What is additional ledger?

dear friends,
what is additional ledger and where it is used. how we can use the 366 posting period (for special purpose ledger).
thanking you
SRK

Hi
Additional ledger is nothing but, the ledgers maintained in the Special Purpose Ledger.
SAP differentiates between two ledger types:
Standard ledgers & Special Purpose Ledgers
         The standard ledgers include:
¡        The general ledger of the application component General Ledger Accounting (FI-GL)
¡        The consolidation ledger of the application component Consolidation (EC-CS)
¡        The profit center ledger of the application component Profit Center Accounting (EC-PCA)
¡        The reconciliation ledger of the application component Cost Center Accounting (CO-OM)
Go through the below link for more info
http://help.sap.com/saphelp_erp60_sp/helpdata/en/da/6ada3889432f48e10000000a114084/frameset.html
SKS

Similar Messages

  • What is leading ledger, nonleading ledger, document splitting

    what is leading ledger, nonleading ledger, document splitting
    Moderator: Please, read and respect the rules of SDN. Upon next violation, the user will be banned

    Hi,
    _ Parallel Accounting_
    General Ledger Accounting allows you to perform parallel accounting by managing several parallel ledgers for different accounting principles.
    _ Integration of Legal and Management Reporting_
    In General Ledger Accounting, you can perform internal management reporting in parallel with legal reporting. For this purpose, the Profit Center Accounting functions are integrated with General Ledger Accounting. Furthermore, you can generate financial statements for any dimension (such as profit center).
    Segment Reporting
    General Ledger Accounting supports the segment reports required by the accounting principles IFRS (International Financial Reporting Standards) and US GAAP (Generally Accepted Accounting Principles). For this purpose, General Ledger Accounting contains the Segment dimension.
    _ Cost of Sales Accounting_
    You can perform cost of sales accounting in General Ledger Accounting. For this purpose, General Ledger Accounting contains the Functional Area dimension.
    Features
    General Ledger Accounting comprises the following functions for entering and evaluating posting data:
    - Choice between group level or company level
    - Automatic and simultaneous posting of all subledger items in the appropriate general ledger accounts (reconciliation accounts)
    - Simultaneous updating of the parallel general ledgers and of the cost accounting areas
    - Real-time evaluation of and reporting on current posting data, in the form of account displays, financial statements with different balance sheet versions, and additional analyses.
    In this way, General Ledger Accounting automatically serves as a complete record of all business transactions. It is the central and up-to-date component for reporting. Individual transactions can be checked at any time in real time by displaying the original documents, line items, and monthly debits and credits at various levels such as:
    - Account information
    - Journals
    - Totals/transaction figures
    - Balance sheet/profit and loss evaluations
    However, SAP still offers to choose between the New GL and the old Classic GL way of accounting.
    There are certain limitations in the new GL and clients are adopting to the new gl concept.
    For more clarity please see the below link
    http://www.sap.com/solutions/business-suite/erp/financials/pdf/BWP_New_Gen_Ledger_Acct_Functions.pdf

  • Please tell me what  is General Ledger Account

    Hi Friends,
        I am new to workflow and working with FI module.Please let me know the flow of FI and what is General ledger Account in detail.
    Please provide me with good documentation or urls etc on FI Accounts Payable module...
    Thanks in Advance,
    Latha.

