Validation for Cost Centers
Dear Friends
In my client place we have 6 plants are defined and profit centers are defined for each plant. Hence here each plant is one profit center. Cost centers are defined plant wise.
The requirement is when the goods issued to cost center system should check the cost center is defined against the plant. ( i.e., Cost center def against the Profit Center, and Profit center equal to Plant).
Is there any provision to assign the plant to profit center or vice versa?
Please guide me how to resolve the issue.
Thanks in advance.
In OKC7 you can define validations to check the relationship in CO and FI postings. You can use exit RGGBR001 for custom code. You could set this relationship up in a table and then check that.
pts appreciated.
Similar Messages
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Transaction KSB1 - Display Actual Cost Line Items for Cost Centers
Hi,
When I run transaction KSB1 - Display Actual Cost Line Items for Cost Centers, all my offsetting accounts (accumulated depreciation accounts) are shown except for the ones for asset classes:
- Buildings
- PC & Small Applications
On the FI side, I can see transactions being posted to their relative accumulated depreciation accounts but I do not see this on the CO side when transaction KSB1 is executed. I have checked the config and the account assignments look correct. Also, the assets created have cost centers assigned to them.
Could you please help!
Thanks,
- DekiHi Murali,
I have one depreciation expense account (P/L Account) which is also a cost element.
During depreciation run, the different asset classes are supposed to hit the depreciation account above and their corresponding accumulated depreciation accounts (These are Balance Sheet Accounts and I have separate accounts for each asset class .. ie: Accumulated Depreciation for Furniture and Fixture for asset class Furniture and Fixture).
Now when I run transaction KSB1 - Display Actual Cost Line Items for Cost Centers, all my accumulated depreciation accounts are shown except for the ones for these asset classes:
- Buildings
- PC & Small Applications
Any thoughts on why the above aren't showing?
Thanks! I really appreciate your help!
- Deki -
Plan cost line items for cost centers report
Hello,
I am displaying the report: Plan cost line items for cost centers and when I display the details of a line item it appears a document number, where could I display this document?
I have tried to display it in FB03 transaction but it seems not to be this kind of document.
On the other hand in the field Business transaction it appears RKP6, what is the meaning of this field?
Thank you very muchHi Beatriz Amezua ,
For displaying plan line items for cost center - KSBP and for display of individual plan document : KABP
RKP6 means "Planning Activity Dependent Costs"
Like in FI module, the business transaction have been codified and the list you can find in KANK transaction , mention your controlling area, menu -- Groups -- Display Groups
Srikanth Munnaluri -
Customized report for cost centers by different cost centers
Hi All,
Customized report for cost centers by different cost centers:
I need to build a customised report with the following format:
Cost element columns | Cost center 1 | cost center 2 | cost center 3, etc -> dynamic cost center columns
CE 1 .............................. amount xxx | . amount xxx | .. amount xxx
CE 2 .............................. amount xxx | . amount xxx | .. amount xxx
CE 3 .............................. amount xxx | . amount xxx | .. amount xxx
CE 3 .............................. amount xxx | . amount xxx | .. amount xxx
User selection screen:
Controlling are:
Fiscal Year:
From period to period:
cost center group ... <range of CC group> or
cost center value ... <range of CC value>
Questions:
From the above selection screens, I need to pull out all the data stored in the table: COEP
But, the problem is that inside this table, there is no cost center or cost center group stored; and therefore the program should be smart enough to pull out all the documents from the table: COEP and then make sure that the document / list of documents that pull out should belongs to the cost center or cost center group, as well as date range.
KIndly advise how functional description/design should be built in order ABAPer can understand the requirement?
What should be the tables to refer in order meet the requirement.
Similar Standard SAP cost center report should be S_ALR_87013611 - Cost Centers: Actual/Plan/Variance, but this report read from many tables.Hi,
Please find the logic below & try it at your system-
Here cost center group is not possible (also i not checked it so do it on your own simultaneously i am trying the same).
Use Table BSEG-> in bseg give the cost center-> with the help of cost center find the account number (field HKONT)-> take this GL account number & got to table COEP-> in this give the GL account number at field 'offsetting account' (field GKONT) & you will get the line item.
Try it & let me know if you have any question.
Thanks -
Commitment line items for cost centers - KSB2
Hi all,
- PO#450118888
- Client is working in transaction code KSB2 (Commitment line items for cost centers)
- Client states that PO shows a different amount or that line item 2 does not show at all in KSB2.
Please guide me what is the solution for this and where I need to check
Thanks and Regards,
KumarHi Beatriz Amezua ,
For displaying plan line items for cost center - KSBP and for display of individual plan document : KABP
RKP6 means "Planning Activity Dependent Costs"
Like in FI module, the business transaction have been codified and the list you can find in KANK transaction , mention your controlling area, menu -- Groups -- Display Groups
Srikanth Munnaluri -
Ceating Sets for Cost Centers in GS01
Could someone please guide me in the steps to take for creating a set for cost centers so when DP90 (Billing Request fro service order) is generated it looks at all cost centers...
I went to GS01 created a name of Cost Center used table AD01ATTR and field KOSTL...enterered the from value XXX and the to value as XXX...
This does not seem to be working....am i missing something? Your direction would be greatly appreciatedHi,
Try using table CCSS
Mu -
Define Time-Based Fields for Cost Centers
Dear All!
