Issue with chinese description for Customer master
Dear All,
In customer master there are few records with chinese characters. Now interesting thing is that sort field, street city etc are showning correct values in chinese characters but for medium description it is showing "#" .
Why it is not showing chinese characters in only medium description field?
Regards,
SS
Hi,
Please check the language for the medium descritption field in the infoObject master data for the particular entry.
Are there multiple languages maintained? what are the medium description texts against those?
This can help to isolate the issue.
Hope this helps!
Regards,
Saurabh
Similar Messages
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Issue with Chinese language in DI
Hi all,
My source is AS400 with CCSID=935, my target is Oracle with AL16UTF16. I migrate data from source (in Chinese language) to target by DI version 3.0. I used Client Access ODBC driver to connect to AS400.
It run well. But data is not correct, it can't show in Web Intelligence report, they are only square symbol. It's just got issue with Chinese language, for English, it' fine.
I also tried to set code page of source to shift_jis and target to utf8. But it still got the same result.
I don't know anything I need to set. Please help me to fix this.
Thanks so much,
AnhYes. I changed the datastore to default.
I used both method: ODBC driver and IBM iseries access to connect to AS400. ODBC is the same in BODI. In universe, I used default, I can see data. But in BODI, I can't.
My machine is BOE client software. But I created universe in my machine, export it. And then from my machine, I created WI report, also export to CMS. And then I view it in ViewInfo. Everything runs well for both connections.
But in BODI, I use it to migrate data to Oracle. I can't see data in DataView of Designer too. Although, I changed locale, set codepage to default as you told, it didn't work.
Any suggestions please.
Anh
Edited by: Anh Phan on Mar 30, 2010 4:45 AM -
How will i configure partner determination for customer master
how will i configure partner determination for customer master data.
hi
Check this
BUSINESS PARTNERS AND PARTNER DETERMINATION
In the partner determination procedure you can determine whether partner functions can or should occur in a partner object (Customer Master, Sales Document, Item Category etc.) For each object, in which partner function can be created, you can define partner procedures. This also means that
For Customer Master
For Sales Documents
For Sales Documents and Billing Documents: for items
We can define our partner determination procedure for each of these levels as shown below. In Blue are given the ones wherein the Partner Procedures are assigned to the Partner Objects
Customer Master Account Group
Sales Document Header Sales Document Type
Sales document Item Item Category in sales
Delivery Delivery Type
Billing Header Billing Type
Billing Item Billing Type
Sales Activity Sales Activity type
By assigning a procedure you determine for which account groups (for the customer master), which sales document types (for sales documents) and for which item categories this procedure would be valid.
In the partner determination procedure you can determine for each partner function
whether the partner function is an obligatory partner function
whether the partner function can be changed in the document
BUSINESS PARTNER FUNCTION
By assigning a business partner function to a partner you can determine which functions the partner fulfils in the business process. Partner Functions are classified using partner type. The partner type represents the roles played by the business partner within the business transaction.
Following partner functions exist in the standard process of Sales and Distribution
Partner Type Customer
Sold-to Party, Ship-to Party, Bill-to Party, Payer and Sold-to Party authorized to release against a contract. You can define the sold-to party authorized to release against a contract in the partner screen of a contract. This partner may only schedule orders with reference to this contract, even when he is not the sold-to party authorized against a contract.
Partner Type Contact Person
Contact persons are natural persons whom you must contact at the customers for business processing (e.g. purchasers) Contact person can be created directly in customer master record.
Partner Type Vendor
A forwarding agent is an example of a business partner on the credit side, who is included in a sales process. If you commission a particular forwarding agent for deliveries to a specific customer, you can define the forwarding agent in the customer master record as the partner.
The other possible partner functions on the credit side in the sale process are interpreters, auditors etc. The forwarding agent is an agent who performs transportation services. This includes organizing the shipment, delivery and receipt of the goods, arranging the carrier services and handling the customs issues.
