SAP FICO T-Codes

SAP FICO Transaction Codes



SAP FI/CO
 General Ledger Accounting: Basic Settings
Sl.No.
Particulars 
Transaction Code 
I 
Enterprise Structure 

Creation of Company 
OX15 
Creation of Company Code 
OX02 
Assign Company Code to Company 
OX16 
Creation of Business Areas 
OX03 
II 
Fiscal Year 

Creation of Fiscal Year Variant 
OB29 
Assign Company Code to Fiscal Year Variant 
OB37 
III 
Chart of Accounts 

Creation of Chart of Accounts 
OB13 
Assign Company Code to Chart of Accounts 
OB62 
Define Account Groups 
OBD4 
Define Retained Earnings Account 
OB53 
IV 
Posting Periods 

Define Posting Period Variant 
OBBO 
Assign Company Code to Posting Period Variant 
OBBP 
Open and Close Posting Periods 
OB52 
V 
Document Types and Number Ranges 

Define Document Types 
OBA7 
Define Number Ranges 
FBN1 
VI 
Tolerances 

Define Tolerance Groups for G/L Accounts 
OBA0 
Define Tolerance Groups for Employees 
OBA4 
Assign Users to Tolerance Groups 
OB57 
VII 
Field Status 

Define Field Status Variants 
OBC4 
Assign Company Code to Field Status Variants 
OBC5 
VIII 
Calculation Procedures 

Assign Country to Calculation Procedure 
OBBG 
IX 
Global Parameters 

Enter Global Parameters 
OBY6 
X 
Foreign Currency Settings 

Check Exchange Rate Types 
OB07 
Define Translation Ratios for Currency Translation 
OBBS 
Enter Exchange Rates 
OB08 
Specify Default Exchange Rate Type in Document Type 
OBA7 
XI 
Creation of G/L Accounts 

Creation of G/L Account at Chart of Accounts Level 
FSP0 
Creation of G/L Account at Company Code Level 
FSS0 
Creation of G/L Account Centrally 
FS00 
  
Sl.No.
Particulars 
Transaction Code 
I 
Document Posting 

G/L Document Posting 
F-02 
Post Outgoing Payment for G/L Accounts 
F-07 
G/L Account Posting - Enjoy Transaction 
FB50 
Posting a Document with reference to another Document 
FBR2 
Display Document 
FB03 
Change Document 
FB02 
Display G/L Account Balances 
FS10N 
Display G/L Account Balances for Open Item Managed A/cs 
FBL3N 






II 
Activation of Line Item Display 

Flag "Line Item Display" Checkbox in G/L Account 
FS00 
Block GL Account 
FS00 
Run Program "RFSEPA01" for activation of Line Items 
SE38 
Unblock GL Account 
FS00 






III 
Other Transactions 

Copy Company Code Settings from one Company Code to another 
EC01 
Copy Number Ranges from one Company Code to another 
OBH1 
Copy Number Ranges from one Fiscal Year to another 
OBH2 
To see the changes in the G/L Account Master 
FS04 
Define Posting Keys 
OB41 
Define Line Item Text Templates 
OB56 
Define Countries - Define Group Currency 
OY01 
Define Additional Local Currencies for Company Code 
OB22 
Define Account Assignment Model 
FKMT 
10 
Define Fast Entry Screens 
O7E6 
11 
Accounting Editing Options 
FB00 
12 
Reset Transaction Data - Delete Transaction Data in a Company Code 
OBR1 
13 
Deleting Master Data - Customers, Vendors & G/L Accounts 
OBR2 
14 
Transport Chart of Accounts 
OBY9 
15 
Copy G/L Accounts from One Company Code to another 
OBY2 
16 
Copy Chart of Accounts and Account Determinations 
OBY7 
17 
Delete Chart of Accounts 
OBY8 
18 
Maintain Validation 
GGB0 
19 
Activate Validation 
OB28 
20 
Maintain Substitution 
GGB1 
21 
Activate Substitution 
OBBH 
22 
Display Intercompany Document 
FBU3 
23 
Define Clearing Accounts for Intercompany Transactions 
OBYA 



Sl.No.
Particulars 
Transaction Code 
IV 
Other Transactions - Technical 

To View Transport Request 
SE01; SE09; SE10 
To Post Batch Input Session 
SM35 
Table Maintenance View Screen 
SM30 
To View Spool Requests 
SP01 
To View Background Jobs 
SM37 
ABAP Data Dictionary 
SE11 
ABAP Data Browser 
SE16 
ABAP Editor 
SE38 
SAP Quick Viewer 
SQVI 









