Open Item Mgt

Hi friends,
I got the ticket from client that 10 GL acs not defined open item mgt and made no of postings. Now client needs to define the Open item Mgt to that acs. I have listened  that there is a program to correct the open item mgt.
can any body give me the program name to rectify the above problem'
Rgds,
Venkat

If you are in an new GL environment, you cannot change it; a new account is required as you may have to abandon the old one.
Are you release 4.5 A or earlier? Then SAP supports the change program RFSEPA02/03 after you zero down the balance of the balance sheet account. Beyond 4.5A  and untill New GL, you can change it but beware, SAP no longer supports RFSEPA02/03, since handling errors frequently occurred in the past causing data inconsistencies.
If you nevertheless want to use the reports, copy them to ZFSEPA02 or ZFSEPA03 and mark the following lines as comments:
INITIALIZATION.
  CALL FUNCTION 'POPUP_DISPLAY_TEXT'
       EXPORTING
            POPUP_TITLE    = ' '
            TEXT_OBJECT    = 'RFSEPA02'    ('RFSEPA03')
       EXCEPTIONS
            TEXT_NOT_FOUND = 1
            OTHERS        = 2.
  LEAVE PROGRAM.
In addition, you must adjust the EPA00F00 include. Mark the following line as comment:
INCLUDE EPA00F00.
*>>>> START OF DELETION - NOTE 175960 <<<<
CHECK SY-REPID = 'RFSEPA02'.        "<<<< INSERT - NOTE 0065877
*>>>> END OF DELETION - NOTE 175960 <<<<
Enhance the following line:
INCLUDE EPA00F00.
*>>>> START OF INSERTION - NOTE 175960 <<<<
CHECK SY-REPID = 'ZFSEPA02'.        "<<<< INSERT - NOTE 0175960
*>>>> END OF INSERTION - NOTE 175960 <<<<
Please be aware that questions regarding the use of the reports will only be considered as SAP Consulting, since the account change is a correction to an incorrect account control.

Similar Messages

  • General Ledger - Open Item Mgt/Line Item Display

    Hello Experts,
    GL Account was created with no tick in open item mgt and line item display.  Business users posted few entries and now realised that the accunt type should be open item manageable and display should be at line item level.  Going through the SDN forums, few experts suggested the workaround  as follows:
    1. Block for posting GL master
    2. Make it zero balance in the account(clear existing trans)
    3. Run program(SE38) RFSEPA01
    4. Check Open Item Check box/Line Item Display
    5. Unblock the GL master
    6. Continue posting as normal.
    However the above solution was recommended for 4.7 or earlier versions and for ECC 6, the recommendation was to open a totally new GL master with correct attributes and block the old GL master. 
    My client is running ECC 6.2 but requires this corrected asap and I wonder if anyone can suggest a better solution than creating a totally new GL master.
    Appreciate quick resolution/advice.
    Thanks
    Mohammed.

    Hi,
    Please refer to Sapnote_0001356457_activate OIM, and it mentions in complete details how to handle OIM activation when documents are posted to it.
    Regards,
    SAPFICO

  • Open item mgt and only balances in local currency

    Hi ,
    What is open item management and only banlances in local currency ?
    for which gl accounts v select open item management and only balances in local currency
    Pls explain urgent
    Regards
    umesh

    1. Only Balances in Local Currency:
    Indicates that balances are updated only in local currency when users post items to this account.
    Use: You would set this indicator for accounts in which you do not want the system to update transaction figures separately by currency.
    It is required to set theis indicator in:
    1.  cash discount clearing accounts
    2. GR/IR clearing accounts.
    It cannot be set in reconciliation accounts for customers or vendors. Setting it in all other instances is optional.
    Open item management:
    Determines that open items are managed for this account.
    Explanation: Items posted to accounts managed on an open item basis are marked as open or cleared. The balance of these accounts is always equal to the balance of the open items.
    Procedure: Set up accounts with open item management if offsetting entries are to be assigned to the postings made to these accounts. Postings to these accounts represent incomplete transactions.
    USE:
    A goods receipt/invoice receipt (GR/IR) clearing account should be managed on an open item basis so that you can check at any time whether invoices have been received for the goods received for an order.
    Set up accounts without open item management if no offsetting entry is to be made against a posting to this account.
    Accounts that are managed on an open item basis include:
    Clearing accounts:
    Bank clearing account
    Payroll clearing account
    Cash discount clearing account
    GR/IR clearing account
    Accounts that are not managed on an open item basis:
    Bank accounts
    Tax accounts
    Raw material accounts
    Reconciliation accounts
    Hope this is helpful. Pleas assign points if it is.
    Julia

