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Simple Finance with classic logistics

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Hi all,

 

I'm interested in how S/4 HANA Finance works together with classic MM and material ledger.
Are there any limitations or restrictions that should be taken into consideration?

 

With the 1503 release transfer pricing is not supported, but I think it will be fixed for 1602 release. But it made me think, if there are some other issues like this that I should know of.

 

Please note that I'm not interested in S/4 HANA (1511 release), but only S/4 HANA Finance (Simple Finance) used with SAP ERP 6.0. So S/4 HANA Logistic (Simple Logistics) and its functionalities are not what I'm looking for.

 

Thanks!


Central Finance

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Hello,

 

We are considering different options of how to implement S/4 HANA Finance (OP 1503  or later release of S/4 HANA Finance)

 

One of the option is to set it as New Separate Central Finance instance with long term strategy to make it the global solution in few years including logistics.

 

I have few questions:

    

1)   If the source system use classic G/L and the Central Finance using new G/L with document splitting (let's say document splitting by profit center) , 

      will there be any problem to set the initial opening balance in A/R and A/P  in the central finance for the initial load - can we do it mid-year ?

      I understood that replication after initial load should work as it take it in the SLT from ACCTID structure.

 

2)   If the source systems doesn't use account-based CO-PA and in the Central Finance we use account-based CO-PA .....will it create any
      problem with profitability segment derivation.

 

3)   Let's say we decide later to migrate to S/4 HANA OP 1511 (or later release) in central finance box and start converting the source systems into the
      central finance system will it be possible using same company codes (as we already set the financials balances) or do we need complete new set

      of  company codes buildout.

 

Thanks,

   Avishay

Cash Management Configuration

Statistical cost element in SFIN

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Dear Experts,

 

How to create statistical cost elements (Inventory and asset GL accounts) in Simple finance.

 

Sorry to ask basic question, i am not able to find path.

 

 

Thanks,

Chandrasekhar

SAP S/4 HANA IDES version software

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On behalf of all solution and technology consultants in India :-

In the past, SAP solution and technology consultants were owning IDES software and exploring available features.This helped the consultants to check and revert to clients questions pretty fast. Similarly, will S/4 HANA also will be made available? This will pose hurdle in exploring solution independently or have to depend on CAL cloud version where AWS cost will play spoil sport. Hope SAP Development team is hearing our questions.

 

Regards - Prabhakar

Difficulty using SAP Content InfoProviders /ERP/SFIN_V01-7

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We are trying to use SAP's content InfoProvider /ERP/SFIN_V01 - 7 in our own planning scenario, meaning we want to include the SAP-InfoProvider in our own multiprovider underneath aggregation levels and then write the data to the ERP tables with IP-functions.

 

When executing for example planning sequence /ERP/SFIN_A09_PS01 the data is successfully written to COEJ, but when executing our own sequence/function on our own aggregation level/multiprovider attempting to write data from our own planning cube to /ERP/SFIN_V04 the messages are 'planning sequence executed successfully' and 'data was saved', but nothing is written to COEJ  :-(

 

The trace information in RSPLAN (before-after) also looks as to be expected.

 

Hence, I am looking for the coding (ABAP or HANA procedures) and mapping with which the transactional data is moved from/with/by  infoprovider /ERP/SFIN_V01 - 7 to the ERP tables.

 

I have tried debugging CL_FCOM_IP_IPROV_WRITABLE as well as performing SQL traces on the app servers and DB, but I am getting nowhere.

 

HANA version 102

 

I have not read note 2081400 as it is currently not released.

S/4HANA - Intercompany reconciliation

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Hi,

I've read a bit about intercompany reconciliation in S/4HANA Simple Finance but i was unable to find details like transactions / programs / Fiori app or whatever.

Can someone please shed some more light on this topic ? Before i start digging into old engine (FBICRx) i would like to check if there is something new for that.

Thanks!

Accessing/Launching HANA Live Browser...

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Dear All,

 

I need to access/launch the HANA Live browser and see the available HANA Live views. I do not know from where, I have to launch this tool/interface. Any help/pointers on this would be appreciated.

 

Thanks,

Peri


Bank hierarchy creation in SFIN (new cash management)

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Dear community,

i am trying to create the bank hierarchy via NWBC and get the error


Failed to resolve Object Based Navigation target "SAP_ECC_Financials.HIER.CREATE". Use transaction PFCG to define this OBN target in a role or contact your system administrator to assign a role with the relevant OBN entries to your user.

 

Did anyone face the same issue?

i have sap_all authorisations and have assigned all needed roles in hana db and in su01.

What could have gone wrong?

thank you in advance!

PCA Totals in SAP Simple Finance

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Hi,

 

Reading all latest notes (2119188, 1946054 .. etc)  I can see that if we migrate from Classic General Ledger it
is transformed into a basic implementation of New General Ledger with profit center accounting since document splitting still not supported.

I assume it means GLPCA table is still available.

 

I can see in several places indication about the totals and index tables not
available any longer with simple finance but nothing is mention about PCA total table GLPCT.

 

Appreciate answers for my questions below:

 

    1)  Is my assumption about GLPCA correct and it is still available with simple finance

 

    2)  What Happen to GLPCT ?  Is it still available ?

 

Thanks,

   Avishay

Does New t.code KKAOH, which has been introduced for calculation of WIP, support WIP Revaluation for WIP?

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Hi...

 

I use material ledger and activated wip revaluation function.

 

After I executed New t.code KKAOH for wip calculation, I checked wip revaluation result using wip quantity document in the below picture.

