Valuation view assign to Group, Legal, Profit center currencies

Hi all,
What i understood the valuation means. it views the business transaction in different ways and it will be assigned based on client requirements.
My question is:
Currently, i am using two different valuation i.e, Group and legal valuation and assigned to Group and company code currency respectively and Same thing maintained in Controlling Area (Combination of Group and Legal valuation) under currency settings. We posted number of postings based on this config.
Now, my requirement is can i change this config. (valuation from Group to Profit center) in mid of the year. if it so  what are merits and demerits for this config.
Thanks and Regards,
Raghu

I didn't understand your situation...

Similar Messages

  • Assign manual cost and profit center for 3rd party purchase order

    When we have a 3rd party purchase order we need to assign OUR cost and profit center to that document.  Here is the scenario:
    We buy a product from a vendor for $10 and then re-sell the product to a customer for $100.  Instead of posting this information to either cost or profit center of the vendor and customer, we need to assign the $10 to our company cost center and the $90 to our company's profit center.  We are basically acting as a middle man for selling a product.
    I am fairly a newbie, so please provide detailed answers if possible.  We create the sales order in VA01 and create the purchase order in ME22N.

    HI Kapil,
    For any accounting entry you need to define a General Ledger Account where the details (Amount) of the transaction will be stored.
    Just by maintaining cost centre will not help in completing any transaction involving accounts. So you need to  maintain G/L account in the controlling area of your company code.
    You can use T Code FS00 to create new G/L account in the chart of accounts.
    In the edit cost element Tab you can give the cost center that you want.
    I hope this helps.
    thanks
    rahul goel

  • Table name for Internal order group and Profit center group

    Hello Friends,
    Could any one provide me the table for Internal order group and Profit center group.
    We are developing new customized report and user requested internal order group and Profit center group in the selection criteria.
    I have checked for this tables but found only these fields in structures.
    Thanks in advance,
    Ravi Kiran.

    Or use FM [G_SET_TREE_IMPORT|http://www.sdn.sap.com/irj/scn/advancedsearch?query=g_set_tree_import] to read the hierarchy/Group. (Read FM and FG documentation, you can also add break-point and call some S_ALRxxx transaction which use this FM for the objects you need).
    Regards,
    Raymond

  • Issue on profit center group and profit center group hierarchy

    hi experts
    I have a requirement where i have profit center,profit center group and profit center group hierarchy.
    profit center group and profit center group hierarchy are same?if they are same how to get them into BI.if they are not same how to get them into BI
    im using two datasources 2lis_11_vaitm and 2lis_12_vcitm,how to connect the profit center group and profit center group hierarchy with the datasources,My dataflow is on top of these datasources there are two write optimised dso and on top of those w-o dso there are std dso and on top of the std dso there is a infocube.on infocube there is multiprovider
    Thanks,
    sivaram

    Hi Sivaram,
    Profit Center would be an attribute of any object which is used in the 2lis datasources. maybe CO Order or WBS etc...from these objects Profit Center should be or could be made as navigational attribute.
    Further you can load the master data and hierarchy from the datasource 0PROFIT_CTR_0106_HIER
    Hope this helps.
    Good Luck.
    Vikram

  • How to get the member of cost element group from Profit center group

    Hi Guys,
                  I need to get the member of cost element group from Profit center group like in Tcode KCH3 and the same from Account Group like in Tcode KDH3.
    Any Function Module available to get this data.
    Thank U for Ur time.
    Cheers
    Senthil

    I am closing this thread.

  • Defining profit center currency

    Hello,
    If I want to use the special profit center currency (90) as the EC-PCA report currency in transaction 0KE5 in the Profit Center Local Currency Type field I need to first define the required profit center currency. Could you please tell me where I can define this special profit center currency in customizing?
    Best regards,
    Robert

    Check OKE5 and OB22

  • Assign Functional area to Profit Center Distribution Cycle postings

    Hi All,
    I am using a NEW GL distribution cycle (Tran Code : FAGLGA35) for distributing balances in the Dummy Profit center to relevent Profit centers.
    My Company is using Functional area for FIN STAT Ver and other reportings. When I run the profit center distribution cycle, it distirbutes the amounts but doesnot assign the Functional areas to the posting. Is there a way I can pass the functional area of the relevent postings of the accounts to the postings of each distribution postings.
    Thanks
    MKR

