Zero Balance Clearing Account for New GL

Hi SAP Gurus,
We have one unique situation for zero balance clearing account for New GL.
We have one global chart of account to which all company codes are assigned. We implemented document splitting with zero balance clearing for 1 splitting characteristics.  We defined clearing account for zero balance for the same as well.
We need to post to different account only for one company code for zero balancing while other company codes will be posting to same clearing account.  But as per me, we can only define one GL Account per Chart of Account for zero balancing.
Pls. suggest if you have any solution to this situation.
Regards,
Chirag

Hi,
Do you have a business rationale for this requirement? Apparently you are using the same Chart of Accounts and hence cannot assign a different GL Account.
This account will always have zero balance at GL Account level and will not be relevant to your legal reporting. A better solution would be to use the one account that all company codes can agree upon and use.

Similar Messages

  • Unable to view entries in FAGLL03 for Zero Balance Clearing Account

    Hi experts,
    We are facing a unique problem. We are not able to view the line items of the Zero Balance clearing account. The master data of the G/L has been activated for line items but still the display of the items is not happening. I am getting the foll message:
    Account 19900000, company code 1100 is clearing account
    Message no. MSITEM111
    Diagnosis
    You have stored account 19900000 in company code 1100 as a clearing account. At the same time, you use line item management with this account.
    System Response
    Error message issued because line item display cannot read data for an account in a ledger if line items exist partially in the entry view together with clearing items for which there are no line items. In such cases, only the data with line items would be selected.
    Procedure
    Check the Customizing settings or account control. Change the settings so that only automatic postings without line items can be made to the account, or select a different account as the clearing account.
    Regards,
    Sateesh

    Hi
    In splitting case you need not the give the line item display tab for Zero Balance Clearing Account.
    Just remove that line item display in FS00 for Zero Balance account. You could be able to see the entries in FAGLL03
    Regards
    Sandeep

  • How to findout line  items of zero balance clearing account?

    Hi Friends,
    my zero balance clearing account shows balance.
    we have 6 business areas and document splitting activated.
    Trial balance is matching at co.code level.but its mis matching at business area level.
    Line item management is checked in the master data of zero balance clearing account.
    How to find out the line items of the zero bal.clearing account so that i ll get the relevant business area amount and ll pass journal entry accordingly and ll get the balanced trial balance at business area level.
    What is the table for zero balance clearing account line items?
    suggest.
    Regards,
    Sumeay

    Dear
    I am also facing the same problem. We are having 7 business areas. Trial balance is tallied even at busness area level. However, the zero balance clearing account is showing balance in each business area ( we can say "inter business area balncess.").
    Please help
    Regards.

  • Zero-Balance clearing account - account determination

    Hi all
    For the different accounting principle (US GAAP / IAS and so on) we do not use the ledger solution, we use the account solution.
    There numbering for the accounts is as follows:
    xxxx00 accounts for all accounting principles
    xxxx01 accounts for US GAAP
    xxxx02 accounts for IAS
    xxxx03 accounts for local GAAP
    In the same way, we set up the cost elements for assessment (e.g. 920'003) and the corresponding GL-account for the backward integration from CO -> FI (e.g. 930'003).
    Requirement:
    For the profit center, the must be establised a complete balance sheet and P&L statement. This for all 3 accouting priniples.
    Means we need a complete P&L statement und balance sheet per profit center for US GAAP, IAS and local GAAP.
    Problem:
    As soon as a cross profitcenter assessment is done in the CO-OM (form cost center A to cost center B), there is a booking on the zero-balance clearing account.
    In the customizing you can just set one single zero balance clearing account (in our case 199'990). But for a correct setting up of the 3 accounting principles we should be able to customize different zero-balance clearing accounts:
    Example:
    in CO-OM (cost center assessment)
    Profitcenter A: -100 cost element  920'003
    Profitcenter B: +100 cost element  920'003
    in FI-module (backward integration CO to FI):
    Profitcenter A: -100 GL account 930'003 -> ok
    Profitcenter A: +100 GL account 199'990 -> Problem  -> should be 199'993
    Profitcenter B: +100 GL account930'003 -> ok
    Profitcenter B: -100 GL account 199'990 -> Problem  -> should be 199'993
    If you could set up different zero balance clearing accounts, then you could print out the balance sheet and P&L statement in the FI module per profit center as follows:
    US-GAAP:  accounts xxxx00 and xxxx01
    IAS:            accounts xxxx00 and xxxx02
    local:          accounts xxxx00 and xxxx03
    Swiss GAP FER: xxxx00 und xxxx01 Konten
    Steuer: xxxx00 und xxxx02 Konten
    kalkulatorisch: xxxx00 und xxxx03 Konten
    Thanks very much for any input.
    Pius

    Dear,
    If I understood your requirement correctly then you want different ZERO balance clearing GL Account for below type  GL Accounts
    xxxx00 accounts for all accounting principles
    xxxx01 accounts for US GAAP
    xxxx02 accounts for IAS
    xxxx03 accounts for local GAAP
    Please correct me if I am wrong. If correct then you can post accounting entries to different GL Account by using Substitution OBBH. You have to decide the pre-requisite and on the basis of that you can write the substituon.
    Hope this helps.
    Br,Vivek

  • Zero Balance clearing account shows balance?