V 
Document Parking 

Creation of Parked Document 
F-65 
Send System Message 
SO00 
Display Parked Documents 
FBV0 



VI 
Hold Documents 

Run Program "RFTMPBLU" for conversion of Held Documents 
SE38 
Creation of Hold Document: From the Menu DocumentàHold 
F-02 
Display Held Documents 
FB11 



VII 
Sample Documents 

Creation of Number Range "X2" for Sample Documents 
FBN1 
Creation of Sample Document 
F-01 
Display Sample Documents 
FBM3 
Posting of a Document with reference to Sample Document (or) F-02 : From the Menu DocumentàPost with Reference 
FBR2 



VIII 
Accrual/Deferral Documents 

Creation of Reversal Reason 

Creation of Accrual/Deferral Document 
FBS1 
Reversal of Accrual/Deferral Document 
F.81 



IX 
Recurring Documents 

Creation of Number Range "X1" for Recurring Documents 
FBN1 
Creation of Recurring Document 
FBD1 
Display of Recurring Document 
F.15 
Posting of Transactions by using Recurring Document templates by way of Batch Input Session 
F.14 
Change Recurring Document 
FBD2 
Define Document Change Rules 
OB32 



  
Sl.No.
Particulars 
Transaction Code 
X 
Open Item Management 

Full Clearing 

Partial Clearing 

Balance Clearing 

Residual Clearing 




XI 
Reversals 

Individual Reversal 
FB08 
Mass Reversal 
F.80 
Reversal of a Reversed Document 
FBR2 
Reversal of a Cleared Item 
FBRA 
Accrual/Deferral Reversal 
F.81 



XII 
Interest Calculations: Account Balance Interest Calculation 

Define Interest Calculation Types 
OB46 
Prepare Account Balance Interest Calculation 
OBAA 
Define Reference Interest Rates 
OBAC 
Define Time Dependent Terms 
OB81 
Enter Interest Rates 
OB83 
Creation of G/L Account 
FS00 
Assignment of Accounts for Automatic Posting 
OBV2 
Posting of Term Loan 
F-02 
Repayment of Term Loan 
F-02 
10 
Interest Calculations 
F.52 



XIII 
Foreign Currencies Balances Revaluation 

Define Valuation Methods 
OB59 
Creation of G/L Accounts 
FS00 
Prepare Automatic Postings 
OBA1 
Term Loan Receipt in Foreign Currency 
F-02 
Enter Exchange Rates 
OB08 
Foreign Currency Balances Revaluation (Forex Run) 
F.05 



XIV 
Tax on Sales/Purchases 

Define Tax Procedures 
OBQ3 
Assign Country to Calculation Procedures 
OBBG 
Define Tax Codes 
FTXP 
Assign Tax Codes for Non-Taxable Transactions 
OBCL 
Creation of "VAT Pool A/c" G/L Account 
FS00 
Define Tax Accounts 
OB40 
Assign Tax Codes in G/L Accounts 
FS00 
Posting of Sale or Purchase Invoice to Check Input and Output Taxes 
F-22
F-43 



 Accounts Payable
Sl.No.
Particulars 
Transaction Code 
I 
Basic Settings 

Creation of Vendor Accounts Groups 
OBD3 
Creation of Number Ranges for Vendor Account Groups 
XKN1 
Assign Number Ranges to Vendor Account Groups 
OBAS 
Maintain Customer/Vendor Tolerance Groups 
OBA3 
Creation of G/L Accounts - Reconciliation A/c 
FS00 
Creation of Vendor Master 
XK01 
Document Types and Number Ranges 
OBA7; FBN1 



II 
Transactions 

Posting of Vendor Invoice 
F-43 
Posting Outgoing Payment 
F-53 
Posting Vendor Invoice - Enjoy Transaction 
FB60 
To View Vendor Account 
FBL1N 
Vendor Credit Memo 
F-41 
Vendor Credit Memo - Enjoy Transaction 
FB65 









