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 1. Enter the Domain identified in OPD matrix (for Country specific operations, Domain = Country Accounting) |
Responsibility area: 2. Enter the responsibility area described in OPD matrix ("N/A" for Country Accounting Operations) |
WHY - Describe the objective of the operation
The purpose of this document is to explain how to perform the OOIE file for 7424 and 7651 on WP1 system.
The OOIE file gives more information about the Other Non-Recurring Operating Income and Expense (OOIE) and it is used to populate the schedule T2-2 and T3-2 (tax) in BFC package quarterly.
Detail the scope (legal entities, etc.)
This procedure is applicable for 7424 and 7651 company code in a monthly base on D+2 or D+3.
It needs to be delivered to CAM and Accounting Platform before the package publication. On quarters, it needs to be delivered on D+3 morning at the latest as the accounting platform use it to clear some blocking controls.
Definitions should be added in the Finance Glossary - Add definition and link it to respective Letter in Finance Glossary
See Finance Glossary:
WHAT and HOW - Main content of the operation
The content should be mainly organized in 2 levels of Headings to ensure a proper link with the Table of Contents.
Select the level of heading in the "Paragraph" option.
There is a template for it, but it is indicated to use always the previous month file to have the previous months information loaded with the current month.
The template is here OOIE 7424 7651 Template in AODocs.
Just to explain, the main point is to indicate in the file what category the value in KE30 is related.
You can create other categories and delete some of them if not applicable.
Include the values against signal in SAP, simulating the BFC.
This is an example of the template detailing everything posted under heading R48690:

Once with the file, you need to update it with current month information.
Go to KE30, double click on "ZZZ-SOLVFCMT L2015 - Income Statement / Month" to show the P&L by month.
After that, include:
Currency Type = 10
Fiscal Year;
Company code;

You will need to categorize everything that is Non-Recurring. In other words, everything between the REBIT and EBIT.
To see what is inside the heading, click on the value and press F9 to open the line items.
After the report execution, include in the layout the corresponding value field of the heading and filter it to delete the empty lines.
In this example, it was opened the heading R45100 for restructuring and its value field is K05:

Include the value field:

Flag the aggregation button to be possible to make subtotals:
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Delete the empty lines:

Then, make a subtotal by "Sender Cost Center" column to find the value per original cost center:
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After that, investigate each cost center in KSB1 transaction to check what the value is related to. In this case, all values are restructuring costs, but some headings have different categories inside of it.
Include it in the file for the corresponding month and category against SAP signal.
After doing that, for all values, proceed with the next step.
After populating everything, make sure you have covered all comparing it to KE30 (same report from step 3.1.2)
The values per heading needs to match in file and the KE30. If not, something was not covered or it was included wrongly in the excel file.
After reviewing it, send the excel file through the applicable tool to the CAM and the team in accounting platform, so they can check and use it on BFC schedule T2-2 and T3-2.
The email subject can be: 7424 & 7651 OOIE File MM.YYYY