Dear Sonia Wallenius.
If you want to allocate rental cost to actual CCA, you can consider 2-method.
1) Distribution and Object Cash flow
: When Contract is created, RO is assigned in the contract. While adding conditions for RO in
contract, It shows Calculation object and distribution object. By default, it shows RO as the
distribution object. You need to change the distribution object to cost center. you can insert cost
center as distribution object by making following configuration setting.
T-Code RECACUST > Contract > Objects > Permitted object types for contract types.
Here you'll have to assign Cost center object with your contract type (Cost center obj type: KS) so
that when you'll proces contract, you'll have to option to add cost center as the distribution object.
So you can choose distribution object for your conditions as Cost Center.
So after assigning cost center in contract condition. it will show Cost center in line item, and when
you posting this 2-type cash flow by using RERAPP, you must select "Type of Posting Run is
"REDT (Partner + Object posting)"
(Note: Cost center will be updated in Object cash flow document line items, Not in Partner related
cash flow)
2) Transfer Line Items to actual cost center
(Sender : REC --> Receiver : CCTR)
T-Code : KB61 , you can transfer this renal cost (CO object REC : Contract) to CCTR(CO object
Cost center)
or Settlement
when you create this contract , define the settlement rule (Contract Screen : Edit > Co settlement
Rule) and progress the settlement (T-Code : RECOSESNG or RECOSEVAR) at the end of month.
regards,
yeong-chul.jeong