Regarding open items

Hi gurus,
I have an issue in regarding the open items uploading when we upload the GL, AP, AR balances from the legacy system, the client requirement is to view the Customer balances and Vendor Balances as Invoice wise and to for each and every customer
and send me the documents and Tcodes of procedure of Uploading activities
surapaneni79 at the rate gmail
Warm Regards

Hello,
For uploading you need to create seperate GL masters you create one account group for upload accounts. Under that grp you need to create all accounts. All are balance sheet Accounts. GL Balance Upload Ac, Customer Balance Upload Ac, Vendor Master Upload Ac, Asset Master Upload Ac, Material Upload Ac. You should take the trail balance of the company and chose all gl accounts with balances. Use LSMW upload GL balance upload.
Ex-Vendor Account: Vendor balances always shows credit balance and client want to upload line item wise ex line items are: 1000, 2000, and 3000 then
Vendor Upload Ac Dr
To Vendor Ac 1000 To Vendor Ac 2000 To Vendor Ac 3000
Ex-GL Accounts: these GLu2019s always shows debit balances. When upload GLu2019s the entry will be
Salaries A/c Dr
To GL Upload A/c
Thanks
Para

Similar Messages

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  • Regarding open items in credit management

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    regards,
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  • Query regarding open items

    hi experts,
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    Moderator: Please, search before posting

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  • Unable to Clear Vendor open items in F.13

    Hi All,
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  • Reset Cleared Documents and Vendor Open Items Report FBL1N

    Hi all,
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    Hi Dau,
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  • Vendor open items wise ALV Grid Display (FBL1N) report to Excel Sheet

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    Hi Amar,
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  • Open Item Report

    Hi SAP Gurus!!
    I have something in mind, i need your help guys.   I want to make a report of all open items ( vendor ).  I would like to customize a report for this. I want to:
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    I already checked FBL1N and chose INVOICENET layout, but still i am not satisfied with that kind of report.
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    Hi,
    Check this SAP Standard report RFKEPL00 .Go to T.code se38 and enter the standard report RFKEPL00 ( Vendor open items) and execute.Check whether it meets your requirement or not.
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    In FBL1N changelayout (Ctrl + F8) , Select purchase document or other fields to meet your requirement.
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    Pelase let me know if you need more information.
    Assign points if useful.
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  • Open items in FBL3N

    Hello,
    I have a problem in displaying the open items and cleared items for a GL A/C in reports (FBL3N, FAGLL03).
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    Diana.

    Hello,
    Though you have maintained your account as open item and cleared item, none of the line must have been cleared so far.
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  • What happens to the open item in bsid table when it is cleared

    hi experts,
                   i have a doubt about open and cleared items of accounting documents. as we know open items of customers are stored in bsid and cleared ones in bsad. For suupose, an open item is closed ina particular period then what happened to the entry in bsid and bsad table. an entry regarding is stored in bsad (cleared),and what happens to the entry in bsid, still it will be there or removed from it.

    Hi,
    When ever we clear the document(Complete payment) that document will be moved to BSAD table. Other wise it will remain in BSID.
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    BSID and BSAD are index tables to address performance issues with BKPF and BSEG tables.
    So all open and cleared documents will be there in BKPF and BSEG tables.
    All cleared documents will be there in BSAD table.
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    Thanks,
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  • How to ensure that an accrual (FBS1) that was cleared and reversed/reset (FBRA) does not affect the books while being in open items (FAGLB03)?

    At first the user created an accrual using FBS1 for reversal on 5/1/2015.
    This created a clearing document.
    Then it was mistakenly reversed by the user for 5/1/2015 by using F.81
    This also created a clearing document.
    Based on advice in the following thread: Delete reverse accrual/defferal documents | SCN ,
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    Hi
    I guess that the user has not reverse the transaction as its still shows as open item in 30 /4 .. so I belive that you need to use fb50 or simply use FBR2 and enter the original entry no and the choose (generate reversal posting option )..
    regards
    mahmoud el nady

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