Hello Experts,
We are on BPC 10 SP7.
We implemented the retraction BADI according the how to for 7.5, I already made the configurations in BPC and the information is traveling. We are retracting to the Planned information so user can see the planned data in an ECC Report: S_ALR_87013611. This report is to see the planned amount in X currency by Cost Center.
We rung the BADI via Data Manager with the next dimensions:
Activity: C_PRESUP: Activity where the budget is stored.
Category: PLAN
CECO (Cost Center): 1 or 2 Cost Centers.
Account: All base level Accounts.
Source: Manual or DM
STOCK: NA
Period: Testing for 1 month (i.e 2015.01).
Version: VT (Real Version)
(other no relevant dimensions)
The problem we are facing is the next:
Lets say we have ACC 1,2 and 3 and Cost Center A and B.
If i send the information for Acc 1, 2 and 3 for Cost Center A. And then I run again the DM to send Cost Center B, I receive ok the information. The problem starts when I do the next:
Sending Acc 1, 2 and 3 for Cost Center A and B at the SAME time. It seems like add the information and then stores in Acct 1 (Cost Center A + B) for Cost Center A and in Acct 1 for Cost Center B the Same (Cost Center A + B).
i.e
BPC
Cost Center A
Signeddata
Acc 1 4
Acc 2 5
Acc 3 6
Cost Center B
Acc1 7
Acc2 8
Acc3 9
When I send Cost Center A and Cost Center B to ECC I see in the report. S_ALR_87013611
For Cost Center A I see the next:
Acc1 11
Acc2 13
Acc 3 14
Forr Cost Center B I see:
Acc1 11
Acc2 13
Acc 3 14
For Cost Center A+B I See:
Acc1 22
Acc2 26
Acc3 28.
Any idea what could be happening.
Thanks for the post.
Best Regards.