From G/L accounts data is not getting updated in special
purpose ledger (data flow not happening for some company
codes) what all may be the reasons ?? How to rectify it??
Answer Posted / jiya
Hi
Please configure the special GL account and Reconciliation
account for the in transaction OBYR.
Thanks
Jiya
| Is This Answer Correct ? | 3 Yes | 5 No |
Post New Answer View All Answers
How does validation differ from substitution? : co- cost center accounting
What is asset accounting (fi-aa)? : fi- asset accounting
What is the basic difference in customizing in profitability analysis as compared to other modules? : co-pa
what is diff.between production by order and product cost collector?
Hi What is a STAGING CLIENT in our Land scape? a bit of confusion in this
Explain the value of creating a cost center?
How are scrap costs shows in the standard cost estimate?
Hello friends i am preparing For SAP FICO, can u please suggest me how can i find the jobs openings?, how shall i prepare for it? and on what area i should more focus on? which kind of questions can enterviewer can ask me and how shall i reply. can please get any reference from your side.. please. i am just craving to get the job please help me....... please reply me on E-mail: g.amresh@gmail.com ....
What are statistical key figures in co? : co-pa
In asset accounting what are the organizational assignments?
What is the relation between a controlling area and a company code?
In gl master, we have a option “balance in local currency” and “account currency”. What does it mean?
What is an asset master? : fi- asset accounting
What is an account group? : fi- general ledger accounting
What do you mean by chart of accounts? What is it used for? What are its important elements?