III 
House Banks 

Creation of "Bank A/c" G/L Account 
FS00 
Creation of House Bank and Assign G/L A/c in House Bank 
FI12 
Creation of Check Lots 
FCHI 
Manual Check Updates 
FCH5 
Display Check Register 
FCHN 
Change Check Issue Date/Check Encashment Date Updating 
FCH6 
Creation of Void Reason Code 
FCHV 
Void Check/Unissued Check Cancellation 
FCH3 
Remove Check Encashment Date Data 
FCHG 
10 
Issued Check Cancellation 
FCH8 









IV 
Advance Payments or Down Payments 

Creation of "Advance to Vendors A/c" G/L Account 
FS00 
Define Alternative Reconciliation Account for Vendor Down Payments 
OBYR 
Down Payment Request (Noted Item) 
F-47 
Down Payment Made 
F-48 
Purchase Invoice Posting 
F-43 
Transfer of Advance from Special G/L to Normal by clearing Special G/L A/c 
F-54 
Clearing of Normal Item - Account Clear 
F-44 






Sl.No.
Particulars 
Transaction Code 
V 
Terms of Payment 

Creation of Terms of Payment 
OBB8 
Creation of G/L Accounts 
  • Discount Received A/c
  • Discount Given A/c | FS00 
    |
    Assign G/L Account for Automatic Posting of Discount Received 
    OBXU 
    Assign G/L Account for Automatic Posting of Discount Given 
    OBXI 









    VI 
    Party Statement of Account 

    Assign Programs for Correspondence Types 
    OB78 
    Request for Correspondence 
    FB12 
    Maintain Correspondence 
    F.64 









    VII 
    Automatic Payment Program 
    FBZP 
    Setup Payment Method per Country for Payment Transactions 

    Setup Payment Method Per Company Code for Payment Transactions 

    Setup All Company Codes for Payment Transactions 

    Setup Paying Company Code for Payment Transactions 

    Setup Bank Determination 

    Assign Payment Method in Vendor Master 
    XK02 
    Creation of Check Lots 
    FCHI 
    Payment Run 
    F110 









    VIII 
    Cash Journal 

    Create G/L Account for Cash Journal 
    FS00 
    Define Document Types for Cash Journal Documents 
    OBA7 
    Define Number Range Intervals for Cash Journal Documents 
    FBCJC1 
    Set Up Cash Journal 
    FBCJC0 
    Create, Change, Delete Business Transactions 
    FBCJC2 
    Set Up Print Parameters for Cash Journal 
    FBCJC3 









          Extended Withholding Tax
      
    Sl.No. 
    Particulars 
    Transaction Code 
    Check Withholding Tax Countries 

    Define Official Withholding Tax Keys 

    Define Business Places 

    Creation of Factory Calendar:
    a)     Creation of Holiday Calendar
    b)     Assign Holiday Calendar in Factory Calendar 
    OY05 
    Assign Factory Calendar to Business Places 
    J1INCAL 
    Define Withholding Tax Types for Invoice Posting 

    Define Withholding Tax Types for Payment Posting 

    Define Withholding Tax Codes 

    Check Recipient Types 

    10 
    Maintain Tax Due Dates 

    11 
    Maintain Surcharge Calculation Methods 

    12 
    Maintain Surcharge Tax Codes 

    13 
    Maintain Surcharge Rates 

    14 
    Assign Withholding Tax Types to Company Codes 

    15 
    Activate Extended Withholding Tax 

    16 
    Creation of G/L Accounts 
    FS00 
    17 
    Assignment of Accounts 
    OBWW 
    18 
    Maintain Company Code Settings [Logistics à General] 

    19 
    Specify Document Type for Remittance Challan Posting 

    20 
    Maintain Number Groups for Remittance Challans 

    21 
    Assign Number Ranges to Number Groups 

    22 
    Maintain Number Ranges 

    23 
    Maintain Number Group and SAP Script Forms 

    24 
    Assign Number Ranges to Number Groups 

    25 
    Maintain Number Ranges 

    26 
    Assign PAN & TAN Numbers 
    OBY6 
    27 
    Assign Extended Withholding Tax Codes in Vendor Master 
    XK02 
    28 
    Purchase Invoice Posting 
    F-43 
    29 
    Create Remittance Challan 
    J1INCHLN 
    30 
    Enter Bank Challan 
    J1INBANK 
    31 
    Creation of TDS Certificate 
    J1INCERT 
    32 
    Creation of Annual Return 
    J1INAR 









