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Transaction Code: PCA_BILA
Description: Customizing: Bal. Sheet Accts in PCs
Release: S/4HANA and ECC 6
Program:
Screen: 0
Authorization Object:
Development Package: KE1C
Package Description: Customizing for Profit Center Accounting
Parent Package: APPL
Module/Component: EC-PCA-BS
Description: Basic Settings
Overview: The SAP transaction code PCA_BILA is used to customize the balance sheet accounts in Profit Centers (PCs). It allows users to assign balance sheet accounts to a Profit Center and to define the account assignment model for the Profit Center. Functionality: PCA_BILA enables users to assign balance sheet accounts to a Profit Center and to define the account assignment model for the Profit Center. This allows users to view the balance sheet accounts of a Profit Center in the Balance Sheet Accounts view of the Profit Center Accounting (PCA) application. Step-by-step How to Use: 1. Enter transaction code PCA_BILA in the SAP command field. 2. Select “Create” from the menu bar. 3. Enter the Profit Center ID and select “Continue”. 4. Select the balance sheet accounts that you want to assign to the Profit Center and select “Continue”. 5. Enter the account assignment model for the Profit Center and select “Save”. 6. Select “Back” to return to the main screen of PCA_BILA. 7. Select “Execute” from the menu bar to view all assigned balance sheet accounts for the Profit Center. Other Recommendations: It is recommended that users familiarize themselves with SAP's documentation on PCA_BILA before using it, as it contains detailed information on how to use this transaction code correctly and efficiently. Additionally, users should ensure that they have sufficient authorization before using this transaction code, as it requires certain authorization levels in order to be used properly.