  • Enable open item mgt

    We have some GL accounts that we need to enable open item management. These gl accounts already have postings.
    What is the best solution to convert these accounts to open item managed.
    Thanks
    krishna

    Dear Krishna,
    Good evening and greetings,
    We have copied the same program into a Z program and removed that validation check that the program is doing and are able to achieve the desired result.  For your kind information we are not using New GL Accounting Concept of ECC5.0, instead we are still in the classic GL accounting.
    If you are also on the same option, then go ahead and copy the program to ZRFSEPA02 and execute in development client to check its behaviour and then go ahead in production client.
    Please reward points if found useful.
    Thanking you
    With kindest regards
    Ramesh Padmanabhan

  • ABOUT OPEN ITEM, MANAGEMENT

    hai
    What is the open item management and which basis it is created .is the all balance items are open item .and .if GR/IR account also open item .why should we maintain both accounts .why dont use only one account for this .
    please give clear understanding
    i would be appreciate  to u
    regards.
    pooja

    pooja  open item mgt is used where transctions like the bills are payable and receivables  ( outstanding amounts) . it is used for clearing the bill wise payments or receipts. when we make payment the system will ask against which bill we have to make payment.

  • Change GL Account from Open Item Managed into non-Open Item Managed

    In the former R3 environments, release 4.6 there was the program RFSEPA03 to turn off open item management.
    However, in ECC 6.0 this program is blocked and there seems to be no possibility to change a GL account back to non-open item mgt.
    Please comment,
    Kind Regards WR

    Yes .. I Agree with you ...
    Actually I accidently, did not check the GL first, but run the ZRFSEPA02 first .... because of that, my GL is check as an open item and as a recon account too ...
    any solutions ?

  • Open item managemen issue

    Hi Team,
    I have an issue with open item mgt,
    My user without information he was removed the check box and he posted transaction in local ledger after that he was try to reconcile the bank reco. Here he realised then once again he made that account balance as zero then he selected that open item management check box.
    Problem is in between without open item mgt he ws posted around 200 line items for this g/l account. He wants to clear all line items but system is not showing the above 200 line items in F-03.
    Is it possible to clear that line items or wee need to ignore.
    Kindly let me know the details.
    Regards,
    Nauma,

    Hi Nauma,
    It's not possible to clear the items of the old account for which the open item management it wasn't checked.
    So the standard procedure is to create another account and transfer the balance from the old to the new account.
    The 200 items of the old account can't be cleared so you ignore them
    Regards.

  • Oldest of Open items Overdue.

    Hi.
    in OVA8 customer has maintained
    "Oldest Open items ticked" Reaction "C" Status Blocked Ticked Days oldest items 180.
    so iam unable to create Delivery.
    Oldest open items are there for month 11.2009 in FBL5N
    but in credit & risk mgt, i have given 180 days so considering today's date its not crossing 180 days.
    still system shows error "Oldest of Open items Overdue" & unable to create delivery
    why is it so? there is no credit limit exceeded.
    Reg.
    Amol

    Hi
    Can you check
    Check the program RFDKLI40 and see any oldest open items are there for the customer
    Check the program RFDKLI20 to recreation of the credit data afterr organisational change
    Regartds
    Damu

  • Dealer Warranty claims Open items

    Hi All,
    My client in  4.6  has written a custom process to deal with "Dealer Warranty claims".  Currently the custom process  will clear multiple open items in a customers account (debits and credits) and create one open item (Post with Clearing).  If there is a balance due to the dealer, etc, they have the ability to create and clear a portion of the single open item with a payment and create a residual item that is blocked until the next pass of the custom process.
    I am looking for information as to how current clients handle processing of "Warranty claims by dealers". How would clients handle thousands of invoices?
    Looking forwad for all your answers.
    Regards,
    Satya