Partner Type Personnel
Employee Responsible
Sales Personnel
You can enter an employee from your firm as the person responsible:
In the Customer Master If the employee is normally responsible for processing transactions with this customer.
In the Sales Document If the employee is responsible for processing the Business Transaction.
STEP WISE PROCESS FOR PARTNER DETERMINATION PROCEDURE
Sales and Distribution->Basic Functions->Partner Determination->set Up Partner Determination->Set up Partner Determination for Customer Master.
First go to OVT0 create customer account groups. Here you make new entries, click whether it is a one time customer, description. Also you can do the field selection here for general data, co. code data and sales area data.
Now go to IMG logistics general business partner customers control define & assign customer number ranges define the number. Here you range that you want and assign it to your customer account group.
Now go to VOPA here the selection will be on customer master, click on partner procedures, create the partner determination procedure. The following steps need to be done in partner determination area
Assign partner function to account group i.e SP,SH, BP, PY to account group (debit side ). Sales and Distribution->Basic Functions->Partner Determination->Assign Partner Functions on the debit side to account Groups.
Then create Partner Determination Procedure.
Assign the Partner Determination Procedure to Partner Function.
Then finally assign the Partner Determination Procedure to acc group.
Important Points in Business Partners and Partner Determination Procedure
Partner relationship maintained/defined in the customer master is proposed automatically in the document header when you create a sales document.
In customizing we can decide whether several partners can be assigned to one partner function in the customer master.
In sales documents, the system is configured so that only one partner can be assigned to each partner function.
We can define partners at item level in the sales documents.
Business Partners that are defined at the header level however cannot be changed at the item level.
You can prohibit anyone from changing a partner that has already been entered in a sales document.
It is also possible to manually change or enter the address of a partner, such as the Ship-to Party. This change does not affect the master record. -
Using RFBIDE00 for customer master upload
Hi all,
Does any one used batch input program RFBIDE00 for Customer master Upload data in to SAP.
Could you please explain how to use it... its urgent, appreciare if your early reply..
I am planing to use it through Run the program from SE38..
Thanks..hi good sap1,
Batch Input - Customer Master Data (RFBIDE00)
Description
All new fields for customer master records can be transferred to the R/3 System also with the report RFBIDE00.
Furthermore, the batch input can be carried out with the existing record definitions. By means of the end of record marker, the report recognizes which record structures do not yet correspond to the extended record layout and initializes the new fields with NODATA.
It is pointed out in the batch log, which structures are yet to be maintained. This should be done as soon as possible to be able to use the new functions or fields
Introduction
It is now possible to pass the information concerning tax categories and withholding types (for the extended withholding functionality) and the special Argentine fields via the standard batch-input program. Please look at the standard documentation if you need further information on the program.
Additional Fields
The additional fields have been added to the structures BKNA1 (general information) and BKNB1 (company code data). Please use transaction SE12 to see the fields of the structures.
Enrichments for Tax Categories
The following table shows how to fill the interface table BKNAT to pass the tax category data:
Field
Description
Value
Input
STYPE
Record type
2
obligatory
TBNAM
Table name
KNAT
obligatory
XDELE
Flag: Delete entry
optional
TAXGR
Tax category
obligatory
Enrichments for Extended Withholding Data
The following description shows how to fill the interface table BKNBW to pass the tax category data:
Field
Description
Value
Input
STYPE
Record type
2
obligatory
TBNAM
Table name
KNBW
obligatory
XDELE
Flag: Delete entry
optional
WITHT
Withholding type
obligatory
thanks
karthik
reward me points if usefull -
Can anyone give the steps to create a lsmw for Customer master(XD01) using recording method or Standard/Direct input method
thanks,
Dinesh Enter T-code LSMW
Enter project name (LSMW-DEMO)
Click on create entry button (shift+F1)
Enter the description
Press enter button
Enter sub project name & description
Press enter button
Enter object & object name
Press enter button
Click on continue (F8) button
System displays 21 steps
(Focus on the 1st step)
Step (1): - Maintain object attributes
Click on object attributes
Click on execute button (ctrl +F8)
Click on display change (ctrl+F1)
Click on batch INPUT recording (radio button)
Click on go to and select recordings overview
Click on u201Ccreate recordingu201Dbutton. (Ctrl+F1)
Enter name (RECCUST) of recording & description (RECORDING FOR CUSTOMER)
Enter owner (SAPUSER)
Press enter button
Enter the transaction code (VDOL)& press enter button
Create CMR using the general process
System displays the newly created customer number
Click on default ALL
System displays field names for which date is maintained
Note these fields names in a text tile
Click on save button
Click on back button
Click on back button
Enter the recording name in recoding field ex RECCUST
Press enter button
Click on save button
Click on back button
Observation: -
1) The cursor position is automatically changed to second step. After every step completion the cursor position is changed to succeeding step.
