The article talks about the different FI reports in the SAP system. I am creating this blog for those who are looking to use SAP systems for ways on how the standard system can help for the FI specific reports
Some of these reports either needs to be tweaked or are not as well know as others and I have mostly seen clients asking for a custom report which they can use to map their transactions or do reconciliation effectively but standard system also offers a lot of options from what I understand.
I may keep updating it or organizing it better as I develop further understanding in this area. I am also including some custom logic which I had used to help the AP team identify the invoice number from the material and accounting document. Apart from a very important part these FI reports play in reconciliation it is also useful is to forecast and find cost center amounts spent earlier vs your future account payable amounts. Most of the FI reports you should be able to find in the below path:
Accounting → Finance Accounting → General Ledger → Information System → General Ledger Reports → Master Data → Chart of Accounts
If you have a latest SAP GUI version then they have replaced it with Financial Accounting new as shown below. Broadly speaking the reports section from FI side mainly comprises of Account receivable and payable, GL accounts and consolidation, cost center and Vendor related. I am highlighting the path below in SPRO where these reports can be found.
Custom Logjc which I had used is as below:
The main understanding which I developed was based on double entry accounting where
When a GR is posted it is :
Dr. to Customer A/c or your company account and
Cr to GL Expense a/c
When an invoice is posted:
Dr. to GL Expense A/c.
Cr. to Vendor A.c and
Remember your accounting document would always be linked to a material document so the way it works is. PO > Material document and a corresponding accounting document. The main connect between these 2 documents in a P2P scenario is the invoice number entered during the GR phase which should match the invoice number in the invoice document sent by the vendor.
This data may not be readily available and hence I found some custom logic where this field may reside and then you can compare your material and accounting document to ensure the price, invoice number etc is a match. Assuming most of the SAP reports can give you the accounting document number. Lets assume you get that as an output which will be input to the below logic.
There may be varied logic as it depends where the value gets stored. In my scenario it was a Invoice which was created first and then a GR confirmation was sent to get approval from the requester so 2 different invoice numbers may be entered. One which the vendor sent in the invoice and the other invoice number which the user entered while doing GR. Ideally both should be the same and this information was used for doing reconciliation.
- SELECT AWKEY from table BKPF where MBLNR EQ the accounting document and GJAHAR = Year entered by the user
- Select LFBNR FROM table MSEG based on AWKEY WHERE MSEG-MBLNR = BKPF-AWKEY
- Select PACKNO from table ESLH where ESLH-EBELN = MSEG- LFBNR
- Select EXTSRVNO from table ESLL where ESLL-PACKNO = ESLH-PACKNO AND SUBPACKNO EQ 0000000000 AND PACKAGE is INITIAL and DEL NE X.
EXTSRVNO will give you the invoice number
- SELECT AWKEY from table BKPF where MBLNR EQ accounting number and GJAHAR = Year entered by the user = output A
- Select LFBNR FROM table MSEG based on AWKEY WHERE MSEG-MBLNR = BKPF-AWKEY = output B
- SELECT TXZ01 from table ESSR where LBLNI = output B
TXZ01 will give you the invoice number
- SELECT AWKEY from table BKPF where MBLNR EQ accounting document number and GJAHAR = Year entered by the user = output A
- SELECT XBLNR from EKBE where BELNR = output A from step 1 and GJAHR = year entered by the user = Output B
- SELECT XBLNR FROM RBKP where BELNR = Output B from step2 and GJAHR = year entered by the user
XBLNR will give you the invoice number
This was one of the logic I prepared to get the 3 different invoice number for a single material document and accounting document number which ideally should be same for all 3 cases. Incase of an issue or discrepancy it was raised to the FI team who use to take an appropriate action to confirm if the invoice being paid is a valid one. Below are some of the other standard reports which I have been using frequently
1. Transaction KSB1
This report is a must have if you would like to see all cost center information and vendor details.
2. GL55 :
Enter the below details for 2016 year and Period as 1 for July.It will give the all accounting documents in one place. This is also the input to the custom logic I mentioned above. This is one of the best profit and loss report overview report.
If specific fields are needed it may be found from the table
3. FBL3N GL account line item display
The user enters the invoice number and if you need to do a reconciliation for that below are some of the specific logic that you can build on your own using the database tables.
4. F.01 Financial statement : Balance sheet etc
This gives you an overall picture of different reporting period from last and current year and on overall indicator of total revenue each year
5. S_ALR_87013604 FI CO reconciliation report for group currency
Report for reconciliation for each company code and controlling area.
6. S_ALR_87013614 Current period
Cost center group report for cumulative analysis related to each period.
7. S_ALR_87013611 Planed/ Actual cost and variance.
One of the main report for cost center analysis for planned / Actual costs and highlights the variance
8. S_ALR_87013625 Actual / Target / Variance
Similar to the above report this one helps for cost center analysis for Actual / Target and variance in values across different cost centers
9. KOB1 Cost
This report has list of line items posted on internal orders
KOb1 shows Actual cost for line items
KOB2 shows the commitment for line items
KOb3 shows the variance for each of the line items
10. KE30 Customer profitability report
There are some templates provided by SAP for creating those reports for being costing based or account based and is one of the
11. F.41 Vendor balance line item wise
If you have vendors which are not quite active this report is quite useful in identifying those vendors and probably taking action like deactivating them or deciding to use them in vendor evaluation criteria.
12. F.42 : Vendor balance in local currency
Useful when you have a lot of vendors who work from different countries and if they charge in their home currency . The report displays amount converted from all in your local currency as defined in the system
Other reports :
s_alr_87013603 Reconciliation of Fi/CO reports in company code currency
S_ALR_87012401 – Payment Medium International – Load Data Medium Exchange File to Disk
S_P00_07000221 – EC Sales List in Data Medium Exchange Format
S_ALR_87012400 – EC Sales List
S_ALR_87012178 Customer open items by balance of overdue items
s_alr_87012172 For Custom balance in local currency and It shows total per company code and total across all company code.