Update BSEG - Profit Centre

I need to "update" BSEG-PRCTR. What is the best way to do this? I need to re-set the value for a specific GL Account. I can not do it using a BTE.

You can not update this field. Else Profit center accounts will not be any more in sync with the general accounts.
Look at SPRO Financial Accounting, Financial Accounting Global Settings, Document, Line Item, Document Change Rules, Line Item.
Document Change Rules, Line Item
In this activity, you determine under which circumstances fields within posted documents can be changed.
Note
For a number of fields, the system itself determines that they can no longer be changed after posting. This includes all fields which are central to the principles of orderly accounting, for example, the amount posted and the account.
The system also prevents the update objects from being changed in documents which have already been posted, independent of the document change rules. Update objects are elements in the system for which transaction figures or line items are updated, for example, business area or cost centers (if cost center accounting is used in the SAP system). Update objects are entered as additional account assignments during posting.
If you are using the Special Purpose Ledger application, you should ensure that fields which are updated there are protected against changes in the document. Document changes do not affect updating in the special purpose ledger.
Activities
1. Check the default settings.
2. Change the specifications if necessary.
Regards

Similar Messages

  • Auto update of Profit Centre in JE for Opening Stock

    Hi Experts,
          I am using SAP B1 2007B Version and Patch level 15 and  entering the Opening Stock of  Items in Initial quantities,inventory tracking and Stock posting window and updating the profit centre in distribution rule but the problem is it is not getting updated in the Journal Entry when the back end JE is posting accordingly and for that again we need to update it manually. can any please help me regarding this..
    Thanks,
    Narsing

    Profit Centres are generally applicable only for Revenue & Expense accounts.
    When you load the opening balances, it affect the Inventory Account which is an Account Account and that is why there is no Profit Centre marked in the JE.

  • Automatic plan figures updates at Profit Centre level.

    Hi,
    I would like to know whether do we have any scenario like Automatic Plan figures updates at Profit Centre Accounting level when we do Cost Centre planning.  The Profit Centre should be picked up by the system automatically from the Cost Centre master. 
    Of course, here the Cost Centre to Profit Centre relationship is 1:1. 
    If anybody come across the above required scenario, please let me know how to achieve it.
    Thanks for your inputs well in advance.
    Note: I know we can copy the Cost Centre plan figures to Profit Centre level by using copy function.
    Regards.
    Chandra

    Hi
    In version maintenance, you need to tick integrated planning....
    In PCA, create the doc types for planning and maintain no ranges...
    Also, if you are on New GL and you want to use New GL planning, you need to do settings in new GL menu for the same... assign version to ledger, fiscal year , etc
    last month there were couple of threads on it .. Refer this link for new GL planning settings
    Re: Buget Upload, Planned values-KP06
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  • IW32 Auto update of profit centre when work centre is changed

    Hi... we have some difficulties with PM exits. Basically, if the work centre for an order is changed in IW32, SAP does not automatically re-populate the profit centre and cost centre associated with the changed work centre. To try to achieve this I have implemented the Sap suggested exits EXIT_SAPLCOIH_005/IWO10005 (for profit centre) and EXIT_SAPLCOIH_025/IWO10025 (for cost centre).  The cost centre exit works. For the profit centre exit  to work (invoke EXIT_SAPLCOIH_005) it needs profit centre to be blank. Being change mode (IW32) this field is populated already and asking the users to blank the profit centre field beforehand is not practical. Tried to see if auto blanking the profit centre field as soon as the work centre field is changed is possible... but there is no exit triggered at that point to do this.  It appears that EXIT_SAPLCOIH_005 is triggered before anything else. Any ideas on how Profit Centre can be updated? (I have tried previous exit suggestions here). Thanks...

    Profit Centres are generally applicable only for Revenue & Expense accounts.
    When you load the opening balances, it affect the Inventory Account which is an Account Account and that is why there is no Profit Centre marked in the JE.

  • Profit centre needs to be updated in Vendor and Customer line item reports

    We are using ECC 6. 
    Profit centre is updating for vendor and customer line items in document level.  But the same is to be reflected/updated in profit centre field in FBL1N and Reports.

    hi
    Use this T codes you will get Profit center wise  S_AC0_52000888 Paybles (vendor balances )
    Tcode for Profit center wise receviables S_AC0_52000887  (customer balances )
    Regards
    Babu.k

  • Table for Profit centre wise G/L account data

    Hi all,
    is there any table or any function module  updating the  profit centre wise balance for G/L accounts. BSEG has profit centre but we are not prefering as it a cluster table.

