Answer Posted / ramesh basavani
Version Management is basically used to store and controls actual or plan data related controlling module through currency types.
here, the currency types are generally we have
1. Company Code currency-10
2. Controlling Area Currency-20
2. Operating Concern Currency-B0
3. Profit Centre Currency-60
4. Operation Concern Currency,Profit Centre Valuation-B2
5. Company Code Currency, Profit Centre Valuation-12
| Is This Answer Correct ? | 0 Yes | 0 No |
Post New Answer View All Answers
What happens in an actual costing run?
what is the need for balance interest calculation maintenance of setting in case a financial decides on interest rates and loan repayment due dates etc all other issues and we only need to pay the intrest amount ?
Explain asset class
What is asset super number in sap? : fi- asset accounting
How does group chart of accounts differ from operating chart of accounts?
What is the difference between account based profitability analysis and costing based profitability analysis?
There is an advance given by the customer which lies in a special gl account indicator A. Will this advance amount be considered for credit check?
How do you set up depreciation area postings to fi from fi-aa? : fi- asset accounting
How do you create gl account master data? : fi- general ledger accounting
Tell me the SO (sales Order) to Collection in sap with Accounting Effect.
what mean ny cut over activities, p/l, b/s amount how will update
What is the meaning of ADHOC P.O's Do we create Adhoc P.O's to our regular Vendors.What are the Tax aspects in this Issue.
What happens when the revaluation is done in actual costing run for the previous period?
What is a release order? : fi- accounts payable
What do you understand by a line item? : cost center accounting