in either case. Both movement types are activated for RG1 also.
    Seeking your help in this regard.....
    Regards,
    Satyendra Soni

    Hi Satyendra ,
    For initial  upload in RG1 there are 2 tables you need to manually update. J_2IRG1BAL  from CIN or SD side. And Accounts to be updated for Balance in J_2IACCBAL.
    There are 2 ways for updating balance tables
    On last day of month enter Balance in Closing balance field.
    OR enter opening balance on 1 st day of month.
    Also check Material form P ,can be maintained in user exit for permanent effect.
    After  updating balances ,
    perform any one transaction on system.
    and then  Extract  the Rg1 table .
    Ask FI consultant to put in  FI JV after balance upload in ACCBAL table.
    If you have not done table entries before performing transaction and extraction of RG1  then balances will not appear .
    Check with your senior there and use table edit in such case (I hope you are not on production server  at the moment) .Then again perform Extraction and check once.
    SD FI and ABAP to be present and take decision accordingly.

  • Negative Entries and Closing Balance of RG1 Register

    Hi,
    We are updating our RG1 register with copy of movement type 311 & 312. We are using copy of movement type 311 for incoming entries in RG1 Register and copy of movement type 312 for the reversal.
    But in the table J_1IRG1, we can see only positive entries (of quantity) for both cases (incoming as well as reversal). There are no negative entries (of quantity) in the reversal.
    Can anyone provide some idea how we can see the negative entries for reversal and closing balance of RG1 to ascertain that our RG1 register is update?
    Thanks in advance

    Hi
    U have specify the 311 here Lg> Tax on goods movement > Business Transactions > Incoming Excise Invoices >  Specify Which Movement Types Involve Excise Invoices
    Regards
    AKM

Maybe you are looking for