Trading Partner ID

Good Morning All,
Please help me with this.
What is Trading Partner ID(TP_HEADER_ID) in AP ? Where its been stored and for what it is unique for?
Thanks.

Trading partner information is maintained at the supplier site level for EDI transactions.You maintain the relationship in e-commerce gateway to qualify the supplier for the EDI transactions by linking it in the supplier setup. You can find data in ece_tp_headers and ece_tp_details.
Thanks
Nagamohan

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    <errorText>Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4</errorText>
    <errorDescription>
    <![CDATA[Machine Info: (is4wingw02)
    Error -:  AIP-52251:  Error identifying remote trading partner at MLLP Exchange with MLLP ID is4-nb4  ]]>
    </errorDescription>
    <errorSeverity>2</errorSeverity>
    </Exception>
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    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleExceptionBeforeIncomingTPA Exit
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:incomingContinueProcess Exit
    2007.11.12 at 17:51:43:096: Thread-10: B2B - (DEBUG) oracle.tip.adapter.b2b.engine.Engine:handleMessageEvent Exit
    2007.11.12 at 17:51:43:111: Thread-10: B2B - (INFORMATION) oracle.tip.adapter.b2b.engine.Engine:processEvents Exit
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    2007.11.12 at 17:51:43:111: Thread-10: B2B - (DEBUG) DBContext commit: Transaction.commit()
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    here said not find the remote partner, but in B2B server, can ping Echoserver.
    what is wrong?

    Hello again,
    I have tried all different combinations with the IP addresses and host names, but to no avail. Then I changed the Trading Partner Identification Type from MLLP Id to Sending Application (one of the customer requirements is to be able to identify the Trading Partner by the combination of Sending App/Sending Facility, since they are running multiple HL7 applications on one host). However, I still see the same error in the log file - for some reason, B2B is still trying to identify the Trading Partner by the MLLP Id. Redeploying the configuration didn't help, the requested identification type is ignored.
    Please help! If needed, I can send the B2B log file, but maybe I'm missing something obvious.
    BTW, the customer has installed the patch for bug 6439217 on October 10th. The B2B version is 10.1.2.2.0.
    Thanks in advance!

  • Trading partner - cleared document

    Hi All
    I would like to change trading partner in posted document. is it possible.if not please suggest me how to change this?
    Regards
    Prasad

    Hi
    to do the trading partner corrections it is better to create new document type with "enter trading partner"
    you can dr/cr with same gl code with correct trading partner one line and with wrong trading partner other line..
    regards..
    Pranav

  • Issue with the field (Trading Partner) in the BW report

    The Info Object 0PCOMPANY (Trading Partner) is having a reference char 0COMPANY in the BW system so the data for the field Trading partner text will be pulled from 0COMPANY_TEXT data source.
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    Ganni

    Hi,
    set the propety "display" to medium text for this charateristic either in the BEx report itself either in the query definition.
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  • In XML Gateway Responsibility How to add User defined Trading Partner type.

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    I looked it up in the mean time ...
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  • DOCUMENT SPILTTING ON BASIS OF TRADING PARTNER(VBUND) FIELD

    Dear Friends
    We are on ECC 5.0, we have activated document splitting on BUSINESS AREA basis..
    As for new requirement for consolidated financial reports, we have also added TRADING PARTNER(vbund) field for document splitting ..
    We have define companies(trading partner), assign them to relevant customer and vendor master.
    Also have tick INTER COMPANY POSTING AND TRADING PARTNER field in document types(OBA7)
    in documents, with vendor and customer relevant line items trading partner is coming automatically..
    for G/L related line items we want that trading partner should come automatically through document splitting ..
    please note that we cant assign trading partner with G/Ls in chart of accounts as same G/Ls can be used with different different trading partner at the same time..
    Kindly help me in this issue..
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    Expertia..

    Document Splitting is too complex a concept for Substitution.  If you have to just copy the Business partner to the missing lines, then you can use substitution.  But if you have more than one BP in any entry and the transaction has to generate entries accordingly to balance it, substitution cannot do that.
    If you are trying to split on any field other than Business Area, Profit Center and Segment, it involves a lot of work in terms of configuration and development.  You have to develop your custom routine to enable splitting on your selected field (VBUND) in your case.
    If I remember right, there is a consulting note which explains a brief summary of what is to be done for having Document splitting on custom fields.  You can try searching Service Market place.
    Ravi.

  • Trading partner in GL, Vendor and Customer master

    Hi
    This is with reference to the clarification on field Trading partner in GL, vendor and customer master
    We have 10 company codes and are using same COA in all co codes
    We have activated Enterprise Consolidation in system and interunit profit elimination exist in our case.
    Please clarify the following:-
    1) Is there any impact on consolidation module if we did not maintain trading partner in GL master, vendor master & customer master
    Thanks & Regards
    D D Asnora

    HI
    It will effect in Interunit eliminations. and all the transaction which occured betweeen inter-units will be effected.
    regards
    Hari p

  • Unable to clear customer due to error: u201CPlease enter valid trading partner:

    Hi team
    i am getting this error in clearing in customer invoice
    i checked out in customer master trading partner no is there :*****
    and that customer is also a Vendor but in vendor master record that trading partner no is not there
    but customer number is there
    i need to clear against a incoming payment AB doc type with some billing document
    its a bank charges i need to pay ...
    i am useing transaction code f-32
    if you need any inputs please do let me know
    Moderator message -personal information removed
    Edited by: Rob Burbank on Sep 9, 2011 9:14 AM

    Hi,
    seems like you have to reverse the document without trading partner and re-post with Trading partner. Then it should work. If this is automatic postings and more often to happen in future think about pre-setting it in GL accoutn if possible or validations/ substiutions.
    Regards
    Hein

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