          Accounts Receivable
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings 

    Creation of Customer Account Groups 
    OBD2 
    Creation of Number Ranges for Customer Account Groups 
    XDN1 
    Assign Number Ranges to Customer Account Groups 
    OBAR 
    Creation of G/L Account - Reconciliation Account 
    FS00 
    Creation of Customer Master 
    XD01 
    Document Types and Number Ranges 
    OBA7; FBN1 






    II 
    Transactions 

    Posting of Customer Invoice 
    F-22 
    Posting Incoming Payment 
    F-28 
    Posting Customer Invoice - Enjoy Transaction 
    FB70 
    To View Customer Account 
    FBL5N 
    Customer Credit Memo 
    F-27 
    Customer Credit Memo - Enjoy Transaction 
    FB75 






    III 
    Advance Payments or Down Payments 

    Creation of "Advance from Customers A/c" G/L Account 
    FS00 
    Define Alternative Reconciliation Account for Customer Down Payments 
    OBXR 
    Down Payment Request (Noted Item) 
    F-37 
    Down Payment Received 
    F-29 
    Sale Invoice Posting 
    F-22 
    Transfer of Advance from Special G/L to Normal by clearing Special G/L A/c 
    F-39 
    Clearing of Normal Item - Account Clear 
    F-32 






    IV 
    Bill Discounting 

    Creation of G/L Accounts 
  • Sundry Debtors - BOE : Alternative Recon A/c
  • Bills Discounting A/c | FS00 
    |
    Define Alternative Reconciliation Account for Bills of Exchange Receivable 
    OBYN 
    Define Bank Sub Accounts 
    OBYK 
    Sale Invoice Posting 
    F-22 
    Bills of Exchange Payment 
    F-36 
    Bank Bill Discounting 
    F-33 
    Report to view Customer wise, Due Date wise, Bank wise Outstanding 
    S_ALR_87012213 
    Reverse Contingent Liability 
    F-20 
      
    Sl.No. 
    Particulars 
    Transaction Code 
    V 
    Dunning 

    Define Dunning Areas 
    OB61 
    Define Dunning Procedures 
    FBMP 
    Assign Dunning Procedure in Customer Master 
    XD02 
    Sale Invoice Postings 
    F-22 
    Dunning 
    F150 









    VI 
    Credit Management 

    Maintain Credit Control Area 
    OB45 
    Assign Company Code to Credit Control Area 
    OB38 
    Define Credit Risk Categories 
    OB01 
    Define Accounting Clerk Groups [Credit Representative Groups] 
    OB02 
    Define Credit Representatives [Assign Employee to Credit Representative Groups] 
    OB51 
    Define Intervals for Days in Arrears for Credit management 
    OB39 









     Note: Sales Order Type and Delivery Type and Risk Category and order or Delivery Type is used to define the Warning or Error Messages.
    Path: Sales & Distribution à Basic Functions à Credit Processing
                        Asset Accounting
     
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings 

    Copy Reference Chart of Depreciation/Depreciation Areas 
    EC08 
    Assign Tax Codes for non-taxable transactions 
    OBCL 
    Assign Company Code to Chart of Depreciation 
    OAOB 
    Maintain Account Determinations 
    Maintain Screen Layout Rules 
    Maintain Number Ranges for Asset Master Data 
    AS08 
    Maintain Asset Classes 
    OAOA 
    Determine Depreciation Areas in the Asset Classes 
    OAYZ 
    Creation of G/L Accounts 
    FS00 
    10 
    Assignment of G/L Accounts for Automatic Postings 
    AO90 
    11 
    Specify Document type for posting of Depreciation 
    12 
    Specify Intervals and Posting Rules 
    OAYR 
    13 
    Specify Rounding of Net Book Value and/or Depreciation 
    OAYO 
    14 
    Define Screen Layout Rules for Asset Master Data 
    OA77 
    15 
    Define Screen Layout Rules for Asset Depreciation Areas 
    OA78 
    16 
    Depreciation Keys
    a)     Define Base Methods
    b)     Define Declining Balances Methods
    c)     Define Multilevel Methods  
    d)     Define Period Control Methods
    e)     Maintain Depreciation Keys 
    AFAMD
    AFAMS
    AFAMP
    AFAMA 
    17 
    Creation of Asset Master 
    AS01 
    18 
    Creation of Sub-Asset Master 
    AS11 
    19 
    Main Asset Purchase Posting 
    F-90 
    20 
    Sub-Asset Purchase Posting 
    F-90 
    21 
    Asset Explorer 
    AW01N 
    22 
    Asset History Sheet 
    S_ALR_87011965 
    23 
    Depreciation Run 
    AFAB 









