Creating Header Data for an Allocation CycleThe information that you enter in the cycle header applies to every segment that you create for the cycle.
On the
FI-SL: Create <Allocation Type>: Header Data
screen, enter the following data:
– End date for the allocation cycle
– Description for the allocation cycle. This description appears when you execute the allocation.
In the
Indicators
group box:
– Deselect
Iterative
if you do
not
want to process the allocation cycle iteratively.
– Select the
Cumulative
indicator if you want to process the allocation cycle as a cumulative allocation.
You can find more information under Iterative Processing of Allocation Cycles .
Select the field groups to be used in the cycle:
– Select
Actual quantities
, if you want to allocate amounts
and
quantities.
– Select
Act. tr.
, if you want to allocate transaction currency. If you do not set this indicator, the system uses the second or third currency (depending on your system configuration) and writes it as transaction currency to the sender(s) and receiver(s) data records. This reduces the number of records stored on the database, since the system does not take into consideration the different transaction currencies.
Enter the selection criteria in the
Preset selection criteria
group box.
The selection criteria fields that appear depend on the system structures you have defined for allocations in Customizing for
Special Purpose Ledger
. The values you enter in these fields are valid for all senders and receivers in all segments (unless specified in the segment definition).
Enter the company code or the company: The allocation does not work company code/company independent.
You can use the following additional functions on this screen.
Additional functions (FI-SL: Create <Allocation Type>: Header Data screen)
Choose |
Function |
|
Add a segment to the cycle |
|
Copy an existing segment to the cycle |
|
Display an overview of segments contained in the cycle |
|
View the revision history of the cycle |
Save your data.