    HI All,
    My "zero balance clearing account" shows balance and hence my trial balance is not matching.
    We have posted some WA(goods receipt) documents from MM side and cancelled those due to wrongly entered of internal order in those documents.And Debit line item is missing in those cancelled documents and hence credit amount is showing in my zero balance account.
    How can i get rid of this problem and match my trial balance ?
    Regards,
    Sumeya Offrin

    Hi Sumiya,
    Check the Trial Balance GL Line Item wise through FAGLL03/FBL3N - G/L Account Line Items.
    If any correction reverse the Entry do it again.
    One more Check the MM Transactions All materials are reversed are not.
    Check the Stock Balance in MB5B through GL Wise Stock Account.
    Regards,
    Kishore K

  • Problem with document splitting and zero balance clearing account

    Hi SAP Gurus,
    We've already configured the document splitting functionality in our project, however we still encounter some issues with the outcome of posting documents. For some scenarios, the document split functionality seem to work. Below is such example
    Scenario # 1
    Entry View:
    40  Expense (cost ctr 0001)
    31  AP
    GL view:
    40 Expense (cost ctr 0001)
    31 AP (cost ctr 0001)
    However, whenever 2 GL items are included in the document, the document split functionality acts differently.
    Scenario # 2
    Entry View:
    40 Expense # 1 (cost ctr 0001)
    40 Expense #2 (cost ctr 0002)
    31 AP
    GL view:
    40 Expense # 1 (cost ctr 0001)
    40 Expense #2 (cost ctr 0002)
    31 AP (no cost ctr assignment)
    40 Zero Balance Clrg  (no cost ctr assignment)
    50 Zero Balance Clrg (cost ctr 0001)
    40 Zero Balance Clrg (no cost ctr assignment)
    50 Zero Balance Clrg (cost ctr 0002)
    I was just wondering how come the AP item did not split accordingly to the cost center indicated in the entry view. Can anyone please assist me on this one? Thanks in advance and best regards.

    Hi Milind,
    Thanks for the reply.
    I've done the below configuration and assigned cost/profit center update. It now works for profit center split. It still does not split accordingly per cost center though.
    SAP Customizing Implementation Guide > Financial Accounting (New) > Financial Accounting Global Settings (New) > Ledgers >Ledger > Assign Scenarios and Customer Fields to Ledgers
    In the below configuration, cost center is not an available option. Unlike the profit center which is available here.
    SAP Customizing Implementation Guide > Financial Accounting (New) > General Ledger Accounting (New) > Business Transactions > Document Splitting > Define Document Splitting Characteristics for General Ledger Accounting
    The profit center split looks fine now, however the cost center split still is only reflected in the expense items and not on the AP item.
    Any ideas on how to actually split the AP line items according to the cost center assignments ?
    Edited by: Patrick on May 9, 2011 7:46 AM

  • Separate GR/IR clearing account for non material

    HI,
    In the business, already an account is being used as GR/IR clearing account (WRX) for non material receipts (Non material means there is no material code exists in the system but at the time of PO a description is updated manually).
    There are in all two plants and at present all the non material values are getting posted to the same GI/IR clearing account. The requirement is to have a separate GR/IR clearing account for both the plants.
    Please note that its related to non material only and there is no material code hence no valuation class can be defaulted. Also if valuation class is kept "blank", the system allows only one entry of account.
    Please let me know if any exist is available on this.
    Best Regards

    Hi
    It can be done by defining different valuation grouping code for both the plants in OMWD. Then for the respective valuation grouping codes you can maintain different GL accounts in OBYC
    Thank You,

  • Separate GR/IR Clearing Account for Process wise.

    Hi Experts,
    Can any body suggest, how to trigger separate GR/IR clearing account for process wise.
    The requirement is separate GR/IR clearing account for Normal Inventory and STO Inter company.
    Let WRX  trigger for Stock items and Z** for Inter company STO.
    Thanks & Regards
    Sudhansu.
    Edited by: sudhansu satapathy on Nov 16, 2010 2:49 PM

    We can achieve it by using User exit.

  • GR/IR Clearing Account for Material & Asset

    Hi,
    We want to maintain different GR/IR Clearing Account for Materials & Assets.
    Pls. guide.
    Regards,

    Hi
    In case of asset - we define account determination in asset master which is like stock account for material. But if you use purchase order then for asset you use account assignment category as A - it means it is like account assigned purchase order. So all goods reciept credit on these POs will go to GR/IR account created without valuation class. Same time if you donot maintain service masters then goods receipt will go to same account (no valuation class). So either you need to define service materials or use same account for both.
    Thanks

  • Why we use different clearing account for GR/IR and planned cost clearing a

    My client ask for using same account for GR/IR account and all planned cost clearing account.
    i try to convince it should be different accounts but he needs a logical answer.
    Why we use different clearing account for GR/IR and planned cost clearing accounts?