    Hi Latha,
        Welcome To SDN!!
    General Ledger Account  is a term used in basic accounting.
    http://www.businesstown.com/accounting/basic-general.asp
    fi FLOW:
    Basically there are 5 major topics/areas in FI,
    1. GL Accounting -
    related tables are SKA1, SKB1 Master data
    BSIS and BSAS are the Transaction Data
    2. Account Receivables- related to Customer
    All the SD related data when transfered to FI these are created.
    Related Tables BSID and BSAD
    3. Account Payables - related Vendor
    All the MM related documents data when transfered to FI these are created
    Related Tables BSIK and BSAK
    All the above six tables data is present in BKPF and BSEG tables
    You can link these tables with the hlp of BELNR and GJAHR and with Dates also.
    4. Special Purpose Ledger.. which is rarely used.
    5. Asset Managment
    In CO there are
    Profit center Accounting
    Cost center Accounting will be there.
    Cross-Application Components -> Financial.
    http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm
    you will go through this link
    http://www.sapgenie.com/sapfunc/fi.htm
    Check this Link it out
    http://www.sap-img.com/sap-download/sap-tables.zip
    FI-CO
    http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/FI_tutorial.html
    http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/CO_tutorial.html
    Main Tables in 5 FI/CO :
    5.1 FI :
    5.1.1 Master data
    SKA1 Accounts
    BNKA Bank master record
    5.1.2 Accounting documents // indices
    BKPF Accounting documents
    BSEG item level
    BSID Accounting: Secondary index for customers
    BSIK Accounting: Secondary index for vendors
    BSIM Secondary Index, Documents for Material
    BSIP Index for vendor validation of double documents
    BSIS Accounting: Secondary index for G/L accounts
    BSAD Accounting: Index for customers (cleared items)
    BSAK Accounting: Index for vendors (cleared items)
    BSAS Accounting: Index for G/L accounts (cleared items)
    5.1.3 Payment run
    REGUH Settlement data from payment program
    REGUP Processed items from payment program
    5.2 CO :
    TKA01 Controlling areas
    TKA02 Controlling area assignment
    KEKO Product-costing header
    KEPH Cost components for cost of goods manuf.
    KALO Costing objects
    KANZ Sales order items - costing objects
    5.2.1 Cost center master data
    CSKS Cost Center Master Data
    CSKT Cost center texts
    CRCO Assignment of Work Center to Cost Center
    5.2.2 Cost center accounting
    COSP CO Object: Cost Totals for External Postings
    COEP CO Object: Line Items (by Period)
    COBK CO Object: Document header
    COST CO Object: Price Totals
    Regards
    Kiran Sure

  • Hi There, What is General ledger Transfer in Accounting Close Cycle (INV)

    Hi There,
    What is "General ledger Transfer" in Inventory
    <N>Accounting Close Cycle inside -->General ledger Transfer
    Can any one breaf on the topic
    Thanks Bachan
    Message was edited by:
    Bachan

    Hi,
    You can transfer a summarized inventory/work in process activity for a given period
    into the general ledger interface. Using Journal Import in Oracle General Ledger, you can then post this information to the general ledger. You can perform the general ledger transfer at any time during an open period-not just at period close. The transfer loads summary or detail accounting activity for any open period into the general ledger interface, including both inventory and work in process entries. When more than one period is open, the transfer selects transactions from the
    first open period up to the entered transfer date, and passes the correct accounting date and financial information into the general ledger interface.
    When transferring detail entries, the accounting date in the GL_interface table is
    populated with the period end date of the accounting period. When you transfer
    summary entries with two periods open, and you enter a transfer date in the second period, the transfer process assigns the period one end date for all the summarized transactions in period one, and assigns the entered transfer date for the summarized transactions in period two. Using Journal Import and Post Journals processes in Oracle General Ledger, you can then post this information to the general ledger.
    Interim transfers allow you to reconcile and transfer information weekly, for
    example, making the month-end period close process much simpler and faster.
    Note: If time permits, run the general ledger transfer process up to the period end date before closing the period. Since you cannot reopen a closed period, running this process before period close allows you to proof the summary transactions and make adjustments to the period via new inventory transactions as necessary. This makes the month-end period close process much simpler and faster
    Thanks,
    Anish Daniel

  • What is additional config for Default Org chart Root as "Other"

    Hello alll,
    This is with regards to configuration of Organization chart in Nakisa - When we choose others option for Default Org chart Root:it asks for additional configuration to be maintained
    Can you please tell us what this additional configuration is? and where it has to be maintained?
    Choose "Other": Displays a customized value as the org chart root. - Please help us understand what this is.
    Thanks & regards
    HK

