2007 Mar 09 2:28 PM
We are having ISU implemented in our company. When a sales order is processed from SD (customer group has the posting set to FI-CA), revenue account is selected based on the set up defined under VKOA. However the SD invoice is not passed to accounting unless there is main / sub transaction assignment under FQC1200. While processing the invoice,the corresponding GL account maintained for the subtransaction under EK02 (posting area R001) is not considered.
Could somebody help me in the following?
a) In which circumstances, system picks the GL account based on the sub transaction defined under FQC1200?
b) Which are the cases, system selects the revenue account defined under VKOA
Many thanks
2007 Sep 21 4:55 PM
Hi Ama,
I believe accounts are always taken from VKOA. But in customizing you have to always assign main and sub transaction to billig types, however accounts assigned to this main and sub transactions in FI-CA customizing have no effect.
But im not very sure that it should be like that. It would be nice if anyone confirm that.