2) Steps are reduced to 14
Step (2) :- Maintain source structures
Click on execute button
Click on display change button
Click on create a structure button
Enter source structure name 2 description,& 2 press enter button
Click on save button
Click on back button
Step(3) :- Maintain source fields
Click on execute button
Click on display change button
(note)try to maintain the source field names same as target fields names
Click on the source structure
Click on copy fields button
Select upload (text separated with tabs) & press enter button
Click on save button
Click on back button
Step (4) :- Maintain structure relations
Click on execute button
Click on display change button
Observations :-source structure & target structure relations is already maintained
Click on save button
Click on back button
Step (5) :- Maintain field mapping 2 convention rules
Click on execute button
Click on display change button
Select the first field (under fields)
Click on u201Cextrasu201D & select u201Cauto field mappingu201D
Click on ok button(continue button)
Click on accept proposal
Continue clicking on accept proposal till all the fields are mapped
System displays auto field mapping complete
Press enter button
Click on save button
Click on back button
Step(6) :- Maintain fixed values transudation user defined routines
This step is optional
We may use this when creation changes are to be made like dollar to euro etc.
Step(7) :- Specify files
Select specify files
Click on enecute button
Click on display change button
Click on legacy data
Click on u201CAdd entryu201D button
Specify the file name (customer records file path)
Specify the name (CMR RECORDS)
Click on tabulator
Press enter button
Click on save button
Click on back button
Step(8) :-Assign files
Click on execute button
Click on display change button
Click on save button
Click on back button
Step(9):-import data
Click on execute button
Click on execute button again
Observations:-transactions read & transactions written are same & and equal to the no. of records maintained in text file.
Click on back button
Again click on back button
Step(10) :-Display imported data.
Click on execute button
Press enter button.(imported data is displayed)
Click on back button
Step(11) :-Convert data
Click on execute button
Again click on execute button
Observations :- transactions red & transactions written are same and are equal to records in the text file
Click on back button
Again click on back button
Step(12) :-Display converted data
Click on execute button
Press enter button
Click on back button
Step(13) :-Create batch input session
Click on create button
Again click on execute button
System displays a message saying that a u201Cbatch input folderu201D is created with specified number of transactions
Press enter button
Click on back button
Step(14) :- Run batch input session
Click on execute button
Select the required u201Csession nameu201D and click on u201Cprocess buttonu201D
Select u201Cforeground processu201D or u201Cbackground processu201Detc
Click on u201Cprocess buttonu201D -
Search for BAdi for Customer Master Data (XD01)
Hi experts,
i am looking for a BAdi for Customer Master data (XD01). Can anyone suggest me which one can i use?
thanks in advance.
Regards,
akshhi
execute this report
*& Report ZNAGBADI
REPORT ZNAGBADI.
