Enhancement on fi/co to clear the line items...

hello experts,
i m workiing on Enhancements in fi/co...i m not able to get the actual exit..
How to clear the line items once postings has been done...i.e. once v do postings in f-48 v assign an assignment with special GL a/c as 'A'(one line item generates)....and in Tr.code f-43 once the due as been settled i.e the payment as been done and same assignment has to be given(2nd line item generates) it has to clear with the transaction f.13.but it is not..there is a report program to check fbl1n(tr.code)...once it is cleared it is shown in cleared items else it is shown in open items.....can any one help me out...
i m providing the tech names of the fields...
same program for both the transactions-- sapmf05a screen no for f-48--304 and
f-43 ---110....
Assignment --- BSEG-ZUONR....AMOUNT ---(cluster table) BSEG-WRBTR....
SPECIAL GL A/C RF05A-UMSKZ(structure)
thanks n regards,
vamshi
**highly rewarded**

hi Vamshi,
chekc if on the selection screen of F.13 the special G/L transactions are properly selected. Also check the customizing for automatic clearing (i. e. which fields have to match).
ec

Similar Messages

  • How to clear the line items once posted...

    hello experts,
    i m workiing on Enhancements in fi/co...i m not able to get the actual exit..
    How to clear the line items once postings has been done...i.e. once v do postings in f-48 v assign an assignment with special GL a/c as 'A'(one line item generates)....and in Tr.code f-43 once the due as been settled i.e the payment as been done and same assignment has to be given(2nd line item generates) it has to clear with the transaction f.13.but it is not..there is a report program to check fbl1n(tr.code)...once it is cleared it is shown in cleared items else it is shown in open items.....can any one help me out...
    i m providing the tech names of the fields...
    same program for both the transactions-- sapmf05a screen no for f-48--304 and
    f-43 ---110....
    Assignment --- BSEG-ZUONR....AMOUNT ---(cluster table) BSEG-WRBTR....
    SPECIAL GL A/C RF05A-UMSKZ(structure)
    thanks n regards,
    vamshi

    The prerequisites are:
    1) In the customer master sales area data, shipping tab, there is a field called Order combination. u must tick that.
    2) for the two orders, the sold to party & ship to party must be same
    3) both orders must have created from same plant & shipping points
    4) the line items must have same loading grp.
    5) the both orders sheduline line date must be same.
    transaction code for the same is VL04.
    enter the required data and select the order nos to be processed.
    Do reward points if it is useful

  • How to clear the line items...

    hello friends,
    I am not able to clear line items with F.13 transaction for special G/L Account..i am inputing the values with the Transactions F-48 and F-43(In each transaction v have assigned the same assignment (BSIK-ZUONR)) line items has to be cleared based on Assignment....we can view the details in Tr.code-FBL1N.
    Can any one help me...plzzz
    vamshi

    Hi PK,
    1. Should we maintain OIM for all Excise G/Ls (BED, ECess, SHECess)?
    - Please DO NOT maintain OIM on BED, ECESS and HECESS, only to be maintained for Cenvat Clearing Account. Also note that clearing of Cenvat Clearing is not easy, as in standard SAP, the assignment field is not updated with the same information for the Dr. and cr. line items of Cenvat Clearing Account. You need to use an exit in Substitution for it to populate the P.O. no. and line item at the time of MIRO.
    2. How to clear the BED Excise GLs which is with OIM in our system, it is thru F.13 only?
    You can use F.13 only if the entries are matching not otherwise, else clear all of them manually if you have good control of your account balances.
    3. Can we activate or deactivate OIM any point of time, I mean can it be activated in case the G/L balance amount is not ZERO?
    OIM activation for a GL - Refer Note No.1356457.
    OIM Deactivation :  You can deactivate OIM after making the balance Zero on that Account and by changing the Message No. FH 190 to warning in OBA5.
    4. What is the use of T Code J2IUN, I have gone thru the SDN links, but I am not able to execute the screen. What parameter should we select while executing J2IUN, when we use Pay cenvat from ser tax cr and Pay ser tax from cenvat cr.
    J2IUN is to utllize Excise Duty. The liability of Excise duty is utilized from Excise balances of BED, PLA , Service tax etc.. as per business requirements.
    Hope this helps you.
    Regards,
    SAPFICO

