Table containing cost center and PO data

hello, i need a table where the cost center(KOSTL) is defined as a primary key. the table should also contain PO numbers.

Hi,
For cost center, the value table is CSKS (Cost Center Master Data).
For PO data, which is related to Cost center data, you can refer to the tables EKBN
Regards,
Santhosh.

Similar Messages

  • CO, which table decribes "cost center" and "cost center group"?

    Hello experts,
    now I have the transaction KP06. Maybe through customizing the user has built a "cost center group" for some "cost center".
    In which table can I find out the relationship between the "cost center" and "cost center group" ?
    Thanks.
    RD
    Edited by: Marching Dai on Jun 16, 2008 2:05 PM

    Hi Arun,
    Please check this link
    http://www.erpgenie.com/abap/tables_fi.htm
    Please check CKPE --->CO-PC Cost Object Hierarchy: Individual Objects
    CSKA Cost Elements (Data Dependent on Chart of Accounts)
    CSKB Cost Elements (Data Dependent on Controlling Area)
    CSKR Resource master record
    CSKS Cost Center Master Data
    Best regards,

  • Table for Cost Center and WBS Element.

    Hi Experts,
    i done the creation of Servcie Contract with account assignment category as Cost Centre "K"  & Project "P". Now i'm trying to take the report for this document.
    Plz help me, in which table the Cost center data and WBS Element data is stored.
    Regards,
    sudhakar

    hi!
    check the table T163K and the field is KNTTP.
    Reward if useful.
    Yuvi.

  • Table for cost center plan/actual data

    Hello gurus,
            What are the tables to get for cost center wise plan/ actual data? The data which was entered through KP06 was sitting in whcih table?
    regds
    ramachandra

    Hello Ramachandra,
    Actual and Plan Data can be found in COVP view.
    1) For Actuals, you should use the values 04 and 11 to the field WRTTP;
    2) For Plans, you should use the values 01 and 10 to the field WRTTP.
    If you need to get the totals, you should use tables COSP and COSS.
    Hope this help you.
    Cheers,
    Daniel.

  • Transporting Master data - New GLs,Cost Center and profit Center.

    Dear Friends,
    1. I have to create new GLs in Dev, Now i have to transport the new GL to Quality and Production. As per my knowledge, Master data has to created in DEV,Quality and Production.
    please suggest, is there any t.code where i can transport GL from Dev to quality and production.
    2. when Creation of the site, New Cost center,Profit center, Changes to standard hierarchy both in cost center and profit center hierarchy has to done in dev,quality and production manually.
    Any suggestions where i can do only in dev and transport to quality and production.
    3. After creating new cost center and profit center, i have to go to okb9, select the co.code,cost element and insert the new cost center and profit center in every cost element. This takes almost one hour.
    Please suggest how to reduce this manually process.
    All the help will be greatly appreciated.
    Regards
    Sridhar Reddy

    Hi ,
    Master data is to be created in diffrent clients as it is a non transportable object .
    So in case of GL , cost centers you will have to again re run the LSMW which you had created for DEV .
    Secondly OKB9 is a transportable object , so i dont feel there should be an issue in adding it to a transportable object .
    In case of adding the values of tables in a request what you can do is create  a request , go to SE01 open the request in change mode in the objects enter TABU and enter on the relevant entries that you want to transport .
    But again one has to be very clear on what all table entries are to be transported , like SKA1 , SKB1 , SKAT etc. looking at the complexities and moving ahead with the standard way it is advisable to re run the LSMW in QUA and PRD .
    Hope this helps .
    Regards ,
    Dewang T.

  • Table containing 'Valid From' and 'Valid To' dates --  tcode SU01

    Hi All,
    I want to know the Table containing 'Valid From' and 'Valid To' dates -- In tcode SU01 ---Tab Logon Data there are 'Valid From' and 'Valid To' dates. I want to know the table(s) where this info is stored.
    thanks
    Naved

    Looks like you have two userids. Login to SDN using your userid that created the post and assign the points. If you don't see the radio button then change your original post to a question.
    Message was edited by: Prakash  Singh

  • Cost center and profit center details

    Hi All
    Is there any function module or BAPI to obtain cost center and profit center details
    for a GL account. Actually I am obtaining the carry forward balance for a
    fiscal year from the table GLT0 but I am not getting the corresponding profit center
    and cost center details.
    Please suggest a way forward!
    Regards
    Ankit

    Hi,
    If you are getting data from GLT0 table, using the Account number go to SKA1/SKB1 tables and get the CostCenter(KOSTL) and Profit Center(PRCTR). If you want to get details about CostCenter, its master table is CSKS and master table for Profit Center is CEPC. you can get required info from these tables.
    thanks,
    sksingh

  • Cost center and Cost element.

