Table name for account determination

what is the table name for finding the material type, valuation classes and accounting modifier?
Thanks
Manesh

Hi,
Go to SE 11    Table name V_134_K.
Regards,
Satya

Similar Messages

  • Table Name for Partner Determination Procedure and created by data

    Dear Gurus,
    kindly let me know the table name for a list of "Partner Determination Procedure" and "created by" data under a client.
    if there is no such  table for this, kindly let me know how can i fetch these details.
    Wishes,
    Abhishek

    Hi Abhishek,
    You can get your required information by combining these 2 table by using SQVI
    TPAER where it gives PartnDet.Proc and Part.funct.
    TPAR where it gives Part.funct inforamtion.
    By using these tables i.e. by using Common field Part.funct. - PARVW
    Regards
    Durga Sana

  • Tables names for Batch determination

    tables used for Batch Determination screen in MIGO?
    Regards,
    pandu.

    Dear Pandurangarao,
    For your future requirements,
    You may also check the same (i.e. Table Name/ Field Name/ Program Name/ Screen Field) by yourself.
    There are few requirements:
    1. You have to decide from where (i.e. Document..???, say Sales Order in VA02) you want to fecth the data for your requirement.
    2. Go in to that document (say, you wanna all data to be fetch from Sales Order; then VA02).
    3. Click one within the field and Press F1. This will open an Overview window. In to the same window, down there, you will find on e Tab: Technical Information. Click the Tab.
    4. Now, you may get all technical informations for your inputs.
    Best Regards,
    Amit

  • Table name and field name for accounting and material document in MM

    Hi
    Table name and field name for accounting and material document in MM
    how can we diffreentiate the accounting document in MIGO and MIRO ?

    Hi,
    For Goods reciept documents you can search from the tables  MKPF-Header: Material Document and MSEG-Document Segment: Material,
    and for Invoice documents you can search in  tables   BKPF-Accounting Document Header and BSEG-Accounting Document Segment.
    For differentiating the Accounting documents in MIRO and MIGO based on posting key and document types for GRN -document key is -WE and for MIRO document is -RE.......
    Hope this may help you.....................

  • Create condition table for account determination

    I would like to create a condition table which contains customer number as the key. However, I can only find the follow fields in field catalog.
    Acct Key
    AcctAsgnmt
    AcctAssgGr
    Cond. Type
    Distr. Chl
    Division
    Ord. reason
    Plant
    Sales org.
    Tax Code
    Vendor
    Is it possible to extend the field catalog? I have tried to added fields in KOMG according to note 21040, but it seems not work.

    Hi
    some additional information:
    please check the documentation under customizing path:
    IMG -> Sales and Distribution -> System Modifications ->
    Create New Fields (Using Condition Technique) ->
    New Fields For Account Determination
    click on the icon
    Notice that the userexits USEREXIT_ACCOUNT_PREP_KOMKCV and
    USEREXIT_ACCOUNT_PREP_KOMPCV are useful only for revenue
    account determination.
    For reconciliation account determination you should use the userexit
    EXIT_SAPLV60B_011 (enhancement SDVFX011) to fill the custom field.
    The System modification documentation exaplins to add the new field
    in the structure include KOMKCZ of KOMPCZ.
    Notice that KOMKCZ is included in KOMKCV and KOMCV; KOMPCZ is included
    in KOMPCV and KOMCV.
    regards,
    Ramana

  • Need table name for Output Types and Account Assignment Types

    Hi
    pl let me know the table name for
    1. Account Assignment Type
    2. Output Types (All)
    I need to download some company code specific data for both
    Pl confirm
    Warm Regards
    Vikcy

    Hi Thanks for reply
    You mean to say that Account Assignment Types = Account Assignment Category   ????
    Secondly In Table NAST, i can not see field "Output Type"
    Pl confirm once which field give me company code specific "Output Type" data
    Regards
    Vicky

  • What are the table names for CRM and APO?

    hi friends,
    what are the table names for CRM and APO?
    Regards
    suneel.

