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Re: FAGLL03

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Hi Iwan,

 

Reason One: Transaction Figures not updated

Some documents were posted in entry view, but did not update the ledger totals 

Solution:

To identify and correct such documents, follow the steps below


  • Execute t-code FAGLF03 ( Program: TFC_COMPARE_VZ) to compare document and transaction figures in order to identify the documents in error
  • If FAGLF03 identifies documents which are not posted to one or more ledgers, Execute t-code GLGCU1 (Program: RGURECGLFLEX) to update the transaction totals for the documents in error in the corresponding ledgers


Reason Two: Incorrect negative postings

Due to a program error, some debit line items may be displayed as credit line items in transaction FAGLL03 or some credit line items may be displayed as debit line items as shown in the screenshot below.This is usually for negative postings made due for reversals

 

Solution:

There could be various causes for this error,

Check the following SAP notes for resolution according to your system conditions


Note 1113114 - FAGLL03: Incorrect plus/minus signs for negative postings

Note 1163346 - FAGLL03: Incorrect plus/minus signs for negative postings(2)

Note 1170400 - Document splitting: Incorrect posting key in new G/L


Reason Three: Database Inconsistencies

Inconsistencies in the database at various levels may cause the transaction totals and balance to differ.

Solution:

Several reports are provided by SAP to analyze database inconsistencies for relevant tables.

Note 1155429 - Analysis:Posting keys/debit/credit indicators in FI-GL (new)

The not above provides reports to detect and analyze database inconsistencies in new GL line items.

 

Source: google

 

Regards

dinesh


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