on 2024 May 22 12:33 PM
Hello Experts,
In Cost Centers: Actual/Plan/Variance report, we have the credit and debit values are not matched. we are using SAP ECC 6.0
Debit value is more than credit value.
After running CON2 as a month end activity, cost is not 100% allocated in the Cost Center Report. Debit is more then credit value and Over/Under absorption is not getting zero.
When we check in KSII Transaction code, error message says that no Activity price is maintained for period 01 – April, 2024.
While checking at KP26 Tcode, we could see that plan activity value is missing.
Are we missing anything to get the values correctly in Cost Centers: Actual/Plan/Variance report.
Please advise.
Thank you
Thangaraj Thomas
Request clarification before answering.
Hello
please check COFC tcode, there must be records for activities.
if COFC error is for missing price, fill kp26 with price, the run cofc and clear it (save)
after that the activities will be shown in 611 and ksii report
( i guess you had used bapi or z program for production)
best regards
Ghazal Afshar
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