    II 
    Settlement of Capital Work-in-Progress 

    Define Settlement Profile 
    OKO7 
    Define Number Ranges for Settlement 
    SNUM 
    Creation of Capital Work-in-Progress Asset Master 
    AS01 
    Posting of Transactions 
  • Purchase
  • Commissioning charges, etc., | F-90 
    |
    Creation of Main Asset Master to which Asset Under Construction is to be settled 
    AS01 
    Settlement of Capital Work-in-Progress 
    AIAB 










    Sl.No. 
    Particulars 
    Transaction Code 
    III 
    Other Transactions 

    Transfer of APC Asset Values - Periodic Asset Postings 
    ASKB 
    Reconciliation of Assets with General Ledger 
    ABST2 
    Sale of Asset 
    F-92 
    Sale of Asset Without Customer 
    ABAON 
    Transfer of Asset 
    ABUMN 
    Transfer of Asset - Inter company 
    ABT1N 
    Scrapping of Asset 
    ABAVN 
    Post Capitalization of Asset 
    ABNAN 
    Manual Depreciation 
    ABMA 
    Unplanned Depreciation 
    ABAA 
    10 
    Depreciation Forecast 
    S_ALR_87012936 
    11 
    Fixation of the Schedule as per the Indian Company's Act (or) Asset History Sheet 
    AR02 









                               Closing Procedures
Sl.No. 
Particulars 
Transaction Code 
I 
Financial Statement Version 

Creation of Financial Statement Version 
OB58 
To view Balance Sheet and Profit and Loss Account 
F.01
S_ALR_87012284 









II 
Closing Procedures 

Carry Forward of Vendors and Customers Closing Balances 
F.07 
Carry Forward of Asset Balances 
  • To check which year is closed for Assets
  • Closing of Assets for the Year
  • To Open Next Year     | OAAQ 
    AJAB 
    AJRW 
    |
    Carry Forward of G/L Account Balances 
    F.16 
    Copy Number Range Intervals to the Next Year 
    OBH2 
    Open/Close Previous Period 
    OB52 



    III 
    GL Reports 

    Chart of Accounts List 
    S_ALR_87012326 
    Trial Balance 
    S_ALR_87012310 
    Ledger 
    S_ALR_87100205 






    IV 
    Vendor Reports 

    Vendor List 
    S_ALR_87012086 
    Vendor wise Purchases 
    S_ALR_87012093 
    Vendor Outstanding List 
    S_ALR_87012083 
    Age wise Analysis of Vendors 
    S_ALR_87012085 
    Advances Report 
    S_ALR_87012105 
    Vendor's Ledger 
    S_ALR_87012103 






    V 
    Customer Reports 

    Customer List 
    S_ALR_87012179 
    Customer wise Sales 
    S_ALR_87012186 
    Customer Outstanding List 
    S_ALR_87012173 
    Age wise Analysis of Customers 
    S_ALR_87012176 
    Advances Report 
    S_ALR_87012199 
    Customer's Ledger 
    S_ALR_87012197 






       MM to FI Integration
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings from MM Side 

    Define Plant 
    OX10 
    Define Location 
    OIAS 
    Maintain Storage Location 
    OX09 
    Maintain Purchasing Organization 
    OX08 
    Assign Plant to Company Code 
    OX18 
    Assign Purchasing Organization to Company Code 
    OX01 
    Assign Purchasing Organization to Plant 
    OX17 
    Define Attributes of Material Types 
    OMS2 
    Maintain Company Codes for Materials Management 
    OMSY 
    10 
    Set Tolerance Limits for Price Variances 
    OMR6 
    11 
    Define Plant Parameters 
    12 
    Set Tolerance Limits for Goods Receipts 
    OMC0 
    13 
    Define Default Values for Physical Inventory 
    OMBH 
    14 
    Maintain Default Values for Tax Codes 
    OMR2 
    15 
    Define Tax Jurisdiction 
    16 
    Configure Vendor Specific Tolerances 
    OMRX 
    17 
    Define Automatic Status Change 
    OMRV 
    18 
    Define Tolerance Limits for Invoice Verification 
    19 
    Define Number Ranges - 50 & 51 
    FBN1 






