on 2015 Jul 13 2:59 PM
HEllo,
I have the following case:
Company Code 0001 --> Valiuation Plan 1SF --> Depreciation Areas 01, 20, 30
Company Code 0003 --> Valuation Plan 2SF --> Depreciation Areas 01,10
Once I run ABT1N the depreciation Areas 01, 20, 30 are transferred from compnay code 0001 to 0003, however depreciation area 10 is still empty. Even with the periodic posting (TC ASKB) no values are transferrred
What has to be done, so that also the depreciation area 10 is filled automatically once ABT1N (inter-Company Transfer) is performed?
Is there a Point in the IMG or do we Need to develop something in this case?
Kind regards
Zarko
HI ,
You need to check in Spro integrdation With GL account to the flow of Posting for each deprecotion area . you can also check in Transaction OADB
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.
HI ,
Sorry misundertood your problem .
I believe its correct becuase in Comapny code 0001 you do not any Value for Depreciation area 10 and you do not post anything in that area.
Thta's why when you transferred the asset from 001 to 003 no value got transferred .
Can you ploease let me know how to do post in dep area 10 . is it dervied area for you post directly .
if you want any cost in this area then you need to do configuration in company ocde 0003 that depreciation 10 should get value from 01 rather than diectly posting .
So when you transfer any asset system will automatically post values in 10 if tehre is any value in 01.
Hello,
I found the solution. It is mentioned in the OSS NOTE 300273:
The transfer variants are controlled without value transfer in dependent areas in the standard system. For the value transfer, change the transfer method from '1' ('Gross method without transfer of values to dependent areas') to '4' ('Gross method with transfer of values to dependent areas') for the relevant transfer variant in the FI-AA Customizing. If the final settlement has already been posted without error message, reverse this final settlement and execute it again after changing the the transfer variant.
IMG --> FINANCE --> ASSET Accounting --> Transactions --> Intercompany Asset Transfers --> Define Transfer Variants Cheers Zarko
User | Count |
---|---|
110 | |
8 | |
8 | |
6 | |
6 | |
5 | |
5 | |
5 | |
5 | |
4 |
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.