Table of Contents
Cost Center Reposting, Allocation, Assessment
Cost Center Manual Reposting
This is used to move actual amount and quantity from one cost center to another cost center. It is used to correct incorrect actual postings to cost centers
Controlling Business Transaction for Manual reposting is RKU1. Add to number range group in transaction code KANK
Cost Center Report# S_ALR_87013611
Run for Cost Center#3301002
Repost the Rent amount from Cost Center3301002 to Cost Center#3301001
Transaction code : KB11N
Run the cost center report again# S_ALR_87013611
Now Cost center Rent cost is 2000 and USD 1000 transferred to cost center 3301001
Display Manual Reposting : KB13N
Manual Cost reposting for both Primary and Secondary CE
Controlling Business Transaction for Manual reposting is KAMV. Add to number range group in transaction code KANK
Transaction : KB15N
Reposting of Cost Center line Items by taking FI documents as reference
Post a FI document to CCTR# 3301001 in transaction code# FB50
Line Item Reposting using transaction code# KB61
New Cost Center for reposting
Manually enter Actual Activity Price / Hour
Transaction : KBK6
Activity Price Report
Transaction Code : KSBT
Post Actual SKF
Transaction : KB31N
Display SKF Report
Transaction: S_ALR_87013611
Allocation Methods
There are three methods to do allocation in SAP
- Distribution
- Assessment
- Periodic Reposting
Distribution Allocation is done using Primary Cost Element
- Source Cost Element is credited in Sender cost center
- Source Cost Element is debited in Receiver Cost Center
- Distribution cycle can have one or more Segments
- Assign business transaction #RKIV (Actual OH distribution) to Group primary posting in transaction code #KANK
- Transaction code to define Distribution Cycle : KSV1
- Sender Values:
- Posted Amount : Full amount of Sender Cost Center
- Fixed Amount : Fixed amount of sender Cost Center
- Share in % : 100% of posted amount. Can be less also
- Select Actual values
- Receiver Tracing Factor
- Receiver Rule : Fixed %. Give % share of receiving cost center in Receiving Tracing Factor tab
- Fixed Portion : Receiving tracing factor is ratio instead of %
- Fixed Amount : Enter fixed amount in Receiving Tracing factor
- Receiver rule is Variable : Plan SKF is the receiving Tracing factor
Sender / Receiver Tab
Sender Value Tab
Receiving Tracing Factor
Check Cost Center Report : S_ALR_87013611
Execute Actual Distribution Cycle
Transaction : KSV5
Cost Center Report before execution : S_ALR_87013611
Report after execution of distribution
When Segment Header Receiver Rule is Fixed Portions
Receiving Tracing Factor will be ratio, instead of %
Execute Actual Distribution Cycle
Transaction : KSV5
When Segment Header Receiver rule has fixed amount. Enter fixed amount in the receiving tracing factor tab
Execute Actual Distribution Cycle
Transaction : KSV5
Assessment
Assessment is created to transfer primary and secondary costs from a sender cost center to receiving cost objects. An assessment receiver can be a cost center, WBS element, internal order or a cost object. You can only repost primary costs.
During assessment, the original cost elements are summarized into assessment cost elements (secondary cost element category = 42). The system does not display the original cost elements on the receivers. Therefore, assessment is useful if the cost drilldown for the receiver is not important
Assessment Cost Element, category is 42. Assessment is done using Secondary Cost Element
Create Assessment Cost Element : KA06
- Define Allocation Structure
Transaction : KSES
Select allocation structure 01 and click Assignments
Select Assignment -1 and click source. Here assign the Primary CE from which cost will flow out
Repeat for Admin Cost, Misc. Expenses
Misc. Expenses
Go to folder Assignment, select assignment-1 (EMP Cost). Click Assessment Cost Element
- Create Assessment Cycle
We will use secondary Cost Element (Employee) to send cost from Canteen department to RD-1 and R&D-2 departments. This cost will be divided between these two departments based on actual SKF. Actual SKF will be actual number of employees in the R&D departments
Create actual SKF : KB31N
Create Actual Assessment Cycle : KSU1 / KSU2
Receiving weight factor, both cost centers should be 100 each
- Execute Actual Assessment Cycle
Transaction Code : KSU5
Maintain number range for business transaction RKIU in transaction code# KANK
Display Cost Center Report: S_ALR_87013611
Before Assessment Cycle
After Assessment Cycle
Summary
Period End Activities | Transactions |
Create Plan Assessment Cycle | KSU7 |
Execute Plan Assessment Cycle | KSUB |
Create Plan Distribution Cycle | KSV7 |
Execute Plan Distribution Cycle | KSVB |
Cost Center Report | S_ALR_87013611 |
Complete video tutorial on SAP Controlling
Please visit next tutorial on Report Painter configuration and use in SAP
Please visit previous tutorial on Cost Center Accounting in SAP
Pingback: Course Material - AIERP2