    Hi,
    You can look at GLPCA or GLPCT (totals) tables.
    Regards,
    Eli

  • FF7B - Cash management Profit centre in the line item

    Hi,
    We are facing one problem at our end.
    We have upgraded our system to ECC 6 with new gl activated.
    Also activation of cash management (lequidity forecast) exist since 4.6C .
    Now with New GL activation in place and When we run FF7B -  ( Transaction to check the lequidity forecast ) it shows the summary details but when we drill-down to a line item level and copy profit centre as well as segment field from the layout for the line items the fields are appearing blank.
    Is anybody have the idea how to populate or update the profit centre as well as segement field in the same line item data in future and also for the past data.
    Thanks & Regards
    Mahesh

    this is available in Enhancement Pack 5.

  • Profit Centre updation in Vendor or Customer Line item

    Dear All,
    With the concept of New GL, system is configured with profit centre and business area mandatory fields. after posting the document in MIRO and VF01 system is not able to capture the Profit Centre in the vendor or customer line item in " Entry View" where as in  "General Ledger Veiw" PC is capturing properly.
    Business area field is updating in the both the veiws.
    Due to this we could not able to take the vendor or customer line item in the t code FBL1n / 3n. is there config setting missig or else system is behavior correct.
    if sytem is behaving correct in this case how to take the vendor or customer line item with respective profit centre wise.
    Thanks in Advance,
    Sahil. K

    First of all go to SE37 and copy the function module SAMPLE_INTERFACE_00001650 and make a Z one out of it .
    Then code your requirement playing aorund with the structure RFPOS .
    Then Go to FIBF - Settings - Products - Of a customer . Here make a new entry with a Z one of yours as per your convinience .
    Again go to settings - P/S modules - Of customer - Entere here the BTE 1650 and the product that you have created and enter the fucntion module name that you have made the codings in .
    Save the entries .
    Also , in the FM you can keep a break point and check what is the effect that is coming out in the Structure RFPOS after the FM is executed .
    May take the help of an ABAPER for the same .

  • Profit Centre and Cost centre not updated

    Hi,
    I have posted expenses through FB60 and assigned cost centre to the expenses account and not for vendor item. Entry passed was posted.
    But when i checked the document, i saw that the cost centre and profit centre is appearing in one line item (i.e. expense line item) only.
    Afterwards i made payment through F-53. In this entry also there was no cost centre and profit centre in vendor line item. But the same was appearing in "outgoing bank" line item

    Hello,
    If you are on classical GL, your vendor line items or customer line item will not be updated automatically.
    If you are on New GL functionality and document splitting, you will have profit center updated on customer and vendor line items.
    Regards,
    Ravi

  • Profit Centre: JE not updated

    Good day All,
    When my cutomer assign a Profit Centre to a line item (both service and item) A/P Invoices, the Profit Centre is not updated.
    Accoridng to me it is a bug. Can somebody help?
    Kind regards

    Hi Carin,
    Profit Centers are tagged to revenue & expense accounts only. Check your Chart of Accounts & see if you have correct account types tagged to:
    *revenue accounts = sales
    *expense accounts = expenditure
    I've encountered this before, correcting the account type worked for me. I hope it works for you too =)
    regards,
    tessa

  • Update Profit centre for Credit Memo request whose Billing is compeleted

    Dear All,
    I have an issue for a creditmemo request whose billing is already been completed and consequently the invoice has been cancelled but unfortunately the Credit memo request (CMR) is pending in the incompleteion log for the profit center which need to be entered. The document flow shows blank in the status field for the CMR.
    Need your advice how we can update in the sales order (CMR) thou the field is greyed out and not able to change the profit Center field in the change mode by changing any other fields as well.
    Is there any transaction where in can we change the field values directly related to Profit Centre (In account assignement tab at Item level of the sales order)
    Appreciate your quick reply on this
    Regards
    Mahesh

    Hi
    Check this below link. I had faced this issue years ago and got a strange solution which is still applicable.
    Open status of Credit Memo after rejecting all line items
    Thank$

  • Profit Centre Document issue at the time of Post Goods Issue on SD.