  • Clear the line items more than 999 through F-28

    Hi,
    I have one issue,
    senario is like below:
    Step1:
    F110 - Create the payment order for customer. if customer have more than 999 line items also payment order is updating
    Step2:
    Clear the invoices with referece to Payment order in F-28
    here while clearing the customer line items using payment order referece if line items is more than 999 for customer it is not allowing to clear. error message is line items more than 999.
    I have checked with tecnical people can we split the clearing if more than 999 line items. as per them is if it is not referece to payment order it is possible to write some code based on document type or posting date they can split.
    here it is not possible. I tried with summrizaiton senario as specified in sap notes if line items more than 999. it is not also working.
    i have one more question also while running f110 can we restrect the payment order to geneare upto 999 line items if it exceeds it should create other payment order of remaing line items so on.. is it possible?
    can any body give a light to resove this issue.
    BR:
    Venkat.Gurram

    Hi,
    I have already checked that link .
    I have implemented the note: 36353 for summrizaiton.
    for payment order we can't do sumarization due to we can't the payment order while cleargin.
    give me some other idea
    BR:
    Venkat.Gurram

  • Not cleared two line items from the GR/IR clearing

    For one of the items in PO following transactions are done...
            Mtype   Date            Quantity             Amount
    GR   101    06/14/09        1 02.001            887.85
    GR   102    06/14/09        102.001-            887.85
    GR   101    06/14/09        101.999             887.85
    GR   101    07/22/09        102.001             923.61
    IR-L            06/14/09        102.001            887.85
    IR-L            06/14/09        101.999            887.85
    FBL3N: out put
    Open items
    Doc Type  Date                           Amount
    WE           06/14/2009 86            887.85
    WE           07/22/2009 96            923.61-
    Cleared items:
    Doc Type  Date                           Amount                                                                     
    WE            06/14/2009  96              887.85-
    Z9             06/09/2009  86              887.85
    WE            06/14/2009  96              887.85-
    Z9             06/09/2009  86              887.85
    System has not cleared two line items from the GR/IR clearing for this line item in PO.
    What could be the reason these items are not cleared and now how these line
    items can be cleared?

    Hi,
    When the Dr and Cr amount are equal to zero system will automatically clear the line items in F.13.  Here the open items are appearing with different amounts due to that system not able to clear.
    By passing some manual JV or something you done to make Dr and Cr equal to zero then you clear through F-03(untick post automatically for this clearing in T.cdoe FS00)
    Regards,
    Sankar

  • Reset Cleared Doc - Balance of the line item is not zero" Message no. F5136

    I have this error : Balance of the line item is not zero" Message no. F5136
    This error arise when we tried to reset cleared document dated June 6,2007 during data migration from Legacy system to SAP.
    We wanted to reset this cleared document because it was wrong executed (cleared) way back 2007.
    The entries are:
    Debit to GL (B/S) --> 3,758.48
    Credit (1100039-Vendor) with special GL (408319) --> 3,758.48
    =====================================================
    For us to correct the clearing, we need to reset first the cleared document  via FBRA, however, this error arise saying "Balance of the line item is not zero" with Message no. F5136.
    I read several posted issue here, however, it doesn't resolve my problem.
    Hoping to hear from your inputs on this problem.
    Regards,
    macalonge