    Hi HK,
    You need to understand the core principles of configuring security in STVN modules as covered in the Advanced Technical Training courses Nakias provide via SAP. The configuration is done in the Login_Configuration.xml files in your build folder and AppResources.xml.
    The coding is highly complex and requires experience of implementing it. It also depends on what type of build you have, what the authentication source is and how you plan to authorise the users once you have authenticated them. There are many combinations and it isn't something that can be explained over a Forum - it needs an experience consultant on-site in order to do it.
    I hope that helps.
    Many thanks,
    Luke

  • What is general ledger corresponding accounts?

    what is general ledger corresponding accounts...is there any specific reports in standard sap.

    Dear Salsa,
    I guess, general ledger corresponding account means, that for a GL account, if I want to see the offsetting accounts that have hit it in the journal entry.
    Eg:
    In the entry
    Expense A/c Dr
      To Vendor account
    The corresponding account for the Vendor account is the expense account and for the expense account, the corresponding account is the vendor account.
    There is a standard report for the same - S_ALR_87012313
    Assign points if useful
    Regards
    Venkatesh

  • What is "Additional Items Found"?

    When digitizing footage for a project from several tapes, I'm getting the message "Additional Items Found" as I go to capture a clip. The entire message says:
    "Additional Items Found.
    2 items outside your current selection have been found to reference media about to be processed during this operation.
    If you add these items to your selection, an additional 1.5 GB of disk space will be required for an additional 00:06:59;25 of media referenced by these items.
    If you select Continue, these items will not be added to your selection, and they may be taken offline.
    (Three choices) Add Continue Abort
    I've been choosing Continue without any problems. However, one time (on a lark) I did choose Add. Two clips, and the sequence they were in, went immediately offline and the deck took off in what appeared to be trying to find the two clips-- they were on tape but it could not find them. So I stopped the deck's search, re-captured the clips and the sequence came back on line but I had to render (?) the clip within the sequence-- it would play but I would get frame lost messages. Once I rendered the clips in the time line, I was able to continue on my way.
    Now, I have been using the multi-clip function on FCP 5 (great function, BTW) and I'm wondering if this could be part of the culprit. But I'm getting the "Additional Items Found" message with every clip captured, including those that are not part of multi-clip (on a batch capture, the message only appears once).
    Any ideas?

    I hope I don't sound too much like the manual, but:
    When you select one or more items and then do a batch capture, Final Cut Pro checks all currently opened projects to see if there are any other clips that reference the same media. If so, the Additional Items Found dialog appears.
    To make sure that these additional clips are also reconnected to the source media being captured, click Add. If you click Continue, these extra clips will be ignored and the batch capture is restricted to the clips you originally selected.
    For example, suppose you have a bin containing one sequence and twenty clips, and they're all offline. You select the sequence, then choose File>Batch Capture. The sequence uses ten of the clips, so even though you only selected the sequence, the Additional Items Found dialog appears. If you click Add, the ten clips in the Browser that are also used by the selected sequence are added to the total selected items that will be reconnected after the batch capture is complete.
    When you use the Media Manager to do a potentially destructive operation, Final Cut Pro checks all currently opened projects to see if there are any other clips that reference the same media. If so, the Additional Items Found dialog appears.
    Add: Click this button to override your original selections and preserve parts of clips that you want to delete (since these clips are outside the range of clips you originally selected to operate upon).
    Continue: Click this button to continue the operation you originally specified without modification. (You’ll probably select this option when using the Media Manager.)
    Abort: Click this button to stop the Media Manager operation (for example, if you want to redo your selection).
    CaptM

  • Java Support Pack Stack - what about additional patches?

