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CO Assignment for Treasury Transactions

Former Member
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Hi All,

1. My client having requirement to assign Cost Center, Business Area, Functional Area, Fund, Profit Center and WBS element for all securities transactions. For this we have developed a Ztransaction to update for each Security ID and Security Account with all above CO assignment fields for every transaction. In our development we are able to assign only one transaction to each  Securities Account and Security ID combination second one is having problem not able assign,  is this due to securities design in SAP because all securities transactions always view based on based on position by Securities ID and Securities Account.

Can anyone guide is that possible to assign  every security transaction to CO assignment with same Securities ID and Securities Account ? If so please share your inputs how we can achieve.

2. For TPM1 valuation posting system is prompting for CO assignments, for this is there any BADI exist to achieve this requirement ?

Your help is greatly appreciated.

Accepted Solutions (0)

Answers (1)

Answers (1)

Former Member
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Hi,

Please check customising tab : Define Derivation of Additional Account Assignments

Here based on the source target and condition you can fill the following target fields in the FI document with values

GSBERBusiness Area
PARGBTrading partner's business area
PPRCTRPartner Profit Center
PRCTRProfit Center
PSEGMENTPartner Segment for Segmental Reporting
SEGMENTSegment for Segmental Reporting
TYP_MOVMovement Type (Inventory Management)
VBUNDCompany ID of trading partner
XREF3Reference key for line item

Regards,

Jyoti