Domain: Country Account
Responsibility area: N/A
1. Objective and Scope
1.1. Objective of this Operation
The purpose of this document is to show how the checking and reclassification of HSE cost centers that have value is performed.
The activity must always be performed on D+1 and always using the month before D+1 in the transactions used.
Follow the Cost Center and Order list that must be used to performer the reclassification on transaction KB15N
1.2. Scope
This procedure applies to company : 7523 Rhodia Brasil
2. Definitions
See Finance Glossary:
- C.C
3. Tasks description
3.1. I run the transaction S_ALR_87013635
This step is where we run all the Cost Centers we consulted in KSV3 and check which ones have value to perform the reclassificationThen I analyze which ones have value on the third column
If they have value, run transaction KSB1
3.2. I run the transaction KSB1
If cost centers have value, I executed each cost center in transaction KSB1 with the parameter below:When finish running select the cost element and make a subtotal
The screen below is the one that should be used to perform the reclassification.
when there are accounts starting with *8 they should be disregarded.3.3. I run the transaction KB15N
I run the transaction KB15N and fill with all the necessary information:
Send. CCtr : Cost Center
Cost Element : From KSB1
Amount: From KSB1
Currency: BRL
Rec. Order: Order
After fill all the information on KB15N click on the
To make sure that the reclassification worked, run the transaction KSB1 with the Cost Center and check if the amount is zero