*report zbadi_find .
tables : tstc,
tadir,
modsapt,
modact,
trdir,
tfdir,
enlfdir,
sxs_attrt ,
tstct.
data : jtab like tadir occurs 0 with header line.
data : field1(30).
data : v_devclass like tadir-devclass.
parameters : p_tcode like tstc-tcode,
p_pgmna like tstc-pgmna .
data wa_tadir type tadir.
start-of-selection.
if not p_tcode is initial.
select single * from tstc where tcode eq p_tcode.
elseif not p_pgmna is initial.
tstc-pgmna = p_pgmna.
endif.
if sy-subrc eq 0.
select single * from tadir
where pgmid = 'R3TR'
and object = 'PROG'
and obj_name = tstc-pgmna.
move : tadir-devclass to v_devclass.
if sy-subrc ne 0.
select single * from trdir
where name = tstc-pgmna.
if trdir-subc eq 'F'.
select single * from tfdir
where pname = tstc-pgmna.
select single * from enlfdir
where funcname = tfdir-funcname.
select single * from tadir
where pgmid = 'R3TR'
and object = 'FUGR'
and obj_name eq enlfdir-area.
move : tadir-devclass to v_devclass.
endif.
endif.
select * from tadir into table jtab
where pgmid = 'R3TR'
and object in ('SMOD', 'SXSD')
and devclass = v_devclass.
select single * from tstct
where sprsl eq sy-langu
and tcode eq p_tcode.
format color col_positive intensified off.
write:/(19) 'Transaction Code - ',
20(20) p_tcode,
45(50) tstct-ttext.
skip.
if not jtab[] is initial.
write:/(105) sy-uline.
format color col_heading intensified on.
Sorting the internal Table
sort jtab by object.
data : wf_txt(60) type c,
wf_smod type i ,
wf_badi type i ,
wf_object2(30) type c.
clear : wf_smod, wf_badi , wf_object2.
Get the total SMOD.
loop at jtab into wa_tadir.
at first.
format color col_heading intensified on.
write:/1 sy-vline,
2 'Enhancement/ Business Add-in',
41 sy-vline ,
42 'Description',
105 sy-vline.
write:/(105) sy-uline.
endat.
clear wf_txt.
at new object.
if wa_tadir-object = 'SMOD'.
wf_object2 = 'Enhancement' .
elseif wa_tadir-object = 'SXSD'.
wf_object2 = ' Business Add-in'.
endif.
format color col_group intensified on.
write:/1 sy-vline,
2 wf_object2,
105 sy-vline.
endat.
case wa_tadir-object.
when 'SMOD'.
wf_smod = wf_smod + 1.
select single modtext into wf_txt
from modsapt
where sprsl = sy-langu
and name = wa_tadir-obj_name.
format color col_normal intensified off.
when 'SXSD'.
For BADis
wf_badi = wf_badi + 1 .
select single text into wf_txt
from sxs_attrt
where sprsl = sy-langu
and exit_name = wa_tadir-obj_name.
format color col_normal intensified on.
endcase.
write:/1 sy-vline,
2 wa_tadir-obj_name hotspot on,
41 sy-vline ,
42 wf_txt,
105 sy-vline.
at end of object.
write : /(105) sy-uline.
endat.
endloop.
write:/(105) sy-uline.
skip.
format color col_total intensified on.
write:/ 'No.of Exits:' , wf_smod.
write:/ 'No.of BADis:' , wf_badi.
else.
format color col_negative intensified on.
write:/(105) 'No userexits or BADis exist'.
endif.
else.
format color col_negative intensified on.
write:/(105) 'Transaction does not exist'.
endif.
at line-selection.
data : wf_object type tadir-object.
clear wf_object.
get cursor field field1.
check field1(8) eq 'WA_TADIR'.
read table jtab with key obj_name = sy-lisel+1(20).
move jtab-object to wf_object.
case wf_object.
when 'SMOD'.
set parameter id 'MON' field sy-lisel+1(10).
call transaction 'SMOD' and skip first screen.
when 'SXSD'.
set parameter id 'EXN' field sy-lisel+1(20).
call transaction 'SE18' and skip first screen.
