Table for profit center

Hi
my user has update wrong profit centers in some FI douments. can any one tell me how to rectify or in which database table i can found the enteries.
Thanx and regards,
Rajesh Vasudeva

Hi Raj,
Check this links:
http://help.sap.com/saphelp_nw04/helpdata/en/5c/f3f0371bc15d73e10000009b38f8cf/frameset.htm
http://help.sap.com/saphelp_nw04/helpdata/en/df/0495e4bd6f11d1ad09080009b0fb56/content.htm
http://www.sapbrainsonline.com/sapinfo/tutorial.php?artid=739
Regards,
Chandra Sekhar

Similar Messages

  • Table for Profit center report grp

    Dear Sapgurs,
    in this t code GR55 system it showing list of Profit center report grps, can u please tell me what is the table for Table for Profit center report grp and how to create new profit center report group, Once we will click on F1 system it shows structure not tables.
    Reg
    Hanu
    Moderator: Please, search SDN. This questions has been answered several times.

    EC-PCA (KE1)         Profit Center Accounting
    CEPC                 Profit Center Master Data Table   MANDT / PRCTR / DATBI / KOKRS
    CEPCT                Texts for Profit Center Master Da MANDT / SPRAS / PRCTR / DATBI
    CEPC_BUKRS           Assignment of Profit Center to a  MANDT / KOKRS / PRCTR / BUKRS
    GLPCA                EC-PCA: Actual Line Items         RCLNT / GL_SIRID
    GLPCC                EC-PCA: Transaction Attributes    MANDT / OBJNR
    GLPCO                EC-PCA: Object Table for Account  MANDT / OBJNR
    GLPCP                EC-PCA: Plan Line Items           RCLNT / GL_SIRID
    thanks & Regards
    Swathi
    Edited by: swathi sajja on Aug 5, 2008 12:08 PM

  • Tables for Profit center and Risk Category

    Hi,
    Can anyone please tell me in which tables the values for profit center and risk category is maintained at.
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    Lilan

    Hi Lilan,
    Profit Centre's Data element is PRCTR. You can just press Where used button by going into SE11 and see in what scenario you need this field.
    Because PRCTR field is maintained for Sales Order, Production Order tables and many other tables.
    You need to look into ur requirement that what scenrio u are working in.
    Please award points if helpful.
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  • Table for Profit center for Valid Plant

    Hello,
    Kindly provide me the Table for the Valid Profit centre against the Plant.in the result it should give me the list of Plant and Profit Centre.
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    regards

    There is no direct assignment between plant and profit center. It is indirectly done in each material master
    Thanks and Regards

  • Table for Profit center company code assignment

    Dear all,
    What is the table where we can see all company codes which are assigned to the concerned profit center?
    Can any of you help me on this?
    Thanks,
    Kumar

    Kumar,
    After you make company code assignment changes to a PC, but BEFORE you activate the PC, the data appears in table CMDT_PC_BUKRS .
    Once you activate the PC after making your changes, the data resides in table CEPC_BUKRS .
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  • Table for Substitution rules for profit center

    Can anybody help me with the table name for Substitution rules for profit centers ?
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    Hi
    Check This tables
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  • How to create master data source for Profit center group in source system

    Profit center group information is available in SAP(T-code:kch3). But, I want to have this information in BW too.
    Can anyone tell me how to create a datasource for Profit center group? And which SAP table is able to feed master data for this information?
    Many thanks
    rajatina.

    HI ,
    It looks lilke we need to use the FM like 'G_SET_LIST_SELECT' to get the Profit
    Here ais note from the forums to get profit center group from table
    From Table SETLEAF,  Field SETCLASS  =  '0106'. Field SUBCLASS with controlling area. Profit center in Field VALFROM.
    You will get Group name in Field SETNAME.
    Regards,
    Sathya

  • Report Painter Report for Profit Center

    Hi All,
    I am creating a report for profit center in GRR1.I was using library 8A3,& ledger 8A.which uses for PCA line i tems and table used is GLPCT.which shows profit center totals by period.I ran GLPCT in SE16 and found  out No data selected.I see that profit center accounting is not active  in my system ECC6.0
    and I didn't see any line records for profit center in any of the profit center tables.GLPCA.Now if someone  knidly suggets me how to achieve this report, can I still do it profit center wise or  not? which library should i use in GRR1.The layout of my report is as under.Thanks
    CURRENT MONTH*                                                                               
    Current Yr      Current Yr    Prior Yr
    Actual            Budget        Actual          Variance          
    YEAR TO DATE 
    Current Yr      Current          Prior Yr        Annual
    Actual            Budget        Actual           Budget    Variance
    Regards
    Shaun