    Dear Experts,
    While SD person is posting Post Goods Issue, System is generating Profit Centre Document along with other documents. We are facing an issue with Profit Centre document here and the issue is:
    Some Profit Centre Documents are populating Delivery Order Number on respective field while some are not. Ideally all profit centre line items should show Delivery Order Numbers.
    Please guide any solution to resolve this issue, its urgent.
    Thanks in Advance.
    Regards,
    Zain Bashir

    Hi Zain
    This is a tricky issue
    Are you saying that the PCA document has the Delivery Number (VL01N) updated in some cases and not updated in some cases?
    The Delivery Number is updated in PCA document when you create Delivery from VL01N and do PGI from VL02N
    But, if you do PGI from VL01N itself, then the delivery number is not updated in the PCA document
    SAP recommends to post PGI from VL02N
    Br. Ajay M

  • Profit centre at storage location level

    Hi Experts,
    Can we define a profit centre @ storage location level?
    My scenario :
    The document splitting of FI is activated for the document type of FI and also the profit centre is mandatory entry for any accounting document that will be created so when I am trying to post a MIGO I encounter the error
    "Balancing field "Profit Center" in line item 001 not filled"
    We have a option of maintaining a profit centre in plant data/storage location but i will be updated in the profit centre field of Costing1 view . But we does not want to upadate in costing view of material master data.
    Basically We want the system to determine profit centre based on storage location  in Goods reciept transaction .
    Helpful Sugestions on this would be helpful & rewarded max .
    points.
    Regards,
    Patil
    t

    Hi Raju ,
    Thanx for the reply.I am Basavarajs Collougues.
    Our Enterprise Structure of our Client is as follows
    One company code is assigned to one plant and we have treated all the branches across India as Storage locations.Each  Branch (Storage Location- MM) is configured as Profit centres in FICO.The goods are procured for a storage location.
    By using the functionality of document splitting, the profit center field is made mandatory for all the accounting documents generated in the system. Now we are trying to post a goods receipt against a Purchase Order, the system is giving error "Balancing field "Profit Center" in line item 001 not filled"
    The option is there to maintain a profit center at the plant level.But we have several storage locations under the plant and each storage location has to be linked with the particular profit center. So that, while doing goods receipt the system should determine profit centre based on the storage location in purchase orders.
    Please suggest on this.
    Regards,
    SVU123

  • G/L Account & Profit Centre Wise  Trial Balance Report

    Im working on a Client which is in 5 version and does not have the new GL account and document split.
    They require a  report where they could get the trial balance report (Gl accoun & profit centre).Standard report F.48 provides only Gl Account wise.
    Please suggest me on how i can start this develpomnet.As per my view i need to update a Z table with profit centre and Gl account Amounts and then in turn fetch the values to my report.
    Can the SDN experts help me on this,i would be very gratfull.

    hi,
    you can use these tables for trial balances g/l account wise.
    TABLES : glt0 ,
                   skat ,
                   t001 .

