Hello experts,
___________________________________________________________________________
Please find below the process for calculation of Actual Activity Prices:
1. Define Splitting structure, rules (method). I am sure you would have done this
2. Assign the splitting structure to Cost Centers. I hope you would be done this as well
3. Actual values (Costs and quantitative details) will get collected to cost centers in the following way:
- Quantities will get collected to Cost Centers once the confirmation of activities are done for the production order. Please make sure that "Record Quantity" check box is selected for the relevant secondary cost elements.
- Values will get collected from FI to the primary cost elements
you may check whether the values have been properly collected to the cost center using the cost center reports
_________________________________________________________________________________
I saw this message (above) erlier and i got some questions. Can anyone plese explain the steps 1 2 and 3 . Also the transactions where i can configurate it and the situation i can use it.
Thanks in advance.