    Thanks Abhijit , I can now see my report group at the bottom of the list .I assigned you full points.I posted another question regarding report painter .If you could also give me some guidance on that.When I was creating rows and updating cost elements with account numbers.I set up 3 revenue accounts and then ran the report to see if I get any data for profit centers.I did get data but when I double clicked on one of the account,it displays this messsage.I read the msg. but could not make any sense with it.for example in definning row I put account number from/to  400000- 400000    Explode. and thats a characteristic.
    No valid master data for characteristic 'Account Number'
    Report MEG1 does not contain any data pages.
    No valid master data for characteristic 'Account Number'
    Message no. GR633
    Diagnosis
    No valid master data within the specified interval was found for the characteristic 'Account Number'.
    Explanation:
    For each characteristic that is processed in a report, the Report Writer optimizes the interval limits which are relevant for selecting data from the database.
    Example:
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    The system returns this error message if no master data exists for the interval.
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    Another cause of this error is a ledger that is not assigned to the table for which the report was created.
    Technical information:
    The field name for 'Account Number' is 'RACCT'.
    System Response
    The system cancels processing.
    Procedure
    Check the report definition, or the specified master data, or the intervals.
    Regards
    Shaun

  • Re:- How to see customer/vendor open items for profit center wise

    any one help me regarding : How to see customer/vendor open items for profit center wise. That is possiable or not please suggest to me. I am using 4.6c version .

    Run the report from Tcode FBL1N for vendor open item and from FBL5N fron Customer open items.
    When you get the report, click on Change Layout icon ( or press Control + F8 from keyboard), search Profit Center fron the Table of Hidden fields on the right hand side. Move that field to the Left hand side table. Click ok, now you should be able to see the Profit Center column in your report.
    You can save this layout by clicking on the Save Layout icon ( or press Control + F12 from keyboard)
    Next time you can choose the saved layout by clicking on the Select Layout icon ( or press Control + F9 from keyboard)
    Regards
    Dharmveer

  • The dynamic selection for profit center in FBL1N isn't working

    Dear all,
    I have one one issue regarding FBL1N.
    The dynamic selection for profit center in FBL1N isn't working.
    If we enter profit center, we don't get any value.
    As per developer after debugging, table BSIK is not getting updated, hence values are not updating in the report.
    Please let me know, any configuration is missing.
    BR,
    Shailendra

    Try BSEG and see if its there for the particular doc. If its not there its a functional issue, you have to capture profit center at the time of entry. You can either make the profit center field mandatory or substitute it at the time of document generation. Consult your FI consultant. If u have activated New GL features the profit center may me in table FAGLFLEXA. but i don't think u can get the profit center from this table for your purpose, you may need to develop a zreport.
    And its not BISK its BSIK
    Edited by: Harisankar S on May 4, 2010 3:05 PM

  • What is the criteria for define GL for profit center

    Dear Profit center Guru,
    Can guide , what is the business logic to "Choose Additional Balance Sheet and P&L Accounts/Choose Accounts" for profit center. all the Proft Loss accounts should be there? or what kind of PL should be there , and what kind of Balance sheet accounts should be defined for profit center.
    Thanks,
    Kick

    Hi H.Kick
    at Choose Additional Balance Sheet and P&L Accounts/Choose Accounts we define which accounts or account intervals we want to transfer to Profit Center Accounting. It is imperative that we maintain all the GL accounts which need to be transferred to Profit center. Needless to say that if we donu2019t maintain the GL accounts here, the balance will not be transferred to PCA.
    This setting is also particularly required, if no profit center is entered for a specific transaction in one of these GL accounts, the system posts to the default profit center for that account interval.
    This particular configuration can also be called from the SAP easy access
    menu by entering 3KEH in the command field.
    Note that the GL codes for Customers and Vendors including Advances (special GL account) which are called Reconciliation accounts should not be maintained in the 3KEH table. Reason being the Customers and Vendors line items are not transferred to the PCA module online. We have to run month
    end programs to transfer Customer and Vendor balance from FI module to PCA Module
    These are GL codes which are reconciliation accounts for customer and vendors, that should be excluded from the 3KEH table.
    Hope i tried my best to make you clear on this.
    as well see comments in the thread by MR.vanne what is the criteria for define GL for profit center
    Thanks...Vyas
    Edited by: vyas on Jun 11, 2009 5:25 PM

