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/GSINS/OLR_AG2PP - Assign Policy Products to Accounting Groups

/GSINS/OLR_AG2PP - Assign Policy Products to Accounting Groups

CL_GUI_FRONTEND_SERVICES - Frontend Services   ROGBILLS - Synchronize billing plans  
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In this IMG activity, you assign your customer accounting groups to policy products. For each policy product, you additionally specify the policy product generation and version numbers.

It enables you to select claims in the Reserve Calculation of Claimed but Unsettled Losses report by specifying the customer accounting groups.

You have:

Product Generation No. Version No. Customer Accounting Group
RUMOTO 1 8 03
RUMOTO 1 12 03
RUMOTO 1 18 03
RUMOTO 1 22 03
IDK 2 1 02
IDP 2 2 02

When you run the Reserve Calculation of Claimed but Unsettled Losses report with customer accounting group 02, claims with the IDK and IDP policy products are selected.

When you run the report with customer accounting group 03, claims with the RUMOTO policy product with versions 8, 12, 18, and 22 are selected.






TXBHW - Original Tax Base Amount in Local Currency   TXBHW - Original Tax Base Amount in Local Currency  
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