    Dear:
                    SAP  Note 400530 - FBRA - F5136: Balance of line items not zero
                    describes your issue as
    Summary
    Symptom
    A payment using a payment card fails, in other words, the payment is reversed using Transaction FBRC where the customer or vendor item is reopened.It is not possible to reset a payment document posted again for the open customer or vendor item by using Transaction FBRA, "Reset Cleared Items" and it responds with the error message "Balance of the line items is not zero".
    Other terms
    Error message F5136, FBRA, FBRC, payment cards
    Solution
    A solution is available in the Support Package for Release 4.0B and 4.6C. An advance correction is possible. The solution consists of a repair report, so that the current payment document can be reset by means of 'Reset Cleared Items', and of a correction.
    1. Repair-report ZREPAIR_BSEGC_FBRA:Create it temporarily as a test report using Transaction SE38. First the current payment/clearing document must be cleaned up of payment card data by means of the repair-report. Afterwards you can reset the payment document by means of 'Reset Cleared Items'. The report takes the current payment document as a parameter. In this case only changes are made to the database if the option "DO_UPD" is set.
    2. Advance correction:Supplement the interface for function module CREDIT_CARD_POST_REFUSAL with table parameter T_BSEG with reference type BSEG. The following describes the procedure in more detail.
    a) Transaction SE37: Enter function module CREDIT_CARD_POST_REFUSAL and choose "Change".
    b) On the "Tables" tab page, create parameter T_BSEG with reference to structure BSEG.
    c) Save and activate the function module.
    3. After you implemented the correction or the R/3 Support Packages valid for this note, read Note 450081 to avoid the unwanted deletion of payment card data.
    Hope it will help
    Regards

  • How to submit  the values in the ztable to the line items

    Hi everybody
    Please give me the code to my task
      I am having a Z Table with one field and with some certain records  and  i am having an unique value .
    This unique value should be submitted in all  the line items which are having the
    Z table records.
    Please help me and thanks in advance

    Please provide the details of your requirement. Its not very clear.

  • Problem in fetching the code for the line item

    Hi,
    I am working on a report in which to display the values corresponding to the line item of a PO.
    For, ex, if there are 3 line items 10,140,150 and their condition values such zing,zgrd,zbrd are the condition types consist of different values depending on the line item i.e. 10,140,150.
    My problem is when i execute the code the data of 1st line item is correctly fetched but the rest 2 line item data is pasted as it is. only the main pricre changes and the code for zing,zbrd,zgrd remains same as it is in the first line item 10.
    plzz proivde me guide lines how to solve this problem.
    Here's d code:-
    DATA : vspl LIKE konv-kbetr.
    DATA : vspl1 LIKE konv-kbetr.
    DATA : vkwert LIKE konv-kwert.
    DATA: VSPL2 LIKE KONV-kbetr.    "ZING COST
    DATA: VSPL3 LIKE KONV-kbetr.    "ZGRD COST
    DATA: VSPL4 LIKE KONV-kbetr.    "ZBDL COST
    LOOP AT item.
        SELECT kbetr FROM konv INTO item-rate  WHERE knumv = header-knumv AND kposn = item-ebelp
         AND ( kschl = 'ZP00' OR kschl = 'P001' OR kschl = 'PBXX' OR kschl = 'P000' OR kschl = 'PB00' OR kschl = 'ZING' OR kschl = 'ZBRD' OR kschl = 'ZGRD').
          MODIFY item.
       ENDSELECT.
      ENDLOOP.
      LOOP AT item.
        SELECT kwert FROM konv INTO vkwert  WHERE knumv = header-knumv AND kposn = item-ebelp
        AND ( kschl = 'ZP00' OR kschl = 'P001' OR kschl = 'PBXX' OR kschl = 'P000' OR kschl = 'PB00' OR kschl = 'ZING' OR kschl = 'ZBRD' OR kschl = 'ZGRD').
        ENDSELECT.
      ENDLOOP.
    CLEAR : vspl , vspl1 , vspl2 , vspl3 , vspl4.
      LOOP AT item.
        SELECT kbetr FROM konv INTO vspl  WHERE knumv = header-knumv AND kposn = item-ebelp  
       AND  kschl = 'ZCOM'.
        ENDSELECT.
        SELECT kbetr FROM konv INTO vspl1 WHERE knumv = header-knumv AND kposn = item-ebelp
        AND  kschl = 'ZBR1'.
        ENDSELECT.
    *******************Begin - new code added on 14.01.2009******************
        SELECT kbetr FROM konv INTO vspl2 WHERE knumv = header-knumv AND kposn = item-ebelp
        AND  kschl = 'ZING'.
        ENDSELECT.
       SELECT kbetr FROM konv INTO vspl3 WHERE knumv = header-knumv AND kposn = item-ebelp
       AND  kschl = 'ZGRD'.
        ENDSELECT.
       SELECT kbetr FROM konv INTO vspl4 WHERE knumv = header-knumv AND kposn = item-ebelp
       AND  kschl = 'ZBRL'.
       ENDSELECT.
    *******************End - new code added on 14.01.2009******************
      ENDLOOP.
      LOOP AT item.
        item-rate  = item-rate + vspl + vspl1.
    *******************Begin - new code added on 14.01.2009******************
        item-rate1 = item-rate1 + vspl2.
        item-rate2 = item-rate2 + vspl3.
        item-rate3 = item-rate3 + vspl4.
    ********************End - new code added on 14.01.2009*******************
        MODIFY item INDEX sy-tabix TRANSPORTING rate.
    *******************Begin -11`` new code added on 14.01.2009******************
        MODIFY item INDEX sy-tabix TRANSPORTING rate1.
        MODIFY item INDEX sy-tabix TRANSPORTING rate2.
        MODIFY item INDEX sy-tabix TRANSPORTING rate3.
    *********************End - new code added on 14.01.2009******************
      ENDLOOP.
    PLZ PROIVDE ME GUIDLINES HOW TO SOLVE THIS PROBLEM .
    Edited by: ricx .s on Jan 19, 2009 10:16 AM
    Edited by: Vijay Babu Dudla on Jan 19, 2009 5:22 AM