    Thank you all for your responses.
    I understand that the standard process of FSCM does not provide this. We are thinking of customizing it anyway. Now we have to decide if the customization is client As-Is process in New system or FSCM customization.
    I want to know if the following customization is possible in FSCM and it's complexity -
    1. AR pushes open items to FSCM Collections mgt
    2. In FSCM, in Worlist under Payments tab, I can add new column "New Payment amount" which allows user to modify/adjust the actual payment
    3. With enhancement, this modified amount in the Worlist should be posted back to AR as open item and remaining amount as residual item.
    4. The open item will be automatically picked by F110.
    For better understanding, example - if the open item sent from AR to FSCM is $100. In the "New Payment amount" column, I will enter $40 (client wants to pay only $40 to dealer for warranty). Then this $40 should be posted back as an open item in AR with $60 residual amount with blocked status.
    Does this scenario work? A lot of customization and enhancement is required though, but just want to know if it works in FSCM and it's complexity of work?
    I really appreciate your time and help on this. I need all your expertise in this area.
    Regards,
    Satya

  • Open Item and Line Items are not matching

    Hi Gurus,
    I ran the EFT for vendor #1600109 for payment on 10/18/07.  If I run the vendor open items report (ZFI019) for today, it shows the balance net of the EFT that is $203,466 ( $263869 - EFT Value is $60,403). 
    When I ran the vendor line items display (FBL1N), it shows all the invoices including the invoices paid on the Oct 18 EFT $263,869 which is (2034,66+60,403). 
    User wants the open item report should tally the line item display.
    I will assign good points.
    Thanks for your help
    Prashanth

    Hi Gurus,
    EFT is working fine. But the Vendor Open item Report (Custom Report) and Vendor line item report (FBL1N) is different.
    We are looking a balance for a vendor as on 15th where the balances are not matching between the reports but if i run FBL1N on 18th the balances are matching.
    Clearning date is 18th
    Posting Date is 15th.
    Thanks
    Prashanth

  • Vendor's same open item selected for payment twice through APP run F110

    Hi,
    In F110 run, specified vendor  number and payment method(Bank Transfer), executed payment run.
    After, say 5 minutes interval again executed F110 for all vendors and except for the above mentioned payment method.
    In the first case, payment document generated, posted and cleared the Vendor open items. Here, the Payment method is B.
    In the second time also, the same open items are selected in the payment run and the payment method D(Cheque payment).
    Payment document generated and is not posted but cheque is generated for the same amount.
    How could it happened?

    Hi,
    In F110 run, specified vendor  number and payment method(Bank Transfer), executed payment run.
    After, say 5 minutes interval again executed F110 for all vendors and except for the above mentioned payment method.
    In the first case, payment document generated, posted and cleared the Vendor open items. Here, the Payment method is B.
    In the second time also, the same open items are selected in the payment run and the payment method D(Cheque payment).
    Payment document generated and is not posted but cheque is generated for the same amount.
    How could it happened?

  • Unable to Clear Vendor open items in F.13

    Hi All,
    We have few vendor codes, where all are having some normal open items as well as Spl GL open items and net balance is 0.
    When we do clearing with F-44, No issues at all
    But when we try to clear them through F.13, system is grouping normal open items and Spl GL transactions separately.
    If i choose  Shortlist (Statistics) in selection screen, then only atleast i will be able to see normal line items in one group and spl gl items in another group.
    If i choose, Detailed List with Error Log, i am not able to see anything related to any kind of line items.
    So then, i red the documentation of the program SAPF124, in that it says Down payments can only be cleared if down payment clearing for the same amount has been posted.
    As we all know that, each spl GL transaction can be cleared against one normal transaction in F-54. But in our case, we never do that practice, and always want to clear spl GL transactions along with normal transactions.
    My question is that, Is it mandatory to clear them in F-54 before doing F.13?
    As i know, there is an check box option for selecting spl GL transactions in F.13....in this case why should i clear prior to F.13?
    Please advise...
    Regards,
    Srinu