    Hi Guys,
    I have applied Java SP stacks many times before so this is not a technical question as such.
    We download the entire SP Stack and apply it via JSPM. But this only updates the system to that stack with patch level 0. For instance, if I apply SP Stack 3, then all the components will have SP3 patch 0. SAP releases bug fixes from time to time in the form of additional patch files like SP3 patch level 1, 2, 3, etc. for individual components but these are obviously not part of the downloaded stack but need to be downloaded separately for each component.
    My question is, is it a good strategy to apply the entire stack as downloaded so this makes all the components to patch level 0 in that stack and then also download all of the latest patch files for each component within that SP level and apply all of them in the next run?
    So I think this should fix all the bugs that SAP has fixed using these patch files so this would save us a lot of time which usually goes wasted in encountering the bugs, finding solutions and maybe even going to SAP just to find out that the latest patch files are released which already contain these fixes.
    So, can someone tell me whether this is a good idea to do it this way? Or is there any downside to this?
    Thanks and Regards,
    Shitij Bagga

    Hi,
    You can apply eaither ways there woun't any problem.
    i mean you can apply directly patch with SP leve or apply the SP level with patch 0
    When ever if we apply the patch for any SP level, it over write all the file with patch file
    Thanks,
    Sreeni.

  • What is the ledger code to assign PLA?

    Hello experts,
    Can you please help me in finding the code to assign PLA(Personal Ledger Account).
    Thanks and Regards
    Urmila S.

    Logistics - General....Tax on Goods Movements ...India ... Account Determination ... Specify G/L Accounts per Excise Transaction

  • What is genral ledger cods in sap fico

    HI guyz
    Could anybody plz tell me  G/L cods in  SAP FICO
    Regards
    Anil

    Hi Prabhas,
                     Zreports means custom reports. these can be created in se38.
    Regards
    Prameela

  • New non-leading ledger creation

    Hi,
    The new non-leading ledger to be created as per the client's requirement.  Can we create new non-leading ledger later on.  The old data to be posted to new non-leading ledger.
    Can someone throw light on this issue?
    What can be done please suggest.
    Thanks
    Satya

    Hi Satya,
    Please go through the following notes
    SAP Note 1227504 - Subsequent implementation of an additional ledger
    SAP Note 1229202 - Subsequent implementation of an additional ledger
    Please search forum well as this topic has been discussed many times.
    Regards
    Eugene

  • Activation of new Non leading  ledger for IFRS- Challanges involved

    HI
    Good Day. I am  requesting this  qwery on behalf of my company.   We are working on SAP ECC 6.0 and the  New G/L functionality  is activated and  additional non leding ledger  have been  defined for  IFRS reporting for some  of the company codes rolled out subesequently.
    Duriing the implementation , IFRS ledger was not defined for some of the company codes at that point of time. Is it  feasible  to define the  Non leading ledger for IFRS reports now.
    If it is  possible, how to migrate the  opening balance to this ledger. What are  the  other challanges involved, if we activate the non  leading ledger now.
    Thanks in advance for your guidance.
    Regards.
    S K Patra

    You want to assign an additional ledger to a company code later on in General Ledger Accounting (new). You have to utlize the functions that are provided by the SAP General Ledger Migration Service. 
    This falls under Scenario 7: Subsequent implementation of an additional ledger
    You need to consider this as a separate project and must prepare and execute this project with the utmost care to ensure accounting is still in order following the activation.
    You have to structure accounts and already posted line items of the subsequently implemented ledger, in addition to
    consistently changing various interdependent Customizing settings (for example, for General Ledger Accounting and Asset Accounting). SAP provides only a technical migration
    Please refer to note 1227504.

  • What's The Point Of Having DVRS If The Guide Is Incorrect?