    Dear MKR,
    Thank you for using the SAP SDN Forums,
    In this particular case, you could have a look at the following to
    see if it helps you, but I have not tested this for your case
    so it is not being offered as a definite solution:
    You could look at using FAGL_ALLO_SUBSTITUTE which might be able to
    help you to get the results that you want.
    Due to the inheritance logic in allocation, if you set "transfer
    field" option active for the field (T811I-INHER), the system copies
    the sender value to the receiver if the receive value is not specified.
    Please refer to SAP Help portal:
       http://help.sap.com/saphelp_erp2005vp/helpdata/en/40/e1510735f30baee10000000a114cbd/frameset.htm
    You can deactivate "transfer field" flag in customizing
    and use BAdI : FAGL_ALLO_SUBSTITUTE to substitute the intended
    functional area. (This BAdI is the "official" way to substitute any
    field during allocation, rather than OBBH substitution.)
    I hope this may be of some assistance in resolving the issue.
    Kind Regards,
    Brendan

  • Costs assigned to a cc/profit center

    hi,
    I need to pick up the costs that are assigned to the cost center / profit center (non project).  Which table do i use. 
    Currently, i get project costs from Covp.  can I get also these(Non project) costs also from Covp?  How do I know if they are for particular cost center? 
    thanks
    K

    cost centres are CO objects post this in the relevant forum

  • Cost Center Group and Profit center Group

    Hi All,
    The Client is requested to have Cost Center Group in the CO reports. I have trying to analyse how to get Cost center group in the report or Info Provider.
    When i went to T-code KS03 in ECC ( Display Cost Center), i get the Hierarchy Area field called KHINR, which shows the Cost center grp. Upon discussing with Functional person, he has told that this Field lies in Table CSKS (Cost Center Master).
    Now i am thinking to enhance the Cost Center Attribute Dsrc. with this Field KHINR.
    I just want some suggestions or advice on how to bring Cost center grp and Profit center grp
    Thanks and Regards
    Edited by: Raihaan Khan on Dec 12, 2008 3:35 PM

    Hello Simon, Thanks again for all your FICO resolutions.
    Yes i truly agree that Cost Center Grp is CostCenter Hierarchy,, but i dont understand, y the Client has told that he needs the field KHINR in the Cost Center Report too.
    Actually he wants Cost Center Group wise report and NOT Cost center wise report.
    I have thght of extracting the Complete Std Hierarchy to 0COSTCENTER and then in the report , i can give a Cost Center Hierarchy Variable(probably a selection screen), such that the User can select the Nodes he want and then drill down the CostCenter Groups to see his respective Cost center accounting.
    Please opinionate on this
    Thanks

  • Exchange Valuation difference to be disbtributed on profit center

    Dear All,
    I want to distribute the exchange rate valuation difference to original profit center, what steps should be follow? How to distribute the same?
    Regards,
    Rajeev

    Hi,
    Please note that the Realized Gain/Loss on Forex GL Code is a Profit and Loss Account and a Cost Element. Because of which, it picks the Profit Center from OKB9.
    As far as I know, we cannot avoid Profit Center Document in this scenario.
    Regards,
    Kiron Kumar T.

  • Profit center currency

    Hi gurus
    I have a problem where the KE5Z report is showing CAD amounts(for USD) with an exchange rate that is not the t curr table, atleast that we assume it should take 'M' rate for translation.
    Can you please let me know where in config I shall check for profit center and currency related data.
    These are for actual line items
    Thanks in advance
    MSJ

    Check OKE5 and OB22

  • Assign GL account to profit center,  or plant sales office (movement 601)

    When you craete an outbound delivery (picking, packing & goods issue), it creates an Financial document (the goods issue), the goods issue have a plant and sales office & profit centre. When the financial document is created, it post to a specific GL Account, I want to change the GL Account, but don't know which field (plant, sales office, profit centre) determines the GL account, and where this setting is made, so that I can change it.
    The movement type that involve is 601. This means for every goods issue we generate, there is a accounting document, and this account document is posting to a GL account, and I want to change this specific GL account. It is not in VKOA, OKGB or GGB1.
    Thank you for your assistance

    Hi Chariold,
    G/L Account will determined based on Plant i.e. valuation area.
    These valuation ares grouped into Valuation group ( Modifier) code and
    Transaction Event ( GBB, BSX)  will determined by Movement type ( 601)
    Valuation Class will determined from Material Master Accounting view.
    Now come to OBYC - Chart of Account -- Press GBB & BSX Transaction Event
    Combination of Valuation Modifier + Valuation class _ G/L Account.
    For these activities best you plz co ordinate with ur MM Team. becasue Account determination is related to MM.
    Revert in case of any query
    Regards
    Durga Sana

  • Profit Center Currency in SAP FI New GL

    Hi SAP Experts,
    My client is on SAP 4.7 version. We are planning to upgrade to the ECC6.Currently,client is not using Procfit Center accounting functionality in SAP 4.7.They want to implement PCA in New GL.
    My questions i s:-
    a) PCA in New GL is linked to the Controlling area as it was in SAP 4.7?
    b) Can we use PCA currency diffrent from Controlling area currency and Company code currency in New GL?
    Thnaks in advance.