    Hello,
    Why are you looping at the same internal table so many times, you could probably perform everything within one loop instead.
    DATA : vspl LIKE konv-kbetr.
    DATA : vspl1 LIKE konv-kbetr.
    DATA : vkwert LIKE konv-kwert.
    DATA: VSPL2 LIKE KONV-kbetr. "ZING COST
    DATA: VSPL3 LIKE KONV-kbetr. "ZGRD COST
    DATA: VSPL4 LIKE KONV-kbetr. "ZBDL COST
    field-symbols <fs>.
    LOOP AT item assigning <fs>.
    SELECT kbetr FROM konv INTO <fs>-rate WHERE knumv = header-knumv AND kposn = item-ebelp
    AND ( kschl = 'ZP00' OR kschl = 'P001' OR kschl = 'PBXX' OR kschl = 'P000' OR kschl = 'PB00' OR kschl = 'ZING' OR kschl = 'ZBRD' OR kschl = 'ZGRD').
    MODIFY item.
    ENDSELECT.
    SELECT kwert FROM konv INTO vkwert WHERE knumv = header-knumv AND kposn = item-ebelp
    AND ( kschl = 'ZP00' OR kschl = 'P001' OR kschl = 'PBXX' OR kschl = 'P000' OR kschl = 'PB00' OR kschl = 'ZING' OR kschl = 'ZBRD' OR kschl = 'ZGRD').
    ENDSELECT.
    ENDLOOP.
    CLEAR : vspl , vspl1 , vspl2 , vspl3 , vspl4.
    SELECT kbetr FROM konv INTO vspl WHERE knumv = header-knumv AND kposn = item-ebelp
    AND kschl = 'ZCOM'.
    ENDSELECT.
    SELECT kbetr FROM konv INTO vspl1 WHERE knumv = header-knumv AND kposn = item-ebelp
    AND kschl = 'ZBR1'.
    ENDSELECT.
    *******************Begin - new code added on 14.01.2009******************
    SELECT kbetr FROM konv INTO vspl2 WHERE knumv = header-knumv AND kposn = item-ebelp
    AND kschl = 'ZING'.
    ENDSELECT.
    SELECT kbetr FROM konv INTO vspl3 WHERE knumv = header-knumv AND kposn = item-ebelp
    AND kschl = 'ZGRD'.
    ENDSELECT.
    SELECT kbetr FROM konv INTO vspl4 WHERE knumv = header-knumv AND kposn = item-ebelp
    AND kschl = 'ZBRL'.
    ENDSELECT.
    *******************End - new code added on 14.01.2009******************
    <fs>-rate = <fs>-rate + vspl + vspl1.
    *******************Begin - new code added on 14.01.2009******************
    <fs>-rate1 = item-rate1 + vspl2.
    <fs>-rate2 = item-rate2 + vspl3.
    <fs>-rate3 = item-rate3 + vspl4.
    ENDLOOP.
    Also, use field-symbols and use loop at itab assigning addition so that you can directly change the contents of the table without using modify statment.
    regards,
    Advait

