SAP ABAP IMG Activity SIMG_CFMENUORFBOBXM (Define Accounts for Subsequent Adjustment)
Hierarchy
BBPCRM (Software Component) BBPCRM
   CRM-MD-BP (Application Component) Business Partners
     FB0C (Package) Financial Accounting customers
IMG Activity
ID SIMG_CFMENUORFBOBXM Define Accounts for Subsequent Adjustment  
Transaction Code S_ALR_87003208   IMG Activity: SIMG_CFMENUORFBOBXM 
Created on 19981222    
Customizing Attributes SIMG_CFMENUORFBOBXM   Define Accounts for Subsequent Adjustment 
Customizing Activity SIMG_CFMENUORFBOBXM   Define Accounts for Subsequent Adjustment 
Document
Document Class SIMG   Hypertext: Object Class - Class to which a document belongs.
Document Name SIMG_CFMENUORFBOBXM    

In this activity you define the numbers of the accounts the system posts the results of profit and loss adjustment and balance sheet adjustment to.

An adjustment retroactively assigns line items to particular account assignment objects (business areas, cost center, profit center, etc.). In assigning these line items, the system automatically generates clearing entries and adjustment postings.

If you do not set up an adjustment account, the system posts the items to the original account. To separate the adjustment postings from other postings, you should create separate adjustment accounts in this activity and have the system post the items to them.

You have to set up a clearing account for the adjustment process so that the postings made per business area do not affect the balances. You also have to set up adjustment accounts for reconciliation accounts, tax accounts and any other accounts which cannot be directly posted to. Setting up a separate adjustment account for accounts that can be directly posted to is optional. Adjustment accounts cannot be relevant to tax - that is, in the master records for these accounts, a "Tax category" must not be entered and the "Posting without tax allowed" indicator must be selected.

In this activity you also maintain accounts for clearing reconciliation postings made in Controlling for allocations across business or functional areas. You maintain these accounts under the GAO transaction key.

Note

You should only use transaction key GA5 if you are using a user exit for the balance sheet adjustment in which accounts are processed which are not processed in the standard system.

Activities

  1. Define the account numbers for clearing and adjustment postings.
  2. Make sure the accounts you specify are created.

Business Attributes
ASAP Roadmap ID 204   Establish Functions and Processes 
Mandatory / Optional 2   Optional activity 
Critical / Non-Critical 1   Critical 
Country-Dependency A   Valid for all countries 
Assigned Application Components
Documentation Object Class Documentation Object Name Current line number Application Component Application Component Name
SIMG SIMG_CFMENUORFBOBXM 0 HLA0001205 Closing Operations 
Maintenance Objects
Maintenance object type C   Customizing Object 
Assigned objects
Customizing Object Object Type Transaction Code Sub-object Do not Summarize Skip Subset Dialog Box Description for multiple selections
F30 L - Logical transport object OBXM OBXM Automatic Postings - Account Determination 
F30B L - Logical transport object OBXM OBXM Automatic Postings - Posting Keys 
History
Last changed by/on SAP  19981222 
SAP Release Created in