Vendor Profit Center wise balances

Dear friends,
Here is the requirement to provide details of vendor wise profit center wise balances. As report required to run for all vendors for a certain period it is consuming a lot time to calculate opening balances from line items.
Is there any table like LFC3 which will store vendor wise, profit center wise balances. Kindly suggest.
Regards,
Praveen Lobo

Dear
Use T.code FBL1N - Display/Change Line Items.
when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
Alternately, use dynamic selections in T.code FBL1N selection screen.
Please let me know if you need more information.
Assign points if useful.
Regards
MSReddy

Similar Messages

  • Profit center wise Balance Sheet

    Dear Experts,
    I am working in a project right now and the company requirement is to get the Balance sheet profit center Wise.
    We are implementing ECC 6 and have activated Document splitting Functionality.
    We are Considering products as Profit centers.
    My concern is if I assign profit center in Material Master, my flow from PR to MIRO is working fine, as the system is assigning profit center at line items in Accounting from Material master.
    But at the time of Sales delivery the entry in accounting is
    COGS DR.
    To Inventory Cr.
    COGS is a cost element and I cannot post it without assigning cost center
    The issue I am facing is if I fix one cost center over here, it will only pick one profit center assigned to it, but I want to have different Profit centers
    Not only in the above entry, I am facing this problem on all automatic Profit and loss entries
    How can I assign correct profit center to the line item. Please suggest me some solution.
    Thanks and Regards
    Lakhbir Singh
    Cross-Post

    You can find the detailed documentation regarding the profit center balance sheet at the following links:
    http://help.sap.com/saphelp_47x200/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    http://help.sap.com/saphelp_47x200/helpdata/en/eb/13811243c411d1896f0000e8322d00/frameset.htm
    Regards,
    Suraj

  • Profit center wise Balance sheet & profit & loss account

    HI, Expert
    we are currently using ecc 5.0 and New gl & document spilting is not active i want to see profit & loss & Balance sheet profit center wise . how can i see the report & what are the cofiguration changes need
    Regards
    gk

    Hi
    Same as in 4.7EE and earlier versions ...
    Create FSV- Financial Statement Version and use TCODE: F.01 to get the reports.
    Also, use the RP/RW for the same.
    VVR

  • Profit Center wise balance sheet and Profit and Loss account

    Hi Experts,
    I will explain my scenario
    The is cleint having Head Office for handling procurement of goods for all branches(8) and the physical delivery happens for goods at the requested branch and GR and IR also makin at the branch level.
    And we are treated each branch as profit center apart from HO(profit center).But the vendor payment should be happen from HO(prfoit center) so and they are not using automatic payment programme.
    My question is
    1.While doing the vendor (Branch)payment from Cash/Bank GL (HO) how the balances will be tallied ?
    2.If I am using the document splitting and zero balance document clearing will it tally at the profit center level ?
    3.At the period end if I will do the 1KEK T Code to transfer the payables to the profit center which profit center system will take for posting ?
    Please advice me in this and I will give good points with correct answer.

    Hi Edukondalu Garu,
    Please find answers to your questions below:
    1.While doing the vendor (Branch)payment from Cash/Bank GL (HO) how the balances will be tallied ?
    Answer: The Profit Center balances will get automatically tallied due to document splitting and Zero balance account being defined properly.  The automatically identifies it
    2.If I am using the document splitting and zero balance document clearing will it tally at the profit center level ? 
    Answer: Yes that is the main criteria to get full fledged Balance sheet and P&L account by Profit Center
    3.At the period end if I will do the 1KEK T Code to transfer the payables to the profit center which profit center system will take for posting ?
    Anwer: With Document Splitting, you don't have to do the period end transaction in PC to transfer the account payables, accouts receivables and fixed assets.  The transfer is online and real time basis.
    I hope i answered all your questions.
    Please feel free to get in touch with me if you need futher clarifications
    Best Regards
    Surya