  • Issue while clearing open line items

    Hi team,
    While clearing open line items for vendors, customers, and GL's system is posting new line items. It should post without new line items. Example
    Customer is having debit and credit line items with same amount i am going to clearing manually thru f-32 here sytem is posting new document with new line items. It should post without line items. I have selected Negetive postings permited check box in OBY6. I have not selected check box in document types. Do i need to change in document type also or i missed anything in settings pls help me to overcome this issue.
    Regards,
    Nagaraju.

    Dear:
                        The option  to create a clearing document WITH or WITHOUT line items depend on the fields of the structure KONTAB_1ST if all the fields are equal in the documents the clearing document will be generated and posted without line items
    Please check OSS note 95077. Check the settings in
    IMG >Financial Accounting (New) >General Ledger Accounting (New) >
    Business Transactions >Document Splitting >Activate Document Splitting
    Check the following link for the same
    F.13 clearing Document contains Lineitems
    Regards

  • Need a exit while deleting the line item in PO

    Hi to all experts ,
    My requirement is to find an exit or badi when the user deletes a line item and click on save the line item should be captured,. Is there any badi or exit which can do it .

    Hi,
    Try these user exits.
    M06B0004  Number range and document number
    M06B0005  Changes to comm. structure for overall release of req
    M06E0004  Changes to communication structure for release purch.
    M06E0005  Role determination for release of purchasing document
    ME590001  Grouping of requsitions for PO split in ME59
    MEETA001  Define schedule line type (backlog, immed. req., prev
    MEFLD004  Determine earliest delivery date f. check w. GR (only
    MELAB001  Gen. forecast delivery schedules: Transfer schedule i
    MEQUERY1  Enhancement to Document Overview ME21N/ME51N
    MEVME001  WE default quantity calc. and over/ underdelivery tol
    MM06E001  User exits for EDI inbound and outbound purchasing do
    MM06E003  Number range and document number
    MM06E004  Control import data screens in purchase order
    MM06E005  Customer fields in purchasing document
    MM06E007  Change document for requisitions upon conversion into
    MM06E008  Monitoring of contr. target value in case of release
    MM06E009  Relevant texts for "Texts exist" indicator
    MM06E010  Field selection for vendor address
    MMAL0001  ALE source list distribution: Outbound processing
    MMAL0002  ALE source list distribution: Inbound processing
    MMAL0003  ALE purcasing info record distribution: Outbound proc
    MMAL0004  ALE purchasing info record distribution: Inbound proc
    MMDA0001  Default delivery addresses
    MMFAB001  User exit for generation of release order
    MRFLB001
    Regards,
    Vijay

