Quantcast
Channel: SCN: Message List
Viewing all articles
Browse latest Browse all 8653

Deriving profit center during manual bank statement processing (FF67)

$
0
0

Hi Friends,

 

We are using new GL with document splitting and profit center is a mandatory field for us. We have 1 company code and 3 branches which we have created as profit centers. We have one customer which is supplied to by all the 3 branches. Each of the branches does its own billing. The customer however pays a lump-sum amount for all outstanding invoices weekly once. When we create the billing documents we are posting to different profit centers (branch-wise). The following entries get posted:

In Branch 1

Customer a/c Dr ----------- PC1

To Revenue  ---------------- PC1

In Branch 2

Customer a/c Dr ----------- PC2

To Revenue ----------------- PC2

 

We receive the payment through wire transfer for both the billing documents. When we post the bank statement manually, the following entries should be created:

Incoming wire transfer a/c Dr

To Customer

Bank main a/c Dr

To Incoming wire transfer

 

However, this is not being posted as SAP is not able to find the profit center.

 

When I update a default profit center in FAGL3KEH for the customer reconciliation a/c, the Incoming wire transfer a/c Dr to Customer a/c Cr posting takes place. However, the Bank main a/c Dr to Incoming wire transfer a/c Cr posting is failing with the error "Balancing field profit center not found".

 

Any help would be great.

 

Thanks,

Sameer


Viewing all articles
Browse latest Browse all 8653

Latest Images

Trending Articles



Latest Images

<script src="https://jsc.adskeeper.com/r/s/rssing.com.1596347.js" async> </script>