endcase.
reward for useful answers
regards
Nagesh.Paruchuri -
"Partner Determination Steps for Customer Master" clarification
Hi,
Let me clear myself at the outset itself, that I searched SDN for my below mentioned query, however I could not find any answer to my satisfaction....here I am posting again
In "Partner Determination for Customer Master", the following steps are undertaken -
Step 1:
1.a.) Create New Partner Determination Procedure
1.b.) For each Partner Determination Procedure, different Partner Functions, which are applicable for that specific determination procedure, are assigned. (along with other properties like if the PF is mandatory, not modifiable )
Step2:
"Partner Determination Procedure Assignment", here we assign different Partner Determination Procedure to different Account Groups. In other words, indirectly, we assign the partner functions to account groups. Right? (Please correct me if I am wrong)
Step3:
"Partner Function". Here we define new partner functions, (which are used in Step 1...)
Step4:
"Account Group- Function Assignment" - Here we assign the Partner Functions to Account Groups
Now My Question
(A) Since the Partner Functions are assigned (via partner determination procedure) to account groups in Step 1, then why Partner Functions are assigned AGAIN to account groups in Step 4. What is the significance of this assignment in Step 4.
(B) Is there is particular sequence of Steps (1 to 5), one should follow when somebody has to create new customer account group and/or new partner function.
Thanking you all in advance.Dear SR
Leave SAP Partner Determination screen for 2 minutes and first understand the logic
1. Create the new partner functions
2. Create the new determination procedure
3. Link the new partner functions to the new determination procedure and add mandatory, non modifiable ,optional creteria
4. Assign the new determination procedure to the document type or account group at appropriate level
This is essence and this is for all 8 levels like CMR,sales doc header,item etc
Now coming to your qn
When you define a new account group ( you might be aware account group controls partner functions of CMR) you will say that your new account group will carry out patner functions like SP,SH,BP,PY
That is ACCOUNT GROUPS function assignment
Whenever you create a new account group you will do field selection in OBD2 like suppress optional.reqd etc,create no ranges and assign no ranges and also mainly this activity partner determination
These are must settings for a new account group
AG is the german key for sold to party Partner determination procedure
This is step 1
Then in next step you will tell AG will carry out such and such partner functions Step 2 like mandatory not modifiable etc
Step 3 is link the AG to your account group
Step 4 is partner functions say if you want to create a new partner function say SB special stock partner
(in concept this is the firststep)
Step 5 is once again partner function account group assignment
So when you create a new partner function you will do step 4 first and step 5 and then 1 and 2 and 3
when you create a new account group you will do step 5 and then 1 and 2 and 3
Hope you understand now
Partner functions are relatives in your family
Say in a family we have Father ,mother sister, brother (these 4 partner functions)
This is called as Happy Family and this Happy Family is the Partner determination procedure in SAP
This Happy Family is linked to the account group
So Happy family means there are 4 partner functions
So whenever you create a CMR in the account group this father.mother,brother,sister will come as default
Suppose you add another partner function say Uncle
First you have to create uncle
Then you have to tell this account group will accept uncle
Then link the uncle in the happy family that is determination procedure of SAP along with the 4
Then assign happy family to the account group
Now when you create a CMR along with father.mother,brother,sister along with that uncle will also come
Regards
Raja -
GUI Download Issue with Chinese characters
Hello,
Currently we are upgrading from 4.7 to ECC. I'm using GUI_DOWNLOAD
function module to download the data from SAP to desktop. I do have an
issue with Chinese characters while downloading the file from SAP to ECC.
In 4.7 the Chinese characters are being downloaded (I haven't used any
code page) perfectly, but where as in ECC the downloaded file has junk
characters instead of Chinese.
Is there any change in the GUI_UPLOAD FM.
