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REFX-Increase cash flow in RECN

Former Member
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Dear Experts,

In standard REFX when a contract is activated, cash flow gets populated for a period of 2 years. What is the process to increase the cash flow period?

Regards,

Sudhir Chattapan

Accepted Solutions (1)

Accepted Solutions (1)

narnei
Contributor
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Dear Sudhir,

In REFX Configuration we have the option to increase the cash flow to be generated for no of required years, that too we can maintain at Contract type level.


( This option will be used - if cash management is activated in the co.code, Then this value also specifies the no. of years into the future that cash management & forecast is updated).

Path : RECACUST -->FLEXIBLE REAL ESTATE MANAGEMENT --> CONTRACT --> DEFINE CONTRACT TYPES --> Select your contract type - -> Under conditions node --> you can find a field --> CF Period --> Maintain the number of years required here- accordingly cash flow will be generated at contract level if contract validity is available for those many years.

But its not required / advised to increase no of years simply until and unless you have some requirement on that. Just check it. This may solves your purpose.


Attached image also FYI. Please revert if still your purpose not solved.

Regards,

Subbarao.Narne

Former Member
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Thanks a ton Mr. Norbert & Mr. Subbarao for your inputs.

Regards,

Sudhir Chattapan

Answers (1)

Answers (1)

Former Member
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Hello Sudhir,

you may define the cash flow period by contract type. For each you can seelct the amount of years separately.

But you also may consider that you slow down your system in order SAP does recalculations of the cash flow as soon as you change some conditions.

Hope it was helpful to you.

Regards,

Norbert