How to Configure Account Determination

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    Purpose

    The purpose of this page is to describe the main customizing settings for Account Determination.

    Overview

    For every goods movement created for a valuated material, the SAP system can create two types of documents: a material

    document and an accounting document. The SAP system follows the accounting principle that for every material movement,

    there is a corresponding document that provides details of that movement. In addition, an accounting document is produced

    that describes the financial aspects of the goods movement.

    The material document and accounting (FI) document creation depend on the movement type configuration.

    Through the movement type configuration and based on the customizing settings defined for the account determination the

    SAP System can do automatic account postings.

    To determine the customizing settings for Account Determination you should GO through the following customizing

    path: SPRO -> IMG -> Materials Management -> Valuation and Account Assignment -> Account Determination.

    Below sections describe the two ways to define the account determination: Account Determination Wizard and Account

    Determination without Wizard.

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    Account Determination Wizard

    It is a proposal from SAP System to define the account determination.

    In this step, you can quickly configure the system to make automatic postings by answering the wizard's questions. The

    wizard undertakes the functions of the following steps:

    1. Defining valuation control

    2. Grouping valuation areas

    3. Defining valuation classes

    4. Defining account grouping for movement types

    5. Purchase account management

    6. Configuring automatic postings

    You can continue to use these transactions either in conjunction with or instead of the wizard.

    Account Determination Without Wizard

    In this step, you can manually define the settings for account determination in Inventory Management and Invoice

    Verification.

    Account determination without the wizard enables you to make a more complex configuration than account determination

    with the wizard, but requires that you are already familiar with the principle of automatic account determination in the ERP

    System.

    You can configure account determination with the wizard in the first instance, for example. Then, if the wizard does not meet

    your company's account determination requirements, you can work without it.

    You have to work without the wizard if you use the material ledger (this is standard). Define Valuation Control

    It can be configured by the following customizing path: SPRO -> IMG -> Materials Management -> Valuation and Account

    Assignment -> Account Determination -> Account Determination without Wizard-> Define Valuation Control.

    It defines if the valuation areas will be grouped by activating the valuation grouping code. This makes the configuration of

    automatic postings much easier.

    In the standard SAP R/3 System, the valuation grouping code is set to active as default setting.

    Firstly, you should create the valuation grouping code.

    It corresponds to the transaction OMWM.

    OMWM - Valuation Control

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    You must have assigned each plant to a company code in "Enterprise structure" into the Customizing. When assigning your

    plants, the valuation areas are defined automatically. To assign a plant to company code you should go to transaction

    OX18.

    OX14 - Define Valuation Level

    Recommendation:

    SAP recommends that you only use a valuation grouping code within a chart of accounts in order to prevent account

    determination from becoming confusing.

    Default settings

    In the standard SAP system, valuation is predefined at plant level. All plants are grouped together via valuation grouping

    code 0001.

    Group together Valuation Areas corresponds to the transaction OMWD.

    OMWD - Account Determination for Valuation Areas

    Define Valuation Classes

    It can be configured by the following customizing path: SPRO -> IMG -> Materials Management -> Valuation and Account

    Assignment -> Account Determination -> Account Determination without Wizard->Define Valuation Classes.

    In this step, you define which valuation classes are allowed for a material type.

    If an user creates a material, he/she must enter the material's valuation class in the accounting data (Accounting 1 and 2

    views). The ERP system uses your default settings to check whether the valuation class is allowed for the material type.

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    The valuation class is a key to group materials with the same account determination. The valuation classes depend on the

    material type. Several valuation classes are generally allowed for one material type. A valuation class can also be allowed

    for several material types.

    The valuation class determines the G/L accounts which will be updated as result of the goods movement generated for the

    material.

    The valuation class makes it possible to:

    Post the stock values of materials of the same material type to different G/L accounts

    Post the stock values of materials of different material types to the same G/L account

    MM03 - Display - Acoount 1 view

    The link between the valuation classes and the material types is set up via the account category reference.