    II 
    Integration 

    Creation of G/L Accounts 
  • Inventory RM A/c
  • Inventory FG A/c
  • GR/IR Clearing A/c
  • Price Differences A/c | FS00 
    |
    Creation of Material Master 
    MM01 
    Creation of Vendor Master 
    XK01 
    Group Together Valuation Areas 
    OMWD 
    Define Valuation Classes 
    OMSK 
    Define Account Grouping for Movement Types 
    OMWN 
    Configure Automatic Postings 
    OBYC 









    III 
    Flow 

    Creation of Purchase Order 
    ME21N 
    Goods Receipt Against Purchase Order 
    MIGO 
    Invoice Verification/Invoice Receipt 
    MIRO 
    Payment to Vendor - Outgoing Payment 
    F-53 






      SD to FI Integration
     
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings from SD Side 

    Define Divisions 
    OVXB 
    Define Sales Organization 
    OVX5 
    Define Distribution Channels 
    OVXI 
    Define Shipping Points 
    OVXD 
    Assign Business Area to Plant/Valuation Area & Division 
    OMJ7 
    Assign Sales Organization to Company Code 
    OVX3 
    Assign Distribution Channel to Sales Organization 
    OVXK 
    Assign Division to Sales Organization 
    OVXA 
    Set up Sales Area 
    OVXG 
    10 
    Assign Sales Organization - Distribution Channel - Plant 
    OVX6 
    11 
    Assign Business Area to Plant & Division 
    OVF0 
    12 
    Assign Shipping Point to Plant 
    OVXC 
    13 
    Define and Assign Pricing Procedures 
    OVKK 
    14 
    Define Tax Determination Rules 
    OVK1 
    15 
    Assign Delivering Plants for Tax Determination 
    OX10 
    16 
    Define Number Ranges - 48 & 49 
    FBN1 
    17 
    Assign Shipping Point 
    OVL2 









    II 
    Integration 

    Creation of G/L Accounts 
  • Raw Material Consumption A/c
  • Sales A/c | FS00 
    |
    Creation of Finished Goods Material Master 
    MM01 
    Creation of Customer Master 
    XD01 
    Assign Material to Pricing Procedure - PR00 & MWST 
    VK11 
    Assign General Ledger Accounts 
    VKOA 
    Setup Partner Determination 









    III 
    Flow 

    Goods Receipt for Initial Start 
    MB1C 
    Creation of Sales Order 
    VA01 
    Outbound Delivery 
    VL01N 
    Billing Document 
    VF01 
    Issue Billing Document 
    VF31 
    Incoming Payment from Customers 
    F-28 









      Controlling
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings 

    Maintain Controlling Area 
    OX06 
    Activate Components/Control Indicators And Assignment of Company Codes to Controlling Area 
    OKKP 
    Maintain Number Ranges 
    KANK 
    Maintain Versions 
    OKEQ 









    II 
    Other Transactions 

    Set Controlling Area 
    OKKS 
    Period Lock 
    OKP1 









    III 
    Cost Element Accounting 

    Creation of Primary Cost Element at FI Area 
    FS00 
    Creation of Primary Cost Element at CO Area 
    KA01 
    Automatic Creation of Primary Cost Elements 
  • Make Default Settings
  • Create Batch Input Session
  • Execute Batch Input Session | OKB2 
    OKB3 
    SM35 
    |
    Creation of Secondary Cost Element 
    KA06 
    Creation of Cost Element Groups 
    KAH1 
    Cost Element Categories: 
  • 1   : Costs
  • 11 : Revenues
  • 21 : Internal Settlement
  • 41 : Overhead Costs
  • 42 : Assessment
  • 43 : Internal Activity Allocation | --- 
    |









    IV 
    Reconciliation Ledger 

    Activate Reconciliation Ledger 
    KALA 
    Deactivate Reconciliation Ledger 
    KALB 
    Maintain Number Ranges for Reconciliation Ledger Documents 
    OK13 
    Define Adjustment Accounts for Reconciliation Posting 
    OBYB 
    Execute Reconciliation Posting 
    KALC 