    Hi all,
    I am in an urgent need to understand the relation between cost center and cost element. Please provide me with their individual information as well as the link they share. An existing relationship table between the two, if any, ...then plz mention.
    Thanks & Regards,
    Naresh

    Cost Element: cost element is an individual which carry cost like salaries, wages, power expenses, etc.. These Cost Elements are Two types
    1. Primary Cost Element
    2. Secondary Cost Elements
    Primary Cost Element will carry cost form FI to CO (Cost Centers, Internal Orders, Cost Objects, etc…)
    Seconday Cost Elements carry cost with in CO to different Cost Centers, Internal Orders, Cost Objects, etc…
    Cost Center: Cost Center is an individual which contain collection of costs. For example “Admin is a cost center, it contain costs like Salaries, Power, Rent, Stationary etc,
    With this following report you can retrieve  cost elements given a cost center “controlling – cost center accounting – information systems – reports for cost center accounting – plan/actual comparisons  ”
    Thank you

  • Combination of cost center and GL account in Report painter report

    Hi Guys,
    Im creating a report for  profit centers using library 0FL- which uses table FAGLFLEXT in the report painter GRR2.I need to enter cost center with gl accounts in the characteristics.as these cost centers
    are assigned with cost elements.Can I do that ? cuz when I enter combination of gl a/c and cost center,I wobn't get nay data but only gl accounts shows the correct data.How to use combination of cost center and gl a/c, or I am good only with gl a/cs.Please suggest.
    Regards
    Shaun

    Hi
    Just check the G/L account assigned in the PO against the cost center, The G/L account assigned may not be the correct one, Check out if any validation is there for the combination, contact your FI-CO guy as there are always restrictions unknown to a MM guy.
    Regards

  • Cost center and profit center for a G/L account

    Hi
    Can nyone plss tell me whether a G/L account can have both Cost center and <b>Profit center or it can have just any one of them.

    Hello,
    Yes, a GL account can have both CC and PC. The tables for them are.
    in BSEG you will find KOSTL(Cost Center) and PRCTR(Profit Center). The Master Data and Text table for profit center and cost center are,
    Profit Center Master Data: CEPC
    Profit Center Text Table: CEPCT
    Cost Center Master Data: CSKS
    Cost Center Text Table: CSKT
    Regards,
    Shehryrar Dahar

  • Report Painter Request - Cost Center and WBS Element

    Hi Everyone,
    Currently, my company settles all project related expenses through to a cost center by way of an internal settlement cost element (category 21).  The issue with this is that when the expense gets to the cost center, they lose all visability as to where the expense originated, such as salaries or travel expense (category 1 cost elements).  We can't switch the settlements to the originating cost element from wbs to cost center just because of the additional data/volume that will cause.  My thought was to create a report painter that can run by cost center but also show the wbs's that settle to that cost center and group the expenses by primary cost element (cat 1).  I'm assuming that there is a way to marry a cost center and wbs element by way of the wbs settlement rule but how would that be done for reporting purposes?  I've seen it done before by way of a nightly job that created sets based on the combination of cost center and wbs but I'm not sure how that was done.  Any advise and examples?
    Example:
    Cost Center:  IT
    WBS: A.0017.01.01 (settles to cost center IT)
    Postings made:
    1.  CC IT and CE 552000 "salaries"..............................$20,000
    2.  WBS A.0017.01.01 and CE 552000 "salaries"........... $5,000
    3.  Settlement of WBS to CC (expenses flow through to CC IT by way of CE 985000)
    I want to run CC IT and see that the account 552000 really shows $25,000 and can be broken down by cost object (CC and WBS by the amounts above)
    Thanks,
    Pete