    The account category reference is a combination of valuation classes. Precisely one account category reference is assigned

    to a material type.

    Requirements

    You must have defined your material types.

    You must have defined the chart of accounts.

    You must have agreed with Financial Accounting which materials are assigned to which accounts.

    Default settings

    In the standard SAP R/3 System, an account category reference is created for each material type. The account category

    reference is, in turn, assigned to precisely one valuation class. This means that each material type has its own valuation

    class.

    OMSKAccount Category reference/valuation class

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    OMSKAccount category reference button

    OMSK - Valuation Class Button

    OMSK -Material Type/Account category reference

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    Define Account Grouping (account modifier) for Movement Types

    Using this function, you can assign an account grouping to movement types. The account grouping is a finer subdivision of

    the transaction/event keys for the account determination.

    The account grouping is provided for the following transactions keys:

    GBB (offsetting entry for inventory posting)

    PRD (price differences)

    KON (consignment liabilities)

    The account grouping in the standard system is only active for transaction key GBB (offsetting entry for inventory posting).

    OMWN - Define Account Grouping for Movement Types

    Purchase Account Management

    It is used to attend legal requirement from specific countries (France, Italy, Finland, Belgium, Spain and Portugal). In this

    step, you will define a specific valuation and a separate accounting document for Purchase Order postings.

    Configure Automatic postings

    In this step, you enter the system settings for Inventory Management and Invoice Verification transactions for automatic

    postings to G/L accounts.

    You can then check your settings using a simulation function.

    What are automatic postings?

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    Postings are made to G/L accounts automatically in the case of Invoice Verification and Inventory Management transactions

    relevant to Financial and Cost Accounting.

    Example:

    Posting lines are created in the following accounts in the case of a goods issue for a cost center:

    Stock account Consumption account

    How does the system find the relevant accounts?

    When entering the goods movement, the user does not have to enter a G/L account, since the ERP system automatically

    finds the accounts for each posting based on the following data:

    Chart of accounts of the company code

    If the user enters a company code or a plant when entering a transaction, the ERP system determines the chart of accounts

    which is valid for the company code.

    You must define the automatic account determination individually for each chart of accounts.

    Valuation grouping code of the valuation area

    You must define the automatic account determination individually for every valuation grouping code within a chart of

    accounts. It applies to all valuation areas which are assigned to this valuation grouping code.

    If the user enters a company code or a plant when entering a transaction, the system determines the valuation area and the

    valuation grouping code.

    Transaction/event key

    You do not have to define these transaction keys, they are determined automatically from the transaction (invoice

    verification) or the movement type (inventory management). In this step, you can only insert the account number for each

    transaction key.

    Account grouping (modifier)(only for GBB, PRD and KOM)

    Since the transaction key GBB is used for different transactions (for example, goods issue, scraping, physical inventory),

    which are assigned to different accounts (for example, consumption account, scrapping, expense/income from inventory

    differences), it is necessary to divide the posting transaction according to a further key: account grouping code.

    Valuation class of material or (in case of split valuation) the valuation type

    The valuation class allows you to define automatic account determination that is dependent on the material.

    You can achieve this by assigning different valuation classes to the materials and by assigning different G/L accounts to the

    transaction key for every valuation class.

    Default settings:

    G/L account assignments for the charts of accounts INTand the valuation grouping code 0001are SAP standard.

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    OMWB - Configure Automatic Postings

    OBYC - Maintain FI configuration

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    How to test my account determination settings?

    You should go to transaction OMWB and click on simulation button. Then, insert the affected material, the correspondent

    plant and the movement type. After that, click on account assignments button and you will see the simulations result.

    OMWB - Simulation

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    Important: Report DFKB1INT: run it in transaction SE38. It is used to shows us the possible values for the account

    determination customizing settings. If the customer changed something here, it is not standard anymore.