    hi Suneel,
    check in crm forum
    Re: SAP-CRM Tables
    BUT051 BP Relationship: Contact Person Relationship
    Similar to BUT050 , additionally contains Contact Person’s Address data
    BUT0BK Business Partner: Bank Data & Details
    BP Number, Bank Key, Bank Country Key, Bank Account Number
    BNKA Bank Master Data
    BUT100 BP: Roles
    ADR2 Telephone Numbers (Business Address Services)
    ADR6 SMTP Numbers (Business Address Services)
    Contains Email – Id of the BP.
    ADRC Addresses (Business Address Services)
    BP’s Complete Address Details- City, Country, Post Code, District, Street, Title No Etc
    TSAD3T Table containing the Title text against a Title No.
    COMM_PRODUCT Master Table for Product
    CRMM_BUAG Master table for Business Agreement
    CRMM_BUAG_H Header Data for Business Agreement such as Tax Category, Tax Characteristic, Form key, Business Agreement Class. Data in this table correspond to ISU CRMD_ORDERADM_H Contains the Header Information for a Business Transaction.
    Note:
    1. It doesn’t store the Business Partner
    responsible for the transaction. To
    get the Partner No, link it with
    CRM_ORDER_INDEX.
    2. This table can be used for search
    based on the Object Id(Business
    Transaction No).
    CRMD_CUSTOMER_H Additional Site Details at the Header Level of a Business Transaction
    CRMC_PROC_TYPE Master table Business Transaction Type
    CRMC_PARTNER_FCT Definition of Partner Functions
    SCPRIOT Priorities for Activities with priority text.
    CRMC_PROC_TYPE_T Text for a transaction type
    CRMC_ACT_OBJ_T Objective Number and Text for Activities
    TJ30T All the status code and text
    CRMC_PR_ASSIGN : Transaction Type and its Transaction Type Object.
    IBIB : Installed Base/Ibase
    IBIN : Installed Base Components
    COMM_PRODUCT : Products
    CRMC_T077D : customer account groups
    CRMD_ORDERADM_H (for header) CRMD_ORDERADM_I (Item data)
    CRMD_ORDERADM_H Business Transactions CRM
    CRMD_ACTIVITY_H Activity
    CRMD_OPPORT_H Opportunity
    BUTOO : Customer details
    BUT001 BP: General data II
    BUT100 BP: Roles
    BUT150 BP relationship: Attribute table (test
    different
    BUT_HIER_TREE Business Partner Group Hierarchy
    CDBC_T_PRODUCTID Mapping: Product Id
    CDBD_ORGMAN Business transaction - organizational unit -
    set
    COMC_PRODUCT General Product Settings
    COMC_R3_FIELDS Assignment of R/3 material master fields to
    CFOP
    COMM_CATEGORY Category
    COMM_CFGMAT Basic Data for Materials
    COMM_HIERARCHY Category Hierarchy
    COMP_TYPES Hierarchy Tool: Comparison Type Check
    Table
    CRMC_CPRICPROC Customer Pricing Procedures
    SMOKVBEZ15 Assignment employees to positions
    CRMMLSGUID: GUID entry (should match GUID in CRMPRLS)
    CRMM_BUT_CUSTNO : Also GUID table (GUID here should match GUID in R/3 table CRMKUNNR)
    SMOFSUBTAB : Mapping & Parameters
    SMOFDSTAT : Download Monitor (R4AM1)
    SMOFFILTAB : Filters (Should match filters in R3AC1 & R/3 Table CRMFILTAB)
    SMOFOBJECT Definition of Objects for Download
    SMOFOBJPAR Parent Objects of an Object in Table
    SMOFPARSFA Middleware Parameter
    SMOFQFIND Queue Finder Table for MW-Queue finder
    SMOFTABLES Definition of Tables for Download

  • Transaction key for account determination

    Hi guru,
    i would like to add a new transaction key for account determination to fullfil a business process .
    Could you help me to find out the Transaction code in customizing?
    A prompt reply is appreciated.
    Thanks in advance
    Vir

