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Transaction Code: S_AC0_52000887
Description: Receivables: Profit Center
Release: S/4HANA and ECC 6
Program:
Screen: 0
Authorization Object:
Development Package: FAGL_REPORTING
Package Description: Reporting: New General Ledger
Parent Package: FINA_GL
Module/Component: FI-GL
Description: General Ledger Accounting
Assignment Overview: S_AC0_52000887 is a SAP transaction code used to assign profit centers to receivables. This transaction code is used to assign a profit center to a customer or vendor account in the SAP system. Functionality: The S_AC0_52000887 transaction code allows users to assign a profit center to a customer or vendor account in the SAP system. This is done by entering the customer or vendor account number and then selecting the appropriate profit center from the list of available profit centers. The assigned profit center will then be used for all transactions related to that customer or vendor account. Step-by-step How to Use: 1. Enter the transaction code S_AC0_52000887 into the command field. 2. Enter the customer or vendor account number into the Account Number field. 3. Select the appropriate profit center from the list of available profit centers. 4. Click “Save” to save the changes. Other Recommendations: It is important to ensure that the correct profit center is assigned to each customer or vendor account in order to ensure accurate financial reporting and analysis. Additionally, it is important to regularly review and update any assigned profit centers as needed in order to ensure accuracy and compliance with company policies and procedures.
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