    Hi Peter,
    I had a similar requirement and used report painter report group 1SHK-002 (in library 1VK).
    I took a copy of the standard and ameneded it slightly, I switched the explode so it occured on the cost center not cost element.
    The report runs so that direct costs on the cost center are shown at primary cost level. And values settled to the cost center are shown on the partner object. In your case i guess WBS Elements (Partner ObjType WBS).
    Now in my case I didnt need cost element breakdown on partner level, just on cost center so effectively I have(sorry for text alignment but I hope you get the idea):
    GL1   .............  100
    GL2   .............  250
    + Cost center1 total ....350
    GL3 .............   50
    GL4 ............. 100
    + Cost center2 total.... 150
    Primary Cost Total ..... 500
    X-YZ-1.200 .............   50
    X-YZ-1.400 ............. 100
    + WBS total ............. 150
    IO 1............. 100
    IO 2  ............. 100
    +IO total  ............. 200
    Partner Total............. 350
    Overall total .............  850.
    Its not exactly like your requirement but it might be a good report for you to work with to get what you need.
    Elaine

  • How to get the cost center and division for a given FI vendor document...

    Hello Experts,
    I am currently developing a report wherein I have to show the cost center and division used in the given FI document.
    These documents are vendor related transactions.
    In the file that was given to me by the user, she indicated the cost centers used by the FI documents
    but when I view it via VA03 I cannot theere are no cost centers used in all the line items.So are there
    any FM, BAPIs and/or tables that I can use for my requirement?
    Hope you can help me guys. Thank you and take care!

    Hi
    I am not sure on the requirement. You are developing a FI report and accessing VA03 which is sales transaction. Anyway for getting cost center you can go to table VBAK,VBAP for line items.
    Hope solves ur problem
    Thiru

  • How to delete the Cost center line item data

    How to delete the cost center line item data of particular cost center and only one cost center is exisiting for that company code.
    Is there any way to delete the line items in that cost center.
    Can data archiving & deleting can help us..........
    does it have any effect over other cost center data....
    any input needed.........
    regards
    rajesh

    Hi,
    i found 2 reports for you:
    1) CO_TOTAL_WRI - Archiving CO Totals Records   
    2) RKCOITW1     - Archiving CO Line Items: Write Program        
    from 2) is a linlk to customize archiv-parameters
    -> start it with transaction se38 / sa38
    A.

  • Cost center and plant in asset master creation compulsory entry config

    where we configure that cost center and plant entry is complusory while creation of asset master.
    is it   asset accounting
                   master data
                           Define screen layout for asset master
                                     Define Screen Layout for Asset Master Data
    as in our system in config    cost center and plant is optional        but while creation of asset master it becomes compulsory field

    Hi,
    Yes, it's defined in the layouts for assets master data.
    Regards,
    Eli

  • Cost Center and GL account in Sales Order / Delivery

    I have a requirement where we want user to specify what cost center and GL account should be used while posting goods issue.
    Currently GL account and Cost Center is automatically determined based on OBYC configuration.
    Is there a way  user can populate Cost center and GL account at Sales order or Delivery document level and what ever they have specified will be used for Posting Goods Issue.
    If user doesnt specify anything then standard OBYC determination should take place.
    I looked at OVF3 transaction which can default cost center (though no GL account) but its not useful in our requirement.
    I also looked at OKB9 transaction but not sure if we can use it either.
    Again we want user to enter Cost center and GL account at either SO or Delivery document level and then that should be used for Post goods issue.
    Thanks in advance.

    Hi,
    In delivery under tab GOODS MOVEMENT DATA
    After valuation type column COST CENTER & G/L Account column available
    Now with the help of FI consultant make it change mode so user can maintain  also I observe that if delivery created without reference to order then that fields are in change mode means user cn maintain data for this but if with reference to order it is disable mode
    Check in t-code OMJJ FIELD SELECTION FOR MOVEMENT TYPE
    Put movement 601
    Then select movement type and double click on filed selection (from 201)
    Then go to additional account assignment and for cost centre make it optional or requirement
    or Else under field selection enjoy for movement type 602 indsert field KONT0 and KOSTL and check
    If this can not work there is option field selection for G/L account check that with FI
    Kapil

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