    Dear friend.
    u just tell him while doing GR it will debited n  while doing IR it should get credited.hence we  need to take diff G/L account or same account.
    regds
    nasir

  • Problem when change bank clearing account for payment posting.

    We recently changed the bank clearing account for payment posting (program PC00_M99_PPM). But I found out because the config can only be changed but not delimited on payroll side, the program errored out when it retro back for an employee to the old clearing account.  So what am I supposed to do to fix this problem?
    Have anyone ever handled this problem before and could please throw some light on it?
    Thanks in advance.
    Johnson

    hi
    check following
    1. Check in OMWD, whether Valuation grouping code "0001" ia ssigned to Ur plant
    2. OBYC - If you have assigned GR/IR Clearing A/c to WRX then check whether you have maintained it with combination of valuation class and GL A/c
    If yes then maintain only GL A/c w/o valuation class OR maintain one entry with valuation class empty and GL A/c
    check following
    Error in service entry sheet
    Re: Error in ML81N
    http://sap.ittoolbox.com/groups/technical-functional/sap-acct/grir-clearing-account-wrx-doesnt-recover-gl-account-2224137?cv=expanded
    http://sap.ittoolbox.com/groups/technical-functional/sap-log-ps/problem-while-posting-service-entrysheet-in-ecc-60-version-1483547?cv=expanded#
    regards
    kunal

  • Clearing accounts for Bank account

    I understand the concept of maintaining clearing accounts for Bank a/cs. But i dont know how to create them. Is there any spl procedure for that or is it similar to GL creation using FS00. Please guide me...
    Thanks in advance
    Choudary KV

    Hi,
    it is just like anyother account. please don't forget to create it as an open item managed account
    Assign points if useful
    Sunoj

  • Consolidation Unit Clearing account for Income / Expenses elimination

    Hi,
    When companys are leaving the group, where the parent comapany has some income/expenses elimination transactions with the company leaving, there is still balance on the parent company on consolidation unit clearing account with the company leaving the group as partener company.
    This shows incorrectely the retained earning for the parent company for posting leve20 when balances on consolidation unit clearing account is not included. Please advise.
    We are not unsing COI but we are using Group change functionalities when company leaves the grop.
    Furthere, in all auto elimination document type for Balance Sheet Elimination and Income statement elimination, we have assigned same consolidation unit clearing account. Please advise.
    Best Regards,
    UR

    When viewing the results using the standard reporting mode I suspect the balances are okay. Please clarify in detail how the data is being analyzed so we may better assist.

  • Wrong assignment of Balance sheet accounts for Asset Classes...

    dear all,
    there is wrongly assignment of acquisition balance sheet account in asset class in t code is AO85 that is, Acquisition:Acquis. and production costs an Accumulated Depreciation Balance sheet account have been assigned. Also in t code  AO93 for ordinary depreciation same correct accumulated depreciation Balance sheet account have been assigned.
    Now i can say that Acquisition balance sheet account and accumulated depreciation balance sheet account are assigned with same GL (i.e. accumulated depreciation account). 
    The transactions data have been posted for the asset class with different tcodes i.e. 
    ABAVN Enter asset transaction: Asset Retirement
    OASV Enter Transfer Posting
    AIBU   AUC Settlement
    ABUM Enter asset transaction: Transfer in company code
    AB08 Documents from asset
    I wanted to post transaction data with correct acquisition account. What should i do to correct posted transactions..
    Waiting for positive response.
    regards
    saqib usman

    The best way is to create a new asset class and to transfer the existing assets.
    An other option is to change the G/l account in the development system and transport to production. In development it is only possible to this when there are no posting in this asset class. When there are posting you have the option to reset in development asset accounting. Then you can change the G/L account. Have a look to SAP-notes with your error there is a note for.
    When the changes are in production you can make a manual correction with the transaction ABF1 (SAP note 69225).
    With this option you have the problem that the original postings are no longer in line with the asset account assignment. When you want to do a currency conversion in the future you have to make correction posting again in the old fiscal year

  • Balance carried forward for New GL

    Hi Expert,
    I would like understand about the balance carried forward for AP and AR in the New GL.
    When executing the program in test run mode, user will download the balances and try to tie to the recon accts in trial balance. The openning balance generated by the program should tie to the last fiscal year closing balance. But apparently, it is not. There is a difference. And after checking, the difference seem to the opening balance that aready exist in the new FY.
    So, when executing the carried forward program, is the system transferring only the difference ? New posting or items not yet carried forward ?
    Thanks.
    Angel.

    Hi,
    FAGLGVTR - Balance Carryforward (New)  for GL carry forward
    F.07 - Balance Carryforward for AR/AP carry forward
    When you execute these programs system will carryforward all closing balance to subsequent year opening balance.  Any postings happened in previous year will dynamically carried forward to subsequent year after executing this program.  If you find any mismatch, you can again execute this program.  It will not create any impact.
    Hope this clarifies your doubt.
    Best Regards,
    Madhu

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