For your reference below is the code present in the program
CALL METHOD CL_GUI_FRONTEND_SERVICES=>GUI_DOWNLOAD
EXPORTING
FILENAME = Z_FILENAME
*****DCDK900543 - Begin of fixing for Unicode conversion ****
FILETYPE = 'WK1'
FILETYPE = 'ASC'
WRITE_FIELD_SEPARATOR = ABAP_TRUE
*****DCDK900543 - End of fixing for Unicode conversion ****
CHANGING
DATA_TAB = I_TAB_TMP
EXCEPTIONS
FILE_WRITE_ERROR = 1
NO_BATCH = 2
INVALID_TYPE = 3
UNKNOWN_ERROR = 4
OTHERS = 5.
Regards,
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please check whether you ecc 6.0 is uni coded or not (as you upgraded).
If it is not uni coded then you will not be able to print the Chinese characters.
You can see whether it is uni coded or not by the following
in your app toolbar under system click on status.
There you can see whether your ecc6.0 is uni coded or not.
Regards,
koolspy. -
Change Message Control for Customer Master data
Hi Friends,
I have to choose/populate a message when the user is about to create an already existing customer.
In SPRO --> Financial Accounting --> Accounts Receivable and Accounts Payable --> Customer Accounts --> Master Data --> Preparations for creating customer master data --> "change message control for customer master data" ...
OK...
When u click this it goes into Change View "message control by User" Overview screen wherein u can insert new messages and texts and the type of message ....
Now .....
I want to display the 145th message (F4 help of the Message column) ..... it picks up the text "Customer found with same address;check"..... with Online mesasage type 'I' and batch type 'I' and with standard type '-' ..
I want to have the same message with message types 'E','E', and 'I' respectively.......
How is this possible (or) what should i do to meet my requirement :-|
Expecting ur answers
Thanks in advance ........
Cheers,
R.Kripa.Hey yes it is not possible (as of now
I ve met the requirement by just using message statement in the program itself ............
My requirement is met but still if anyone knows about this do answer / reply
Thanks
Cheers,
R.Kripa. -
Text Migration for Customer Master ?
Hi all,
I am involved in the migration of the customer master and so have to migrate text sitting on the customer master.
Can somebody please provide me some help on this?
As a start off point I have a SAP Sandbox system from where I can see what all text is being maintained at the customer master level which i should be bringing on to the Production system. What tables can I look into to see all the text maintained for the customer master.
Help will be really appreciated.
We intend to use the standad idoc for migration.
Thanks/RegardsHi,
Jason is correct that you will need the READ_TEXT function if you want to either spot check some texts (use SE37 and READ_TEXT to view a sample of customers) or if you want to extract the data.
However, if for example during an extract or during an upload you merely wanted to check whether a customer had texts, you can check on table STXH. Each customer text (of one or multiple lines) will have one header record in table STXH. STXH does not allow you to see the data as Jason pointed out, but it does show whether it exists or not.
An easy way when dealing with long texts to fnd out the object, id and name of any text is to go into the text record intself in the display transaction (eg, XD03 for customer master) and in the menu path click Goto>Header. That will give you the header information for the text and allow you to see what you need to code into your ABAP program or LSMW.
Ben
http://www.harlex-ltd.com -
Issue with Chinese Translations not picked up in Extended Notifications
All Gurus,
We are on ECC 6.0 with the below settings.
SAP_BASIS 700 0015 SAPKB70015 SAP Basis Component
SAP_ABA 700 0015 SAPKA70015 Cross-Application Component
We have been using Extended Notifications for quite some time and it's working fine in EN. We now are working on generating the Outlook mails in Chinese Language. In these, there are some std. SAP texts (as mentioned in "General Settings" in transaction SWNCONFIG) are not getting picked up even though the corresponding Chinese translation exists. Specifically, the EN text
"The following new work items require processing XXXXXXXX" corresponds to Dialog text "SWN_PROLOG_MULTI" maintained for parameter "TEXT_PROLOG_MULTI" in General settings.