I would like to know , how I'm abale to cahnge the setting
of business area for Time-Based Field of Cost Centers to period
Transaction is OKEG
Would be thankfulYou can maintain master data for cost centers, cost elements, activity
types, and business processes with time dependencies. You can make
changes at any time for any given time interval. Data storage also takes
place with a time reference. In this way, a master data record can have
multiple database records storing different information.
The smallest interval is one day. To ensure data consistency, you
cannotchange each field daily. The timeframes in which you can change a
field depend on the field functions, which are fixed by the SAP R/3
System and cannot be changed. Master data maintenance includes an
automatic check for each field's time-based consistency, resulting in
individual time-based maintenance for each field.
Regards
Prabhu -
Distribution cycle for cost centers
Hi,
I have created a distribution cycle for cost centers using SKF. I have even created document using KB31N. based on this document the sender should have some amount after executing the distribution cycle, but here the sender value is completely distributed to recievers leading to incorrect results.
Can any one help me solve this?
Thanks,
SravanthiHello
Pls check the rule once again.
You use allocation rules to determine how amounts and quantities are allocated between sender objects (sender values) and receiver objects (receiver tracing factor). The rules for the allocation types are made up of sender and receiver rules.
Sender rules
Determination of the sender values for the distribution/assessment can occur according to the following rules:
Posted amounts
Fixed amounts
Fixed rates
Receiver rules
Determination of the sender values for the distribution/assessment can occur according to the following rules:
Variable portions
Fixed amounts
Fixed percentages
Fixed portions
Reg
assign points if useful -
BAPI to get cost line items for Cost Centers
Hi,
does anybody know a BAPI to get
cost line items for Cost Centers
or other Cost Center data?
e.g. actual, plan, commitments
I'm thankful for help.hi,
check this BAPI <b>BAPI_COSTCENTER_GETDETAIL1</b>
regards
vijay -
Value BLANK/SPACE not valid for cost element "Fund"
Hi!
We use funds management in our solution. It has worked fine in development but when doing the module tests we get the following error when creating a shopping cart:
Value BLANK/SPACE not valid for cost element "Fund"
When creating a PR in backend we do not get an error. So it should not be a problem in funds management.
Everything works fine when using BBPSC01 (central)
Any ideas?
Sincerely
Anders
Edited by: Anders Öhrling on Sep 29, 2008 11:33 AMPle provide the solution for Problem Resolve.
-
Difference between SKFs for Cost Centers and Profit Centers
Dear All,
Three cost centers A,B and C have two profit centers say X and Y assigned. When we run SKFs report for Cost Centers - S_ALR_87013645 total for all the Cost centers is say 30 (81210). When I run the report S_ALR_87013342 for Profit Centers SKF break down total is 30. However break up is not matching. Cost Center A and B have Profit Center X and C has Profit Center Y. Ideally in PCs break down for SKFs must be X = 20 and Y=10. However this is not the case. Total is tallying but the break up is not tallying. Y has total of say 25.
Cost Center C has profit center assignment changed in the middle of the year. Is the difference because of changing the PC assignment to CC in the middle of the year/in between? Do we need to adjust the SKF numbers for incorrect PCs in 9KE5?
Is there any other way to correct the difference instead of posting in 9KE5? Please help.
Thanks in advance,
Satyafound it
-
Validation for Cost center for Goods issue against the cost centers
Dear Friends
In my client place we have 6 plants are defined and profit centers are defined for each plant. Hence here each plant is one profit center. Cost centers are defined plant wise.
The requirement is when the goods issued to cost center system should check the cost center is defined against the plant. ( i.e., Cost center def against the Profit Center, and Profit center equal to Plant).
Is there any provision to assign the plant to profit center or vice versa?
Please guide me how to resolve the issue.
Thanks in advance.Hi
Please check EC01. May be it can help you. But in my view it is not possible. -
Authorizations for cost centers or profit centers on FI documents
Hi,
We need to assign some users to a role so they are allowed only to post documents that are related only to a specific cost centers or profit centers in the document.
We try to do it using role authorizations transaccion PFCG, however we cannot find the appropiate object to do it. Does someone know how to do it ?
We appreciate any help and reward points will be granted.
Thanks !Hello,
try the K_CSKS authorisation object for cost center -
Report for cost centers when using MVT 261
Guru's,
Most of the request for material for our storerooms are done through a work order and issued out using MVT 261. We're trying to find a report that shows the cost centers used when using MVT 261. I've tried using MB51 and MVT 261 but no cost centers populate. When I use MB51 and MVT 201 for reservations created manually there's no problem, all cost centers are populated.
Thanks
EricHi,
The movement 261 is for Issue to Order & no issue to Cost Center, hence you have the problem.
You will get only the order number is case of 261.
Regards,
Prashant -
LSO_P* tcodes - can they be secured for cost centers
Hi there,
Recently finished a LSO implementation. Question, it appears the most of the LSO_P* transactions doe not use P_ORGIN to restrict
for employees by cost centers? I assume this is more Master Data which we use mostly for main payroll transactions.
Is there a way to restrict the LSO type tcodes to certain cost centers/ PA's outside of using structural authorizations. We have no
structural auth in place.
The users using these tcodes just have a SU01 account with a named user account i.e BOBzee with no attachment to Organizational structure.
any thoughts appreciated
DanCreate a test role add PA40 and other transactions along with the LSO_P* transaction and test it out
you will have the correct answer.
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