    As the holiday season is upon us with a new year right around the corner verizon's guide issues still continue to get worse and worse with each day that passes with no end in sight as to verizon actually making an effort to correct the guide issues that currently exist. The schedules that verizon has running on their channels are so far off that it must be some sort of a sick inside joke to see how much the customers will take before they decide to go elsewhere for their services because of the reluctance to want to assist customers with all of the data that is wrong on the guide. If you want something corrected you are on your own since tickets that get created do not get worked on or looked at by the people who can make the necessary corrections. Now while i have been in touch with your guide provider and many of the channels on the guide to get things corrected (which i should not have to do) things have been getting fixed little by little but the frustrating thing is that even after i get them corrected for everyone who has fios for their tv service two weeks later it reverts back to being the same issues all over again. Very few people know that i have been doing this but if there is anyone at verizon who can actually assist with this issue then please do so because there are a lot of people who are having the same issues nationwide who are at the point where they are going to drop you if you do not fix the guide issues. I would be embarrassed to know if it were my company that was incapable of providing something that people are paying for and that the customers have to do my job for me rather than those who are being paid to do it so if you can assist those of us who have these guide issues please do so or at least give people a reason as to why you are not doing so rather than saying that it is a known issue. It being a known issue and a company doing nothing about it is truly disturbing because then the perception will be that apathy is the reason for not wanting to correct the guide problems.  

    Have you voted here. Get rid of FYI and what ever additional provider adds data. What good is all the additional info, if it is all wrong. Nice guide bad data.
    http://forums.verizon.com/t5/Share-Your-Ideas-with​-Verizon/Switch-to-Tribune-Media-Service/idi-p/378​...
    OK mm1, I see you had voted.

  • What is the monthly cost to add an addittional smartphone?

    My daughter would like a phone for Christmas. We are attempting to determine what the additional monthly costs would be to add a additional smartphone to our plan (above and beyond the initial costs for the phone itself).

    That would depend on the plan and the way you purchase the phone.  More Everything - $40 line access, discounted for EDGE payment plan, or no contract purchase (full price) based on total data bucket.  $9.99 line fee and $30 for 2gb data if you are on the old Nationwide plan and want to stay there. 
    Basically $40 added to your monthly bill for the additional line and data...with a [possible discount based on other factors.

  • Assign company code to consolidation staging ledger

    Dear Guru,
    When I execute tcode GC41, there is an error message , it said :
    No ledger for consolidation has been specified
    Message no. GC191
    Diagnosis
    No consolidation staging ledger was allocated to the company code.
    System Response
    If an extract is to be created for consolidation, then every company code must also be allocated to the consolidation staging ledger. This means that every company code is posted directly to two ledgers.
    Procedure
    Every company code which is to be transferred to consolidation must be allocated to the consolidation additional ledger. The consolidation additional ledger must point to the GLT3 data base.
    How to assign company code to consolidation staging ledger?
    I check Tcode OCZ2, there is Ledger 9 (Additnal Consolidation Ledger), should I create new ledger for consolidation staging ledger? How to make it?
    Thanks before.

    There are some steps that one must do in order to populate the Cons tables.
    Some of them you may find in SPRO t-code. SAP.help.com is not very bad in this also.

Maybe you are looking for

  • In OS 10.3.1 calendar week view doesn't zoom like it used to

    Hi, my favorite view in calendar is the week view. And I had it zoomed rather small, so I had a good overview over my whole week (especially, do I have an appointment in the evening). After the upgrade to 10.3.1, at least the week view refuses to zoo

  • Exporting a Intelligence report having a Pivot in to an excel

    Hello,<BR>I am having report which has a Pivot table in it. When i tried to export this report to an excel sheet, all the parts except the pivot is getting exported. Pivot is exported only if the pivot part of the query is being exported.<BR><BR>Need

  • TS1382 Display blank  iPod nano 2nd gen

    Display blank  iPod nano 2nd gen

  • Album Art issues iOS 5

    Everytime I sync my iPad (1st Gen) to my Macbook Pro 2010 running 10.7.2 deletes my album art gets deleted. From both my iphone and ipad. Does anyone know why it is doing this and how to make it stop? Its really annoying and I have to remove all of m

  • Text is fuzzy

    I laid out some pages in DreamWeaver CS3 with a background image I applied to the page using the page properties window. The image is set not to repeat. In older versions of Internet Explorer the text is smeared like a bad fax where the background im