Tasks to be completed when documenting an operation (from creation to publication)1. Enter the Title of the operation / page2. Add the following Labels :
3. Fill in all fields as described above4. Name the title of each section using OPD methodology naming convention - Infinitive verb without the “to”, mainly action verb...something) - " I do something..."5. Once the description of the operation is completed, ensure it is approved and published by launching the SBS-Finance approval workflow |
| Domain: Country Accounting |
Responsibility area: N/A |
WHY - Describe the objective of the operation
This document is to guide how to check and fix the documents which doesn’t have a market assigned in BW system.
Detail the scope (legal entities, etc.)
The scope of this document is for company 7424 and 7651.
Definitions should be added in the Finance Glossary - Add definition and link it to respective Letter in Finance Glossary
See Finance Glossary:
Go to BW following the steps:
• Open “Analysis for Microsoft Excel”.
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An excel file will be opened then select “Open workbook from the SAP”
• Select “BW – Production – WBP”

• Select “WC RCS BFC interface”

• Fill the fields:
Calendar day: the last day of the month you need to analyze.
Legal PRS: company code

Once the report is generated, go to tab “WC”.
Analysis → click on “Display” and on “Pause refresh”:

A box will appear on the right side.
• Pull up the items “BFC Activity 2” and “BFC Activity 1” to Columns →

• Remove the “Chart of accounts” from Rows →
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After that, click again in “Pause Refresh” in order to update the information you have changed.
• Go to the last column on the report with “#”
In this column there are the items which doesn’t have a market assigned.
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At this yellow line of this column we have the total of each account type, that may be PAYABLES, RECEIVABLES, or INVENTORY.
• Click with right button and select Goto→ BW – Working Capital Detail of WC.

Fill again the date:

A new excel file will be opened with the documents by market, and you need to check the lines that have values on column “[-] Conso. View – Amoun Loc. Curr.”:

Once you have the documents number that are without market, you need to analyze them in SAP to find out which is the correct profit center/IECRA.
Go to SAP to analyze the document; Most of times the documents for Trade Payables is a Vendor Invoice.
Go to SAP to analyze the document;
Go to SAP to analyze the document;
Usually we don't have documents for this and when there is, most of times is an entry requested by Locals/Controllers (in this case, you may ask directly to the person who requested the entry).
Once you have all profit centers/IECRA defined on a Woorkbook,;
You can only fill with an IECRA or a profit center, never both of them.
The sixth column, therefore, the IECRA, should be filled if it is an Trade Receivable document.

The fifth column, therefore, the profit center, should be filled if its an Inventory or Trade Payable document,

The file should be in CSV format.
Open transaction: ZWFA111
• Select company code;
• Flag the option ‘Create-change records from a file’
• Input the CSV file and run the transaction;

The corrections will appears after the BW is refreshed.