  • Regarding profit center wise balance sheet , profit & loss account

    dear all
    here my client is having more than 200 legal entities. All leagal entities do activies like
    1)  separate share capital legal entity  wise
    2)  separte assets legal entity  wise
    3) IT returns legal entity  wise
    4) fund transfer B/W legal entities.
    like they are maintaining separatly. We have decided to treat each entity as a profit centre. We are aware of the fact that profit centre is only used for internal purpose. But in order to reduce the load of master data we have decided to go with it .
    Now my question is
    weather profit centre will fulfill all the statutory requirement for a legal entity ?
    Regards
    Babu K

    You can configure new GL accounting for your client. Activate Document splitting at profit center level to get complete set of financial statements at profit center level.
    Regards,
    Prasad

  • FGI0 -Profit Center wise Balance sheet

    HI all
    In FGI0 we can execute report for the fiscal year 2009. but for 2010 no report is generated. please  guide me whethre we have to execute any carry forward function for this t-code.
    With regards
    Jai

    hi friend,
    than'x for given attention & spend ur valuable time.
    what u say i couldn't understand? pls suggest what do u want to say?
    Than'x
    Dhananjay

  • Profit center wise vendor balances

    Hi guys,
    My client want to vendor balances with profit center wise. I know t.code s_ac0_52000888 it displays reconsilation account wise balances I want to  profit center wise balances not reconsilation account wise balances its urgent please help me
    thanks
    syam

    Dear
    Use T.code FBL1N - Display/Change Line Items.
    when you execute the report , select changelayout and select the field profit center, vendor balance and profit center are displayed.
    when the profit center is displayed, select filter and enter the profit centers and profit center wise vendor balances will be displayed.
    Alternately, use dynamic selections in T.code FBL1N selection screen.
    Please let me know if you need more information.
    Assign points if useful.
    Regards
    MSReddy

  • Profit center wise vendor / customer invoices

    hi experts,
    i believe profit center wise balance sheet is a possible but i am not sure how. but one thing that beats me is how can i make profit center wise invoices on vendor and customer. if its a question of some customization do explain me
    regards
    sayeed

    Profit center is maintained in the material master, When multiple materials are selected in an invoice, accounting documents create entries crediting sales account for each material sale value under associated profit centers.
    In the pre-ECC scenario, there is a t-code 1KEK which is run at period end to segregate the balance sheet receivables and payables by profit centers. Under new-GL scenario, with document splitting this can be achieved as and when the sale is recorded.

  • Profit center wise Financial Statement

    Dear Friends,
    In one of our client place there are 2 profit centers. There is no Business Area. Now client want to see the Profit & Loss Account for each Profit center. How to see the P&L account statement.
    Also please provide check list to be verified / configuared to see the Profit center wise P&L statement.
    Is it possible to see the Profit center wise Balance sheet. If so whether we can compare the same with F.01 report?
    Will awards points if it is useful.
    Regards,
    nms

    > Dear Friends,
    >
    > In one of our client place there are 2 profit
    > centers. There is no Business Area. Now client want
    > to see the Profit & Loss Account for each Profit
    > center. How to see the P&L account statement.
    >
    > Also please provide check list to be verified /
    > configuared to see the Profit center wise P&L
    > statement.
    > Is it possible to see the Profit center wise Balance
    > sheet. If so whether we can compare the same with
    > F.01 report?
    >
    > Will awards points if it is useful.
    >
    > Regards,
    >
    > nms
    Hi,
    You can see the Profit center wise Profit and Loss account throgh F.01.
    Click on Dynamic Selections and give the profit center and execute it.

  • Document split profit center wise

    Hi All,
    I have a senario.
    I want to post a document were it automatically splits and post it to respect profit centers.
    Ex: Canteen expenses for Rs 1000/- my profit centers are PR01 and PR02. My cost center is CCC1.
    Entry should be:
    Dr. Canteen Exp        1000        CCC1    
    Cr. Bank                   1000
    entry should split
    Dr. canteen CCC1    PR01     600
    Dr. Canteen CCC1   PR02      400
    Cr. Bank                               1000
    this i need for two purposes,
    1) Two get the Profit center wise balance sheet
    2) two reduce the client work.
    What are the things i need to take care to get this. how can i get this
    Thanks
    murali