    Dear Vir,
    The G/L account determination process in G/L Accounting mostly uses the
    transaction key technique to obtain the required G/L accounts for business transactions.
    For Foreign currency transactions:
    SPRO -> Financial Accounting -> General Ledger Accounting -> Periodic Processing -> Valuate -> Foreign Currency Valuation
    Other General Ledger Transactions
    SPRO -> Financial Accounting -> General Ledger Accounting -> Business Transactions -> Closing -> Carried Forward -> Define Retained Earning Account
    OBA1 G/L account determination for foreign currency valuation
    OBYA Maintain inter-company clearing G/L accounts
    OB53 Maintain retained earnings accounts
    OBBV Assign AR/AP adjustment accounts
    OBXD Maintain bad debt reserve accounts
    ACACAD Accrual account determination ( simple or extended )
    ACACADMETASGL Accrual account determination strategy
    ACACTREE01 Create accrual objects
    Pricing:
            V/09    Condition Types: Account Determin.
            V/10    Account Determination: Access Seqnc
            V/11    Conditions: Account Determin.Proced.
            V/12    Account Determination: Create Table
            V/13    Account Determination: Change Table
            V/14    Account Determination: Display Table
    G/L Accounts in MM Account Determination:
    The program RM07C030 check all the G/L account define in your Material Master valuation class.
    Search is via Company code and Valuation area.
    Visit the following link for more information:
    http://www.sapscene.com/sapscene/accassg.html#SD-FI%20Account%20Determination
    Reward points if this is helpful.
    Regards,
    Naveen.

  • Posting keys for account determination for transaction EXC do not exist

    hi
    i am doing Sales order for 1 month,no error i have got
    but now i am getting error
    Posting keys for account determination for transaction EXD do not exist
    HELP

    There will not be any such postings called FI side / SD Side.
    Positng always done in Financial perspective only into Certain G/L accounts depends on configuration we did.
    As we know,
    To post Invoice Conditions in G/L accounts , we configure Account Determination . These tables will be communicated through Account keys maintained in Pricing procedure & in Account determination tables.
    To account the stock in Inventory, will configure the same in OBYC - FI/MM Account Determination.- this will be triggered through Movement type - Transaction key / General modifier / Valuation calss / Valution group code n other factors.
    In your issue,
              Which Postings you are referring to?
    In SO creation, Controlling documents will be created ( Ref: COPA - Controlling & Profitablity Analysis Customization)
    After PGI in Delivery: Inventory will accounted through OBYC settings
    After releasing invoice to Accounting, G/L accounts posted through VKOA settings.
    Hope ,now you provide exact information related to your query

  • Posting keys for account determination

    Hi all
    I'll try to post an sales ticket from Retail modul to SD module.
    I have this message error : Posting keys for account determination for transaction ZST do not exist                                                                               
    Message no. F5598                                                                               
    Diagnosis                                                                               
    The posting keys necessary for account determination for transaction Z
        have not been set.                                                                               
    System Response                                                                               
    Because the posting key is missing, the system cannot generate any   
        automatic postings.                                                                               
    Procedure                                                                               
    Maintain the posting keys necessary for transaction ZST. 
    In VKOA transaction, I check and for me the account determination has been set.
    So I was wondering what's goes wrong with this.
    Appreciate your expert advise..

    HI,
    Please check wther In the pricing procedure ZXXX some conditions have account key ZXX.
    But in table T030B there is not any record with KTOSL = ZXX.
    Check note 1273471,1128659
    Regards
    Ravinagh Boni

  • Table name for a Master Data Object

    Could you advise on how I can determine the table name for a Master Data object.  It is an object that I created.  Thanks

    Hi Niten!
    It's enough to go in RSA1 to your object definition page in master data/text tab!
    Hope it helps!
    Bye,
    Roberto

  • The employee grouping for account determination

    Dear experts!
    Now, I'm getting some issues about The employee grouping for account determination.
    - The first, when I define Employee grouping for account determination, after that I want to know How do I can assign Employee to Employee grouping for account determination.
    - Second, where is I can assign employee group, employee subgroup to Employee grouping for account determination?
    Help me, please!
    Regards Huy!