  • Sales order change BAPI not updating items Profit center

    Dear ,
    I am facing the problem in using the BAPI for Item 's profit centre  in blank space.
    I write down the below code <but it's not at all updating the profite centre .
    please ccorrect the code if any required'
    TYPES: BEGIN OF file_data ,
           vbeln TYPE vbap-vbeln, " order numner
           posnr TYPE vbap-posnr, " orderitem
           profit_ctr TYPE vbap-prctr, " [profite centre
          END OF file_data.
    DATA: t_data TYPE STANDARD TABLE OF file_data .
    DATA : wa_data LIKE LINE OF t_data.
    DATA: t_data_item TYPE STANDARD TABLE OF file_data .
    DATA : wa_data_item LIKE LINE OF   t_data_item.
    **DATA: t_data_item TYPE file_data OCCURS 0.
    *DATA: return TYPE STANDARD TABLE OF bapiret2.
    *DATA: wa_return LIKE LINE OF return.
    DATA: wait LIKE bapita-wait VALUE 'X'.
    DATA: s_order_header_in LIKE bapisdh1.
    DATA: s_order_header_inx LIKE bapisdh1x.
    DATA: BEGIN OF i_order_item_in OCCURS 0.
            INCLUDE STRUCTURE bapisditm.
    DATA: END OF i_order_item_in.
    DATA: BEGIN OF i_order_item_inx OCCURS 0.
            INCLUDE STRUCTURE bapisditmx.
    DATA: END OF i_order_item_inx.
    DATA: BEGIN OF it_return OCCURS 0.
            INCLUDE STRUCTURE bapiret2.
    DATA: END OF it_return.
    ***********************selection
    SELECTION-SCREEN BEGIN OF BLOCK b1 WITH FRAME.
    PARAMETERS : file LIKE rlgrap-filename OBLIGATORY.
    "ctu_mode  TYPE ctu_mode  DEFAULT 'N'.
    SELECTION-SCREEN END OF BLOCK b1.
    *********assign file
    AT SELECTION-SCREEN ON VALUE-REQUEST FOR file.
      CLEAR file.
      CALL FUNCTION 'F4_FILENAME'
        IMPORTING
          file_name = file
        EXCEPTIONS
          OTHERS    = 1.
      DATA:  it_text TYPE truxs_t_text_data .
      CALL FUNCTION 'TEXT_CONVERT_XLS_TO_SAP'
        EXPORTING
          i_field_seperator    = 'X'
          i_line_header        = 'X'
          i_tab_raw_data       = it_text
          i_filename           = file
        TABLES
          i_tab_converted_data = t_data[] " Your internal table of structure of Excel sheet
        EXCEPTIONS
          conversion_failed    = 1
          OTHERS               = 2.
      t_data_item[] =  t_data[].
      DELETE ADJACENT DUPLICATES FROM t_data COMPARING vbeln.
    Header update indicator
      s_order_header_inx-updateflag = 'U'.
    Line items
      REFRESH: i_order_item_in, i_order_item_inx.
      LOOP AT t_data INTO wa_data.
        LOOP AT t_data_item INTO wa_data_item WHERE vbeln = wa_data-vbeln. .
          i_order_item_in-itm_number = wa_data_item-posnr.
          i_order_item_in-profit_ctr = wa_data_item-profit_ctr.
          i_order_item_inx-itm_number = wa_data_item-posnr.
          i_order_item_inx-updateflag = 'U'.
          i_order_item_inx-profit_ctr = 'X'.
          APPEND: i_order_item_in, i_order_item_inx.
        ENDLOOP.
        CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
          EXPORTING
            input  = wa_data-vbeln
          IMPORTING
            output = wa_data-vbeln.
        CALL FUNCTION 'BAPI_SALESORDER_CHANGE'
          EXPORTING
            salesdocument     = wa_data-vbeln
            order_header_in   = s_order_header_in
            order_header_inx  = s_order_header_inx
            behave_when_error = 'P'
          TABLES
            return            = it_return
            order_item_in     = i_order_item_in
            order_item_inx    = i_order_item_inx.

    i already used same But it's not working
    s_order_header_inx-updateflag = 'U'.
    Line items
      REFRESH: i_order_item_in, i_order_item_inx.
      LOOP AT t_data INTO wa_data.
        LOOP AT t_data_item INTO wa_data_item WHERE vbeln = wa_data-vbeln. .
    BAPISDITM
          i_order_item_in-itm_number = wa_data_item-posnr.
          i_order_item_in-profit_ctr = wa_data_item-profit_ctr.
    BAPISDITMX
          i_order_item_inx-itm_number = wa_data_item-posnr.
          i_order_item_inx-updateflag = 'U'.
          i_order_item_inx-profit_ctr = 'X'.
          APPEND: i_order_item_in, i_order_item_inx.
        ENDLOOP.
        CALL FUNCTION 'CONVERSION_EXIT_ALPHA_INPUT'
          EXPORTING
            input  = wa_data-vbeln
          IMPORTING
            output = wa_data-vbeln.
        CALL FUNCTION 'BAPI_SALESORDER_CHANGE'
          EXPORTING
            salesdocument     = wa_data-vbeln
            order_header_in   = s_order_header_in
            order_header_inx  = s_order_header_inx
            behave_when_error = 'P'
          TABLES
            return            = it_return
            order_item_in     = i_order_item_in
            order_item_inx    = i_order_item_inx.

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