    Hello,
    I am not sure if you can achieve this splitting,because if you want to use document splitting functionality and the split will happen on the line items where there is no profit center  i.e in your case the cr bank will be splitted in to two if you have two debit entries on expense side.
    See for the following scenario u mentioned ;
    Entry should be:
    Dr. Canteen Exp 1000 CCC1
    Cr. Bank 1000
    entry should split
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank 1000
    its not balanced by profit center as you said/stated.
    If you have any entry like ;
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank 1000
    Document splitting can split in to following:
    Dr. canteen CCC1 PR01 600
    Dr. Canteen CCC1 PR02 400
    Cr. Bank  pro1 600
    cr bank pro2 400
    where you have profit center wise  balance sheet.
    And you have to config as stated in the above post.
    Thanks,
    Sai.

  • Profit center wise billing documents

    dear experts,
    could please let me know that is there any possibility to see the invoicing amount against the profit center wise.if there,pls provide  me the configuration settings.
    regards,
    amar.

    Refer following links for understanding/reference:
    - profit center wise balance sheet
    - FBL5N report by profit center
    Thanks & Regards
    JP

  • Profit center wise reports

    How can we get profit center wise
    Trial balance
    P&L
    Balance sheet

    Hi,
    In order to get Profit Center wise Balance Sheet, you need to assign Profit Center for all Balance Sheet GL Accounts. In case of Materials, Fixed Assets, Receivables and Payables when the month process is completed Profit Center will get assigned.
    For other GL Accounts, it needs to be configured in transaction code 3KEH. For each GL Account only one Profit Center can be assigned. So, this is again subjective and depends upon Business requirements. You can also consider derivation rules / allocation at the month end.
    With regard to reports you can use standard report or develop Report writer / painter reports.
    Thanks
    Murali.

  • Profit Center wise Vendor Balance

    Dear Sir,
    Kindly guide us as how can we get a report / information for "PRFOFIT CENTER wise VENDOR Balances " . I tried with FBL1n but it give Balance without Profit Center . We are using ECC-6 .
    We assure to give full points for the suggested solution pl .
    Kindly help me pl .
    Rgds
    B Mittal

    Hi BV,
    You will not get Profit Center wise payables information from FBL1N,though you can see the profit center field in FBL1N. This Profit center is the profit center sitting in BSEG table and with ECC 6.0 if you are using new GL, then Profit center wise details are available in FAGLFLEXA.
    The other report as mentioned in one of the replies above is also there but its presentation is not so good as of FBL1N.
    And the other option is to develop a Z report for Profit center wise payables. We have done it for receivables and it is working fine.
    Regards,
    SAPFICO

  • Vendor balance profit center wise

    Dear friends
    my client need profit center wise vendor report but its not in the standard report fbl5n can any body help me to get the solution

    Hi Lancy, USe T. Code S_ALR_87013346 and see it meets your requirements.
    -- Shivaji

  • Profit center wise trial balance

    Hi,
    I have created profit centers for 2 dimensions. and made JE's.  I want to see Profit center wise trial balance for the 2 dimensions
    When I go to trial balance I went to extended selection criteria and given 2 dimension. But none of the values is popping up?
    I need a report for profit center wise trial balance.
    What could be the issue?
    Regards
    Shashi

    Thanks peter,
    But my customer needs profit centers to be posted at the time of issue to production.
    for that what I did is . I have defined one dimension as Product and the other as Cost centers
    In need a trial balance based on profit centers. cost centers will be posted at expenditure level.
    and Product (Cost Centre) will be posted at finished goods and WIP Level,
    for example they have trial balance as follows
    Acct Name             Cost Centre       Product         Project          ICO
    FG Direct                                         0111
    FG Direct                                         0112
    WIP Direct                                       0111
    WIP Direct                                       0111
    Sales                         21000             0111
    Sales                         21000             0112
    Transportation            21000              0111           R001
    Transportation            21000              0111          99999
    Where ICO is Inter company Vendors which will be assigned to vendor
    How can we take trial balance based on this?
    Regards
    Shashi

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