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  • Liquidity Planner – Tips

    In this document we will analyze different functionality of Liquidty Planner

    1. Create Query

    2. Delete & Recreate Data

    3. Liquidity Analysis

    4. Structured Reports

    5. List GL Accounts

    6. Transfer Information from one client to another

    7. Forecast

    1. Create Query

    Onte of the functionalities of Liquidity Planner is the possibility of creating queries, this means redirect the natural flow of the document chain to a Liquidity Position because of external conditions. Once a query condition is met, FSCM-LP stops searching for the next level and replaces the Liquidity Position with the one in the query

    a) Create a query

    b) Assign the query to a Query Sequence

    a) Create a Query

    If you create a query you define the Liquidity Position and the query conditions which will re-assing the new Liquidity Position

    07-03-2016 12-17-37.jpg

    There are to types of queries from the origin conception. Origin C is for payment documents (Vendor/Customers) in the document chain, and D are for G/L Accounts (Incomes & expenses Accounts). Depending on what query do you want to create you will have the following trx

    Transactions

    Origin C

        • FLQQC1         Create a Query
        • FLQQC3         Display Query
        • FLQQC5         Assign a query to a query sequence
        • FLQQC7         Test a query

    Origin D

        • FLQQD1         Create a Query
        • FLQQD3         Display Query
        • FLQQD5         Assign a query to a query sequence
        • FLQQD7         Test a query

    Each query needs:

      • Name
      • Description
      • Liquidity Position
      • Conditions

    if we click on Conditions, we  will see

    07-03-2016 12-26-13.jpg

    There are different areas from where you can obtain information, Accounting Document & Vendor/Customer Master Data.

    b) Assign the query to a Query Sequence

    In trx FLQAD/FLQAF you don’t have query names, instead you have query sequences which is a group of querys. Query sequence (as well as queries) can be defined for a company group or all companies; only condition is if a query is defined for a company code then query sequence should also be for the company code. The query sequence is done in customizing

    Transactions

    FLQCB      Create Query Sequence for FI Mechanism (Origin C)

    FLQC11     Create Query Sequence for Invoices (Origin D)

    Once the query sequence is created, you can assign queries and use them in FLQAD/FLQAF

    07-03-2016 12-40-16.jpg

     

     

    2. Create and Delete Data

    Sometimes there is the need to delete all data and start from scratch. Thes 2 trx will help you do that

    FLQC9        Delete all Liquidity Information

    FLQC10      Reconstruct Liquidity Information

    3. Liquidity Analisys

    In ECC 6.0 EhP7, in FLQAD you have the radio button “Analysis” that will show how the systems reconstructs the document chain

    In ECC EhP6 and earlier versions you will run program RFLQ_REXCHAIN which will reconstruct document chain the same way as FLQAD

    4. Structure Reports

    Liquidity Reports (FLQLS, FLQREP) does not offer a structured report; this means all expenses / incomes are not grouped by their origin, they are only listed alphabetically according to Liquidity Positions. You would like to group them according to their origin.

    Apply sap note 998071

    5. List GL Accounts

    When analyzing LP reports you would like a tool to determine the G/L Account and its Liquidity Position for faster analysis.

    FLQLACC

    6. Transfer information from one client to another

    Not all information is transfered by customizing, ie: FLQINFACC . You would like to transfer it from one system to another

    FLQUPINFAC      Download/Upload FLQINFAC information

    FLQUPQR            Download/Upload Queries

    FLQUPGRP          Download/Upload Query Sequences (defined in FLQQD5 or FLQQC5)

    7. Forecast

    If you have concluded your liquidity analysis fro actuals and would like to determine forecast information, here are the programs:

    RFLQ_CASH_FORECAST_FIN            Liquidity Calculation: Forecast from Accounting (Open Items)

    RFLQ_CASH_FORECAST_MMPO        Liquidity Calculation: Forecast from MM PO and Scheduling Agreemen

    RFLQ_CASH_FORECAST_MMPR        Liquidity Calculation: Forecast from MM Purchase Request

    RFLQ_CASH_FORECAST_SDSO         Liquidity Calculation: Forecast from Sales Orders

    RFLQ_CASH_FORECAST_TRD1          Liquidity Calculation: Forecast from Loans (FS-CML)

    RFLQ_CASH_FORECAST_TRT1          Liquidity Calculation: Forecast from TR Transactions (FSCM-TRM)

     

    RFLQ_DELETE_FC                               Liquidity Calculation: Delete Forecast Data (forecast – cleared documents)

    RFLQ_REPORT_FC                              Liquidity Calculation: Forecast per Liquidity Item Report

    In EhP7 you have trx FLQF1FLQF2 & FLQF3 which cover some of the functions mentioned before.

    If you want a comparison between actuals and forecast, you will need SAP BI/BO

    refer to"

    https://blogs.sap.com/2016/03/07/liquidity-planner-tips/

    本文来自博客园,作者:Slashout,转载请注明原文链接:https://www.cnblogs.com/SlashOut/p/15463449.html 关注公众号:数字化转型

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  • 原文地址:https://www.cnblogs.com/SlashOut/p/15463449.html
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