Adding a field to line item display in FBL3
Hello,
In trx "FBL3" I give asset G/l account, I would like to see "asset number", along with "Document No, Posting Keys, Posted date".I went to "change Lay out" added asset field. But still it showing only a column with heading asset but no values in it. Is there anything to be done in
trx "O7Z3", "O7R3" and then in "O7V2" assign FBL3 to the newly defined line layout and total variant. Is this correct way of proceeding or anything else needs to be done.
Can can any one suggest what needs to be done.
Thanks in advance,
Regards,
Anil
hi Anil,
i think that's not possible with fbl3.
the asset no. is only assigned to the reconciliation accounts by posting purchase/retirement/depr.
and not on other accounts - the reconciliation account
are normally not displayed with fbl3 - therefore are transactions from FI-AA (AW01N)
Andreas
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YES!!!!!!!!!!!!!!!!
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Edited by: VIVEK KAPOOR on Dec 11, 2009 4:11 PMHi ,
Actually when i do FS10N or FBL3N to see G/L Account Line Item Display i am able to see the display of the G/L Account but there is a coloumn under Assignment and it shows no entries i.e. Assignment coloumn is blank.What should i do so that i get entries for assignment field because there are entries made in Assignment field.Table is BSEG and the field is ZUONR.How do i get these entries in the G/L Account Line item display for G/L Account using FS10N ?
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