SAP Program RPLPFD30FIIF - FI Interface: Display Assignment of Value Types to G/L Accounts

Purpose
Report FI Interface: Display Assignment of Value Types to G/LAccounts (RPLPFD30FIIF), enables you to display the assignment ofvalue types to G/L accounts. The report performs this check directly inthe FI system.
The linking of value types to G/L accounts does not occur directly, butis performed in several steps using fundsmodifiers, accounts modifiers, andsymbolic accounts.
You can use this report to do the following:

  • Check Customizing settings after the system has been set up

  • Determine errors in productive operation of the system

  • Perform general checks
  • Prerequisites
    You must make the following Customizing settings in the ImplementationGuide (IMG) for Pension Fund, before you can run the report:

    • You must have assigned value types to G/L accounts in Customizing,
    • under Posting to Accounting.
      • To assign symbolic accounts to value types, you must have performed
      • processing step Activities in the HR System -> PostingCharacteristics of Value Types.
        • G/L accounts must be assigned to symbolic accounts (-> Activities
        • in the RW System).

          Selection
          You can restrict the number of value types that are to be reportedusing the following selection criteria:

          • Personnel country grouping

          • Sub-application

          • PC value type

          • Funds modifier

          • Accounts modifier

          • Company code

          • You must enter a key date when reporting should take place because theposting characteristics of the value types , that is the assignment ofvalue types to G/L accounts, are time-dependent.

            Output
            You can display the reporting results in the form of a tree or avariable list (table). If you display the results as a list, you canuse all SAP List Viewer functions. You can save display variantsor use sorting or filter options, for example.