      Cost Center Accounting
     
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings 

    Creation of Cost Center 
    KS01 
    Creation of Cost Center Group 
    KSH1 
    Posting of Transactions in FI 
    F-02 
    To View Cost Center Wise Report 
    KSB1 
    Repost CO Line Items 
    KB61 
    Repost Costs 
    KB11N 
    Planning Cost Center Wise 
    KP06 
    To View Cost Center Wise Variance Report 
    S_ALR_87013611 
    Display Cost Center Standard Hierarchy 
    OKENN 
    10 
    Change Cost Center Standard Hierarchy 
    OKEON 
    11 
    Display Cost Center Accounting Document 
    KSB5 









    II 
    Activity Types 

    Creation of Activity Types 
    KL01 
    Creation of Activity Type Groups 
    KLH1 
    Enter Activity Allocation 
    KB21N 









    III 
    Statistical Key Figures 

    Creation of Statistical Key Figures 
    KK01 
    Creation of Statistical Key Figures Groups 
    KBH1 
    Enter Statistical Key Figures 
    KB31N 









    IV 
    Overhead Assessment 

    Creation of Secondary Cost Element - 42 
    KA06 
    Creation of Assessment Cycle 
    KSU1 
    Overhead Assessment 
    KSU5 









    V 
    Overhead Distribution 

    Creation of Distribution Cycle 
    KSV1 
    Overhead Distribution 
    KSV5 









        Internal Order Management
     
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings 

    Creation of Internal Order Types 
    KOT2 
    Creation of Internal Orders 
    KO01 
    Creation of Internal Order Groups 
    KOH1 
    Posting of Transactions in FI 
    F-02 
    To View Internal Order Wise Report 
    KOB1 
    Repost CO Line Items 
    KB61 
    Repost Costs 
    KB11N 
    Planning Internal Order Wise 
    KPF6` 
    To View Variance Report 
    S_ALR_87012993 









    II 
    Internal Order Settlement - Only Real Orders can be settled. 

    Creation of Settlement Cost Elements - 21 
    KA06 
    Maintain Allocation Structure 
    OKO6 
    Maintain Settlement Profile 
    OKO7 
    Maintain Number Ranges for Settlement Documents 
    KO8N 
    Creation of Number Ranges in CO Area - KOAO 
    KANK 
    Internal Order Settlement 
    KO88 









                       Profit Center Accounting
     
    Sl.No. 
    Particulars 
    Transaction Code 
    I 
    Basic Settings 

    Maintain Controlling Area Settings 
    0KE5 
    Creation of Dummy Profit Center 
    KE59 
    Set Control Parameters for Actual Data 
    1KEF 
    Maintain Plan Versions 
    OKEQ 
    Maintain Number Ranges for Local Documents 
    GB02 
    Change Profit Center Standard Hierarchy 
    KCH5N 
    Display Profit Center Standard Hierarchy 
    KCH6N 
    Display Settings for Profit Center Accounting 
    1KE1 
    Creation of Profit Center 
    KE51 
    10 
    Creation of Profit Center Group 
    KCH1 
    11 
    Maintain Automatic Account Assignment of Revenue Elements 
    OKB9 
    12 
    Choose Additional Balance Sheet and Profit & Loss Accounts 
    3KEH 
    13 
    Default Assignment to a Profit Center - Profit Center Derivation Rules 
    3KEI 
    14 
    Planning Profit Center Wise for Profit & Loss Account Items 
    7KE1 
    15 
    Planning Profit Center Wise for Balance Sheet Account Items 
    7KE3 
    16 
    To View Profit Center Wise Variance Report for Profit and Loss Account Items 
    S_ALR_87013326 
    17 
    To View Profit Center Wise Variance Report for Balance Sheet Account Items 
    S_ALR_87013336 
    18 
    Transfer from one Profit Center to Another Profit Center 
    9KE0 
    19 
    Display Profit Center Accounting Document 
    9KE9 
    20 
    Transfer Payables/Receivables in Profit Center Accounting 
    1KEK 
    21 
    Display Profit Center Actual Line Items 
    KE5Z 
    22 
    Balance Carry Forward in EC-PCA 
    2KES 









    II 
    Assessment - EC-PCA 

    Maintain Assessment Cost Element 
    KA06 
    Define Actual Assessment Cycle for EC-PCA 
    3KE1 
    Actual Assessment 
    3KE5 









    III 
    Distribution - EC-PCA 

    Define Distribution Cycle 
    4KE1 
    Actual Distribution 
    4KE5