  • To split the payment document value as per the line items of the P O

    To split the payment document value as per the line items of the purchase order in the period of payment, so that the payment  amounts are measured against the Capex order assigned as account assignment in the purchase order.(Account assignment tab for the individual line item in the PO.
    Example:
    Inputs:
    Purchase Order 3100012345, line item 10 value 6000 line item 20 value 4000
    VAT @10% , account assignment for PO line item 10(Internal Order no 10001) & line item 20  Internal  Order 10002) G/ R no 5105105101 for Rs10,000.
    The I/R doc 501501501 appears as follows: (MIRO)
    Line 10: Value       Rs   6,000
            20: Value      Rs   4,000
    VAT                         Rs      600
                           Rs      400
    Total                       Rs11, 000
    Withholding Tax Rs 1,100
    The accounting entry for MIRO happens as follows: doc 2102102101
    GR/IR Dr      Rs 10,000
    VAT      Dr     Rs   1.000
    Vendor    Cr           Rs9, 900
    TDS due   Cr          Rs1, 100
    The business expects the payment report as follows:payment  doc 2001200101
    PO     Line item       Internal Order MIRO         Invoice                       Payment       Payment period  Amount
                                                                                    A/c doc number        doc number          
    3400012345     10     10001           5605605601  2102102101           2001200101       001/2009           5940
    3400012345     20     10002     5605605601     2102102101           2001200101        001/2009          3960
    Currently we are able to show the amounts as Rs 6000 for line item 10 & Rs 4000 for line item 20.
    The problems faced.
    1.     The VAT line items are auto created, hence the reference of purchase order number and line item are not available. So the VAT portion which is part of payment liability does not get reflected against the PO.(not able to show the VAT portion , when we try to show the payment amount per PO line item.)
    2.     The withholding tax is also a problem; WHT is not calculated and assigned per line item. It is calculated on the total amount of basic and VAT. Because of these reasons, the payment could not be shown properly according to the line item of the purchase order.
    3.     When part payment is made, against invoices, there is no provision to assign a payment amount against a particular line item. Further, when final payment is made in different period, the clearing document will get generated. That adds to the complexity of differentiating full payments and part payments final clearing.
    4.     When residual payment is made, a new line item is created. Here assignment of Purchase order line item against payment for residual items become a problem.
    5.     Many a times advance payments are made. Later the invoice is created and balance payment is made. In those situations, the clearing document creates one more line item and makes payment for the balance item. This adds complexity in bringing balance payment alone and to split as per the purchase order line item. The clearing document number system is multi dimensional. It creates two line items for the same item (one at the time of advance and another the time of clearing.)
    6.     When full payment is made, the payment document number and clearing document numbers are same. In cases of subsequent or partial or residual payment, the document numbers are different. Because of this, the part payment amounts are shown in the period, where the final payment and clearing are made.
    Please suggest a way to split the payment amount in the exact posting period with all the considerations given above.
    Regards
    Sundararajan
    Edited by: Sundarajan Venkatachari on Sep 30, 2009 11:04 AM

    Hi,
    See Note 301077 - User exits for the interface to accounting, although I think that there isn't this kind of option. Note 429117 - Collective note advice note SD-FI interface will be useful too.
    I think that SAP Note 1085921 - Document split perhaps will help you
    Regards
    Eduardo

  • How to make the line items of sales order cannot be deleted.

    Hi All,
    Is there any Enhancement spots or user-exits which make the line items of sales order cannot be deleted if item category is 'TAN'.
    Thanks in Advance,
    Sudhakar Reddy .A

    Hi All,
    If you doesn't want to delete sales order line items then we have write in the Include Program which has mentioned below and in the form .....endform.
    Program Name :  Include MV45AFZB
    _Example:_
    form userexit_check_xvbap_for_delet using us_error
                                              us_exit.
    IF .......
      US_EXIT = CHARX.
    ENDIF.
    endform.

