2008 Jul 14 11:14 AM
Dear SAP guru,
We just upgrade from SAP 4.6C to ECC6, when we posted GR for asset the fund is derrived from FMDERIVER, before upgrade the fund is derrived from PO.
How is the solution? Please help
2008 Jul 17 12:21 PM
Hello,
Please check if activate account assignment objects makes difference
Financial Accounting (New)->Asset Accounting->Integration with the General Ledger->Additional Account Assignment Objects->Activate Account Assignment Objects
2008 Jul 14 9:47 PM
Don't quite understand what the problem is but you can activate the trace on FMDERIVE to see exactly where the fund is coming from. If the fund is already populated in coding the FMDERIVE may not override it if you've such a rule in there. Are u doing the GR for the items with blank account assignment?
2008 Jul 16 8:04 AM
Dear Cyrus,
The account assignment in GR is not blank, but same with PO.
This case is only happened for Asset. The non asset is correct, it derrived from PO.
2008 Jul 19 3:03 AM
Hey BCS Learner,
There could be other exits or rules in place that could be impacted the derivation strategy. Check in OBBH for FI substitution, you could have a step in there that would derive FM account assignment based on the asset transaction type. Also check the FMDERIVE to see if you've maintained derivation strategy to derive fund/fund center based on the asset transaction type(s).
2008 Aug 01 4:19 AM
Hi Cyrus, Anish and Salvator
Thank you for the reply.
I have solved by problem with implementing the support package EA-PS 12
Regards
Shania
2008 Jul 17 12:21 PM
Hello,
Please check if activate account assignment objects makes difference
Financial Accounting (New)->Asset Accounting->Integration with the General Ledger->Additional Account Assignment Objects->Activate Account Assignment Objects
2008 Jul 18 4:06 PM
Hi,
I don't know how you have customised your asset accounting with FM but we do this in geneneral
In AS01 you have the funds and the funds center
In ME21N the account assignment is A and the system will ask you further to enter the asset created. Th system will derive the funds and the funds center.
As there is no fi document at reception (assets are non stocked material) you can check in the material document tab account assignment you should find the funds and the funds center from the PO and from the asset. Elsewhere it is a bug
I hope i am clear
Best regards
Salvator
PSM-FM ECC 6.0 senior Consultant
Lausanne
Suisse