    First you go to Employee grouping for account determination and make two groups for two Company codes or EE Groups or EE subgroups Etc then assign to company codes In the Standard feature PPMOD Now in the table where you assign Symbolic to GL accounts you assign same symbolic with different groups like this.
    Example:
    Symolic A/C            EE Group for acc determination                                                GL
    001                                    1                                                                                2010201
    001                                    2                                                                               2010202
    Regards.
    Muhammad Afrasyab

  • How to find Table names for PO & Invoices in SRM Standalnoe system SRM 7.0?

    Hi,
    How to find Table names for PO & Invoices in SRM Standalnoe system SRM 7.0? Please let me know.
    Thanks,
    Monica

    Hi,
    In SRM for all objects like SC ( BUS21210),BID,PO(BUS22010),Confirmation (BUS2203),invoice etc all the data stored
    in BBP_PDHGP and BBP_PDBEI  tables only, These is no separate tables..
    for your reference below are the few SRM tables
    BBP_PDACC  Account Assignment 
    BBP_PDATT  Document Attachment 
    BBP_PDBEH  Backend Specific Header Data 
    BBP_PDBEI  Backend Specific Item Data 
    BBP_PDBGP  Partner Extension Gen. Purchasing Data 
    BBP_PDBINREL  Transaction Object Linkage (EBP) 
    BBP_PDHCF  Set for Tabular Customer and Solution Fields on Hdr 
    BBP_PDHGP  Business Transaction Purchasing Information 
    BBP_PDHSB  Bid Invitation 
    BBP_PDHSC  Header Extension for Customer Fields 
    BBP_PDHSS  Hdr Extension for SAP Internal Enhancements (IBUs and so on)
    BBP_PDICF  Set for Tabluar Customer and Solution Fields on Itm 
    BBP_PDIGP  Business Transaction Item-Purchasing Information 
    BBP_PDISB  Bid Invitation/Bid-Specific Item Data 
    BBP_PDISC  Item Extension for Customer Fields 
    BBP_PDISS  Item Ext. for SAP Internal Enhancements (IBUs and so on) 
    BBP_PDLIM  Value Limit 
    BBP_PDORG  Purchasing Organizational Unit 
    BBP_PDPSET  Further Procurement Information 
    BBP_PDTAX  Tax 
    CDCLS  Cluster structure for change documents 
    CDHDR  Change document header 
    CDPOS_STR  Additional Change Document - Table for STRINGs 
    CDPOS_UID  Additional Table for Inclusion of TABKEY>70 Characters 
    CRM_JCDO  Change Documents for Status Object (Table JSTO) 
    CRM_JCDS  Change Documents for System/User Statuses (Table JEST) 
    CRM_JEST  Individual Object Status 
    CRM_JSTO  Status Object Information 
    CRMD_LINK  Transaction - Set - Link 
    CRMD_ORDERADM_H Business Transaction 
    CRMD_ORDERADM_I Business Transaction Item 
    CRMD_PARTNER  Partners 
    SROBLROLB  Persistent Roles of BOR Objects 
    SROBLROLC  Persistent Roles of Business Classes 
    SRRELROLES  Object Relationship Service: Roles 
    Thanks & Regards,
    Prasad S

  • Tables name for Customer Payment Report

    hiiiiiiiiii
    can anyone tell us the tables name for the report customer payment receive..?
    Thanks & Regards
    Rekha sharma

    Hi Rekha
    when you pass following entry
    Bank dr  
    to Customer
    All header data like co code currecy ref , period etc goes to BKPF,
    line item - Bank Dr ( its a GL  entry ) goes to BSIS
    line item- Customer Cr ( its a AR entry ) goes to BSID or BSAD depends it is cleared or still open
    Also both the line items goes to BSEG
    Hope this helps.
    Regds
    Rajiv

  • Table name for opening and closing stock

    Hi gurus,
    i want table name for opening and closing stock .  How to calculate this opening and closing stock in report.
    Murali.

    Murali,
    Check out in OINM, which maintains all the details of the stock transactions..
    Hope it might help you..
    Regards
    Gattu

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