    Hi Gaurav,
    Thanks for your inputs.
    I agree with you, but my intention is to know, whether any possibility (change of internal selection criterion for recon account)
    to clear them automatically in F.13 without doing F-54 only.
    Anyhow i have found two other alternative solutions for the same.
    1) Batch input recording for F-44 in LSMW.
    2) Using worklist instead of vendor code in F-44 to clear all items at one go.
    As our business won't follow clearing with F-54, so this requirement may come often. 
    But only my concern is, they need to identify these cases separately and spend more time to add each vendor code to that worklist, since they are not able to add a range of vendor codes directly. As it allows only single values.
    So, is there any other way, which we can suggest them to add 10000+ vendor codes to the same worklist, since we can add 12 codes at one go and repeating the same will take time
    Regards,
    Srinu

  • Possible to clear vendor open item against already posted payment document?

    Hi
    Can you advise if it is possible to clear an open item against already posted payment/clearing doc? Here is the background to the scenario:
    An invoice was posted with transaction FB60. This was subsequently picked up in the payment run F110 and cleared by payment document number 200005678. The item went to the bank on the paymnet file and was paid out to the vendor. The transaction reference, which appeared on the incoming bank statemnet was the payment document number 200005678.
    Subsequently it was discovered that the original invoice should have been posted with reference to a PO using MIRO. The requirement now is to reverse the paymnet documnet 200005678 in SAP, then reverse the document that was posted using FB60. After this the invoice will be posted using MIRO. This will create an open item on the vendor account.
    This item will not be piad out again. Therefore the requirement is to try clear that open item against the previously posted payment document 200005678.
    Is there any way to clear this vendor open item against the originally posted payment document 200005678?? Or any other advice on how this scenario can be handled in SAP?
    Thank for your help.
    Mike

    Hi,
    I tried that option in our test system. I ran FBRA and entered Paymnet Documnet Number (+Clearing Doc Number), Company Code, Fiscal Year.
    Then chose menu option Clearing -> Reset Cleared Items.
    The system pops up a window asking for a reversal reason and reversal date.  I use 01 and posting date of today.
    The system now posts another cleared document. That document places the invoice as an open item on the vendor account. It does not place the Payment Document as an open item on the account.
    When I go to F-44 only the open vendor invoice is showing there. There is no open paymnet document.
    Is there perhaps some configuration setting that stops the placement of the paymnet document as an open item when reset?
    Thanks for your help again.

  • URGENT---Automatic payment run-Vendor open item clearing

    When I run the payment program, it ran without any error, however, the vendor account was not cleared. The balance in GL and Vendor account remains the original amounts. And the Vendor line items which were supposed to be cleared thru F110, are now showing as Open items.
    please give me the TCODES to look in.
    Please help.
    Thanks in advance
    Sharath

    Dear Sharath,
    To check whether your payment run has actually generated any payment document or not, please follow the following steps:-
    (1) Go to transaction SE16/ SE16N and table REGUH, give the "payment run ID", "run date" and "Proposal Indicator as blank".
         It should show the payment document.
    (2) If (1) above show payment document, then go to table REGUP and check the invoices paid.
       If invoices are there in REGUP, then there might be some issue in the payment document updation in the system which you can check via transaction SM12. (For this just check in table REGUV, whether payment documents created and posted are equal or not for the payment run.)
    (3) if (1) do not show any payment document, that means payment run has not made any payment.
        In this case, you create a new payment run and in the parameters select the error logs display also and in free selection give the document number you are expecting to be paid off by the payment run. This might help you to know the reason of non payment by cheking the proposal log/ payment run log.
    I hope that this should assist you
    Regards,
    Gaurav

  • Vendor Open items Authorisation

    Hi Peers!
    Is there any report were i can authorise the payments to which vendor and which invoice i can pay today like that.
    Ex: Say my higher authority wants to select the open items vendor wise to pay the due. so that i will check that invoices and pay through outgoing payment.
    Pls reply soon, Its urgent
    Thanks
    Murali

    Hi
    There are so many age wise analysis reports are there for analysing the customers or vendors open items. out of those, F.41 for vendor open items there you can find all the relevant data including business area level also satisfied because in some cases higher management wants the particular business area wise required for analysis. similarly f.21 for customers.
    I hope it will be suffice your requirement.
    Regads
    madhav

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