Symptom
When executing Fiori App ID F0708 ‘Balance Sheet/Income Statement’, all the GL Accounts, (that were properly assigned to Special Nodes "Assets" and "Liabilities and Equity" in the definition of the selected Financial Statement Version), are displayed under ‘Not Assigned’ node.
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Environment
- SAP Fiori for SAP S/4HANA Finance
- SAP S/4HANA
- SAP S/4HANA Finance
Product
Keywords
FIN_FINSTATEMNT, FAC_FINANCIAL_STATEMENT_SRV, FIN_FINSTATEMNT, SAP_SFIN_BC_GL_REPORTING, FSV, OB58, SAP_BR_GL_ACCOUNTANT, trial balance, null, missing , settings, tab Balance Sheet, Unassigned Accounts, Special Nodes, Structure, Check, (Ctrl+F5), Test Results, carry out checks, Accounts Assigned to Wrong Hierarchy Level, incorrectly assigned accounts, Incorrectly Allocated Accounts, Non-Assigned Accounts , KBA , FI-FIO-GL-IS , Reporting Apps , FI-FIO-GL-HIE , Hierarchy Applications in General Ledger , How To
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