    Hi,
    Do not mix between New G/L and PCA. PCA could be used independently from New G/L, while the very concept of New G/L implies that you can avoid using PCA at all, but do the split to profit centres within New G/L itself. To your questions:
    1) yes
    2) yes (you can use 90 currency type, i.e. separate currency for PCA), maintained via 0KE5.
    Regards,
    Eli

  • How can we settle price diff. in profit center valuation to COGS acc?

    Dear All,
    We have activated multiple valuations/transfer prices.
    We do perform cross company code material sale. We have assigned each profit center at company code level.
    We have set transfer price variant in t.code 8kez and have customized  accounts in Controlling-Profit Center Accounting-Transfer Prices-Settings for Internal Goods Movements -Define Account Determination for Internal Goods Movements.
    We had got posting logic described in http://help.sap.com/erp2005_ehp_05/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    Now after actual costing run price differences in profit center valuation were not transferred to next level as we expected.
    They have stayed as not distributed at sender  (company code) profit center level.
    How can we distribute price differences in profit center valuation to COGS account of sender profit center defined due to
    http://help.sap.com/erp2005_ehp_05/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm?
    With best regards,
    Kamila.
    Edited by: Kamilana Zhakenova on Dec 25, 2011 10:56 AM

    Dear Gurus,
    There is an addition to post above.
    Transfer price was defined in SD module in Sales and Distribution-Basic Functions-Pricing-Pricing Control-Define Condition Types.
    Now it is taken during cross company code sale from scheduling agreement and invoice.
    (Please, do not take into account that we have customized transfer prices in 8kez)
    But the issue is price differences in profit center valuation settlement.
    They do settle to the next level  for receiver company code  like in group valuation.
    We need to settle them to COGS account at company code sender side.
    How we can do that?
    With best regards,
    Kamila.
    Edited by: Kamilana Zhakenova on Dec 26, 2011 11:37 AM

  • ERROR in profit center group creation...

    hai...i want to UPLOAD ALL THE LIST OF PROFIT CENTER DETAILS INTO SAP USING BDC SESSION METHOD..for that purpose i tried to create profit center using  TCODE -KE51, but profit center group is not available in my system...i tried to create profit center group seperately using transaction KCH1 and assigned  that number   on profit center creation screen(KE51)..but i got the error..PROFIT CENTER GROUP 1  CANNOT BE USED HERE....how to solve this error.????may be  is there any error in creation of profit center group hierarchy..???..

    HI
    Thanks for the support, but  I have already checked Ambiguity Check but there is no duplicae groups/profit centers are existed.
    I tried the same through KCH2 and also path (profit center hierarchy maintenance), but the same error is existed. I have checked with different groups also. But any group it is throwing the same error.
    Ex if i am giving group K123456 which is not existed. But the same error is throwing.
    Can anybody please suggest is there any programe for correction ?
    Thanks in advance
    Rao

Maybe you are looking for

  • Cant delete all from a bound text area--why??

    Hi All, Here's my problem. I'm using jdev10.1.2, jsp's and adf bc's. i have several text areas on my jsp that correspond to clob attributes on a VO. If the user edits this page by removing the entire contents of one of these text areas and submits th

  • Please Help. For some reason, I have numerous, numerous problems.

    For starters, my macbook is roughly a year old. For the past, 2-3 months, I've been having some problems. 1. Itunes. Oh, where to start with Itunes? One day I try to open up my Itunes to listen to some music, and I get a message, it says exactly this

  • Acrobat XI email attachment does not appear to work with Outlook 2013 64 bit

    When attempting to send email from Acrobat, the following Microsoft Office Outlook 2013 64 bit error message is received:  "Either there is no default mail client or the current mail client cannot fulfill the messaging request.  Please run Microsoft

  • Landscape, Legal size bitmaps on NT

    I'm trying to successfully register a bitmap report in Applications. The report is landscape and legal size. The server is NT. I can output to letter size (using Postscript or PCL), but I can't get the report to print on to legal size paper. I have t

  • How can I set up a List of Figures with extra text?

    I'm writing my Art History dissertation, which includes a substantial group of figures at the end.  My advisor has requested that I caption the images, but also provide a List of Figures before the actual images begin.  I've got it figured out this f