But I can’t get wip quantity document. SAP display error message CKMLWIP916: WIP quantity document does not exist in the database.

aq.png

But, After I executed old t.code KKAO for wipcalculation, I can get wip quantity document as below the picture.

aq1.png

  aq2.png

I want to know whether New t.code KKAOH support  the wiprevaluation function of the material ledger for raw material with price control ‘S’ and price determination ‘3’.


Month end period end year end activities

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Hi

     plz provide relevant information about the Month end period end year end activities. in sap fico

 

 

 

 

 

regards

maqdoom ali

Certification Exam SAP S/4HANA, on-premise edition 1511

Additional ledger constrain in New asset accounting for S4 HANA

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Hi Friend,

 

My company is in Hana on cloud and we are planning to go for S/4 HANA Finance ( Simple finance) next year July. For S/4 Hana Finance we have to move to new asset accounting from classic asset accounting. According we have decided to move with the ledger approach with new asset accounting.

My client is a UK based company with legal entities spread across the countries.

For legal reporting we follow the April to March reporting period for all company codes but for local reporting we have to abide by country specific tax requirement. For example countries Russia and Mexico the leading ledger(0L)  is maintained in April to March fiscal year but for local report Jan to December fiscal year is maintained.

 

Hence at the time of migration of Chart of depreciation ( one of the step post installation of Simple finance alias SFin 1503 alias S/4 Hana Finance) , system gives a error message start and end end of the leading and non leading ledger is not same. As with new asset accounting there will be real time posting in both the books (i.e leading and non leading ledger) . SAP has recently introduced a note with more clarity on the topic. The SLO service mentioned in the note is a work around to abide by the issue of asset accounting rather can completely solving.

 

SAP note 2220152 - Ledger approach and Asset Accounting (new): Non-calendar fiscal year variant for parallel valuation

 

Good to have your view on the same as we are stuck.

 

Regards

 

Shikha

Parallel currency issue in New asset accounting

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Hello,

 

 

While assigning chart of depreciation to company code I am facing following issue.

 

Parallel crcy area (crcy type 30) missing for area 01 ch. of deprec. SFIN

Message No. ACC_AA116

Diagnosis

For the leading valuation of the ledger approach and accounts approach and for parallel valuations of the ledger approach, the following is valid: The parallel currencies in the leading ledger in General Ledger Accounting and in the depreciation areas in Asset Accounting must be the same.

 

Procedure

If you have previously been using parallel currencies in General Ledger Accounting but you have not implemented the corresponding parallel currency areas in Asset Accounting for all depreciation areas, you must first implement these depreciation areas before you can install SAP Smart Financials. Contact your system specialist.

 

Regards

Kishor


Cost element setup and automatic acc. assignment

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hi Guys,

While configuring Simple Finance basic scenarios, one of the features is that all GL accounts are also cost elements by default. We can set even specific parameter in GL master data for Cost element category.

Later on, when i started testing i realized that because of that when posting receivable, system is asking me to provide 'CO account assignment' even though for revenue i'd expect only to provide profit center.

Does it mean that i would need now to configure OKB9 for all possible scenarios to be able to post without providing always Cost object for AR side posting ?

BR

Tomek

Question on view table ACDOCT

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Hi,

 

While exploring reports in Simple Finance, tried to create a Report Painter Report using Totals table 'ACDOCT'. However unlike GLT0, FAGLFLEXT or Special Purpose Ledger Summary table, this is not a transparent table but a DDL SQL View. As the library has the table ACDOCT already listed, I tested the functionality by creating a report group and report. For Leading Ledger 0L the data seems to work well and the summarized values are very much in sync with ACDOCA (Universal Journal Line items) table. However for other Standard or Appendix Ledger the values in these two tables are not matching. Also the report only displays values for 0L ledger and not for the rest. I could not locate any document on the specific usage of ACDOCT table. The limitations of DDL SQL View is available when we go to SE11 and query this table.

 

Apart for Report Painter library, table ACDOCT also finds a place in another node. Refer to navigation below. Hence we can presume there is certainly some amount of utility for this summary table.

 

Navigation Path: Financial Accounting Global Settings (New) > Ledgers > Fields > Customer Fields > Master data check.

 

 

As the report painter seems to work pretty well for 0L ledger, guess, we can create  some useful reports very quickly. To reap the benefits of extracts form this table, would appreciate if any one who has also tried this functionality could share their knowledge.

 

 

Thanks,

Swami

New General Ledgers

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Hi Friends.

 

In simple finance view  explain the new leader connect .How to configuration in simple finance .pls let me.

 

 

Regards

Suresh

Asset report

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Hi Friends.

 

I have posted asset vales in f-90 t.code and also depreciation posted amount.but i sea the asset values in Aw01N t.code not showing any values.

 

normal SAP asset posting entry.

 

Asset a/c dr

  to vendor cr

 

 

SFIN: 

 

Doc type :AA

 

   70 pk        Asset a/c dr

   75 PK          Asset clearing    (Technical Clearing Account for Integrated Asset Acquisition)

 

Doc type KR" 

 

Asset a/c  dr

  to vendor  cr

 

 

Pls explanation for  technical Clearing Account for Integrated Asset Acquisition.

 

 

 

Regards

Suri

new search option in Simple Finance

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Hi,

In Simple Finance, if i start posting AR invoice for example, in Customer box i can put search string e.g. 'PART' and if there is any customer having name like this or search term it will be found. Very useful stuff...

but then, for example, in the same transaction for GL account i can only use prefix of numbers, if i try to use any word from description nothing is found.

Does anyone know whether it is configurable ? Can i change which data can be searched with it ?

Tomasz

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