1. If you want to make postings with Profit center:
a. Create Cost center.
b. Enter Profit center in Cost center.
c. Add Cost center in SM30 -> TRACV_ADDACCDATA
d. Make a postings to P&L account and find cost center and profit center in document.
1. Create/Edit profit center - tr. KE51, KE52, KE53
2. Create/Edit cost center and assign profit center
3. Assign Cost center to account assignment
4. Create fixed deposit - make sure you have account assignment as you assign in 3.
Make a postings for 1200 flow. Go to postings document with "Cash flow" tab, select P&L account position - you'll find profit center.