When the Outlook mail is generated in Chinese, the corresponding Chinese text is not getting picked up and says "Text Not Found". Similar issue existed for some other Dialog texts maintained for parameters "TEXT_GOTO_WI" and "TEXT_CONTACT_ADMIN" for which SAP suggested new Notes 1661893 and 1661894. For these texts, once Chinese text is maintained in SE63, its getting picked up in the Outlook mail.
Has anybody faced similar issue with Chinese translations in Extend.Notif ? If yes, please let me know how to fix this issue.
Also, anybody knows the message / Dialog text # for the text "Execute Work item.SAP" in the Link that is attached to the Outlook mail ?. Please tell me how to maintain the Chinese text for this EN text.
Timely reply is really appreciated.
Thanks in advance & Regards,
venuAll,
SAP provided the translations in the Notes 1675156 & 1675157 and it resolved both the issues mentioned. Also, the "Execute Work Item.SAP" link is picked up from the Text Elements of the class "CL_SWN_NOTIF_WORKFLOW".
As the issue is resolved, i'm closing this thread.
Thanks
venu -
What to do if my master page is too small for custom master page column, I need to change the papersize from A4 to US letter size *
My 2nd gen works fine with WPA2 and AES encryption.
You may need to go back and start over. Reset the router back to factory defaults, log on as the admin, set up security, DHCP, and make sure the IP address pool has enough IP addresses to lease to ALL of the computers/devices that will connect to that the router. -
Are there any set guidelines for customer master data cleansing.
1) I was wondering if there are any set guidelines for customer master data cleansing.
2) Part of the cleansing effort involves consolidating number of divisions etc. Any pointers to this regard?
3) Also how do we deal with open docs, billing plans etc?The data cleansing requirement will take place, while move the data from legacy system to new target ERP / system. I.e. need to cleanse, enrich, de-duplicate, & standardize.
The existing data may not have consistent format since it is often being derived from various sources. It may contain duplicate information as well missing or incomplete information. Cleanse and normalize content to achieve accuracy, consistency and proper understanding of the data.
Also its a process of organizing the data, which will ensure enrichment of your data which are up-to-date, accurate, and complete. These processes are manual / labor intensive and require a fair bit of specialization.
If you need to have more details please feel free to interact with us as per below.
Thanks
Kumar
www deebrostech.com -
Problem with mass IDoc for Material Master
Hi All,
Can anyone suggest a solution to work with mass IDocs for Material master?
We have DEBMDM and CREMDM as mass capable IDocs for Customer and Vendor. How do we get mass Material Master IDocs from R/3 in a single XML file?
Also the standard Material repository supplied with SAP MDM 5.5 SP3 doesn't have any XSD definition for MATMDM. Can anyone throw some light on this problem?
Regards
PoojaHello Pooja:
The standard way to do it is to generate a single file containing multiple idocs (And for the sake of performance, I suggest you stick to this technique).
In the case of material master, everything is straight forward. In the case of customer and vendor master, when data flows from R/3 to MDM no idoc conversion needs to be performed by XI.
However, for the case of customer and vendor master, when data flows from MDM to R/3, XI needs to separate the data in CREMDM to CREMAS and ADRMAS in order for R/3 to be able to process the idocs; as well as separate the data in DEBMDM to DEBMAS and ADRMAS.
The good thing is that you do not need to worry about all this mappings and conversions in XI. The only thing you need to do in XI is to import the standard business content for SAP MDM 5.5 into XI.
Hope this helps.
Regards,
Jorge. -
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Bluefin Solutions was one of the earliest adopters of SAP Cloud for Customer which is used for lead and opportunity management. This presentation will share experiences and tips from a a rapid, agile implementation.Hi Srivatsava,
I am getting the error while creating the Group under the SAP Cloud Opportunity
Sales - > Opportunity -> Group Tab -> Create New Group
Kindly check the below screen for same.
can you please help me what step require to solve this issue.
Waiting for you response.
Many Thanks
Mithun
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