  • How i  create choose from list for profit center

    Hello ALL ,
    Can any body suggest me how we  create the CFL for profit Center  .
    I am creating  add -on using sdk and create a screen form using screen Painter .
    In my form there is  matrix that contain the profit center column  just like in sale order screen .
    In this field (Profit Center )  I want to attach the CFL of profit center just like in sales Order screen .
    but  I am unable to find out the object type ID for profit center so please give me any idea

    Hi,
    Please post is on the SDK forum and close this thread.  This is an SDK question.
    Thanks,
    Gordon

  • Cost component split transfer for Profit center valuation in ke27

    Dear All,
    We have activated multiple valuation/transfer prices. Material ledger is also activated.
    We want to transfer cost component split to CO-PA by ke27.
    We have defined separate costing keys for access to actual cost estimate for legal and profit center valuations.
    But cost component split transfer to COPA works only for legal valution. Even we have defined type of valution for profit center  costing key -transfer cost component split and total costs.
    What should be else customized to transfer cost components splitting in profit center valuation to CO-PA from actual cost estimates?
    With best regards,
    Kamila.

    Hi,
    I have assigned the same value fields used for legal valuation to column 2, which was pointed in message.
    But now I got following message in ke27:
    For actual data, value fields that were already populated before CO-PA valuation cannot be changed in valuation.
    1. As a rule, value fields that were filled before CO-PA valuation - be it from SD or by a manual entry of a line item - can only be changed by means of user exits.
    (Note that for plan data, CO-PA valuation always has priority over the values planned manually.)
    2. The valuation steps in a CO-PA valuation strategy are numbered sequentially. These numbers determine the order in which the steps are carried out within that strategy. As a rule, value fields populated in one step can be used as a basis for calculating values for other value fields in a subsequent step.
    Value fields that were populated in a previous step are generally not overwritten by subsequent steps.
    The exception to this are steps that use a CO-PA user exit. User exits let you change individual value fields.
    3. If you valuate using multiple material cost estimates simultaneously, this means that the values of different cost components within the same cost estimate are aggregated and then entered in one CO-PA value field. However, value fields that already contain data from a previous cost estimate are not overwritten by a later cost estimate. Consequently, you should assign value fields in Customizing so that the values of different cost estimates are entered in different sets of value fields.
    4. When condition values are transferred to CO-PA value fields, note that condition types that are assigned to the same value field are added together. This is also the case when the condition types come from different costing sheets within the valuation strategy.
    So does it mean we should define separate value fields for PC valuation?
    With best regards,
    Kamila.

  • Validation for Profit Center and Trading Partner

    Hi Gurus,
    Please help me in creating validation for Profit Center and Trading Partner.
    I want system to give an error if we use Trading Partner related to particular profit centers.
    Please revert asap.
    Thank You

    Hello,
    Please use T.code OB28 and select the call up point 2.
    Than go to Prerequisite in expert mode and say
    Prerequisite  :           BSEG-VBUND <> ' '
      Check:               BSEG-PRCTR = ' '
      Error Message.: xyz
    I have created Validation understanding if someone gives Trading Partner and also Profit center while posting a doc than it will generate an error message.
    however if you have some diff req please change it accordingly/ take Abapers helps if not very clear.
    I hope this helps
    Regards
    Shireesh

  • Can anyone explain how we create Choose from list for profit center in sap b1

    Hello ALL ,
    Can any body suggest me how we create the CFL for profit Center .
    I am creating add -on using sdk and create a screen form using screen Painter .
    In my form there is matrix that contain the profit center column just like in sale order screen .
    In this field (Profit Center ) I want to attach the CFL of profit center just like in sales Order screen .
    but I am unable to find out the object type ID for profit center so please give me any idea

    Hi Arvind,
    Object type for the Profit Center is
    <ChooseFromList UniqueID="CFL_1" ObjectType="61" MultiSelection="0" IsSystem="0"/>
    and for the Distribution Rule
    <ChooseFromList UniqueID="CFL_2" ObjectType="62" MultiSelection="0" IsSystem="0"/>
    Hope it helps.
    D.

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