  • Profit Center is missing in the line item 002 for Customer Payment

    Dear Friends,
    We are having one issue with Customer incoming payment. We are following the Business area concept. Now the customer is from the different business area and paying at Ho. HO has different Business area. So while processing the incoiming payment i have to enter different business ares for both the customer and Bank line item. There is no profit center field in the customer line tiem. When we are trying to post it, system is giving error message "Balancing field Profit center not there in line item 002".
    If i process the same scenario with same business area for both the line item then system is picking th eprofit center from the bank line item.
    Is there any possibility i can map this scenarion in the Document splitting functionality?? or else how can i process this scenario??
    Regards,
    Deva

    Hi Lakshmipathi,
    Yes the Document split has been activated. This issue is the specific one. We have different C&F location. Sales happens accross India. Hence we have created the Business area concept for each location to get the location wise balance sheet. I have also activated the zero balancing for Profit center and also Business area so that i can derive the Location wise Balance sheet.
    Now the sales invoice has been processed from C&F Location. Customer deposit the Cheque directly to the Head office Bank and not at the C&F Location bank. I don't want to clear the existing open item because 50% of the cheque gets bounced. So i am booking the incoming payment without clearing the open item.
    While processing the incoming payment user is entering the C&F location business area in the customer line item (Credit line item) and Head office business area for the Bank line item as the bank is at the Head office so that we can arrive the Balance sheet.
    Now system is not deriving the profit center for the customer line item even though the business area wise zero balance has been activated. Recon account field status group has market as optional for profit center but in F-28 i am not able to get the profit center field (Because it is balance sheet item).
    The Document type already been configure for Document split and the Recon account also categorised as Customer inthe doc splitting. I don't have any problem with document split other than this issue.
    For this issue anything can be done in the document split??
    Regards,
    Devendran

  • Splitting the Line items in Transaction LB02........

    Hi Frnds,
                I would like to know how to proceed further....afetr entering into standard transaction LB02, the user wants to split the line items depending on the quantity what he has enterd in the custom screen which i developed.
               Here am able to get the data in background necessary to goto standard transaction. After entering into the standard transaction how to split the line items.
    Functional Requirement
    In the screen, which i developed...
    The user enters material no...
    -->Matl qty  & matl desc will be displayed....
    -->Then user enters the bin no.   and the qty he wants to keep in that particular bin.
    -->Here depending on the qty the user has entered it has to reflect in the Tcode LB02.
    -->For example, total qty displayed in the custom screen after entering the matl no. is 20  From this qunatity, the user enters the quantity as 10 which is not GE to that qty (20)  which we got from database.
    -->Now this has to be replicated in the standard transaction in such a way that..the line items should also split according to the qty the user enters.......it may be upto n no. of  line items.....and the bin no. should also be entered into the stnd Tcode LB02 at the unloading point field......
    Thanks & Regards
    Message was edited by:
            Badri Thiriveedhi

    Managed to find an Enhancement Point in the Standard SAP Code and hence the Issue is resolved.
    Thanks and Regards,
    Venkat Phani Prasad Konduri

  • Balance of the line items is not zero

    Hi All,
    We are trying to reverse the clearing document t.code FBRA but could not reverse it and getting below mentioned error.
    Balance of the line items is not zero
    Message no. F5136
    We have implemented the S note 1914004 but the results are the same.
    Thanks
    Ramanjaneyulu

    Hi Ramanjaneyulu,
    If you reset a clearing with transaction FBRA, a check of zero balance
    occurs first in all local currencies. With a balance that is not equal
    to zero the system issues message F5136 and it is not possible to reset
    the clearing.
    Regarding your issue itself, based on my analysis of the information
    provided and from previous experience with error message F5136 when
    running FBRA please let me highlight some of the most common reasons
    for this error to be raised:
    - GL account is being changed by any substitution: HKONT is expressly
    forbidden for substitution (check BXCLUDE from table GB01 by standard
    the field is flagged) if this field is being changed by a substitution
    or user exit this is most likely the root cause for error message
    F5136, however as this is considered a modification it falls of the
    product support scope.
    - Documents involved have being archived: Since the related documents
    are archived, the balance of document is not zero and error message
    F5136 appears. It is not possible to reverse
    the clearing document because system cannot find the documents that
    were cleared to change their status to open.
    - Any of the documents contain field BSEG-RFZEI <> 000: This kind of
    document cannot be reversed via FBRA. Please refer to note
    1301679 this note contains valuable information regarding
    this system behavior.
    I hope this could be helpful. Thank you.
    BR,
    Jimmy

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