Additional document types to Assign Fascimilies function

Hi all HCM Experts.
How do i add a document type like pdf to the assign fascimilies function.
As it is right now we only have the posiibility to upload jpg and word documents.

OPTT will help you.
Regards

Similar Messages

  • Assign document type to plant?

    Hi!
    Document types are assign to sales areas but i need to assign one specific document type to only a few plants of this sales area. ¿How could i do this?
    Regards.
    Eduardo

    Hi guys,
    Thanks for your answers. Pramod what i want is to assign a document type to just a few plants that belong to the same sales org. (in this sales org. there is other plants to which i don't want to assign my document type). The idea is that when i create a sales order with this Order type only a few plants are available.
    Roberto i beleive that the listing/exclusion funtions is just for materials.
    Sudarshan i already talked to my abap'er and if there is no other option through customizing will do that.
    Thanks again.

  • Urgent: User Roles assigned to Sales Orgs and document types

    Dear Guru's :
    I have job user roles one side and sales orgs on otherside. We are trying to find out which sales orgs are using what sales document types.
    All i am trying to achieve is connect those two and make a report. it needs to be done by SE16
    First step is :
    PFCG- Enter Role u2013Click glasses-Authorizations-Display Authorization data
    you need to identify the authorization objects for each T-code and then assign the appropriate values for each authorization object. these authorization objects assigned to a Role and then, allowed T-codes are assigned to Role and
    My Basis Person to Create one AUTHORIZATION OBJECT      V_VBAK_AAT  Sales Document: Authorization for Sales Document Types  and assign your required transaction codes to that authorization and assign them to the users.
    User IDs which can use this Role (set of authorizations) can be assigned to this role.
    Second step is achieved through SE16 ;
    Execute this two table :
    There is no one-shot for this However there is a way out for this outside SAP.
    You can download AGR_1251 and AGR_1252 for the selected roles and use MS Excel or Access to do this compare for you. Its a bit more tricky than said, however once you get a hang of it, I think its a good way of reducing the efforts of making use of individual compare reports.
    Any one knows how to do this i am kind of lost here.  Could you help me to organize this process / steps.
    Full points will be given to who helps me answer my question.
    Thank you in advance.

    Dear Raghu and all:
    I am very much thankful to you for your answer Raghu. This is exactley what i was looking for. Could you throw more light on this topic. Or do you know where can i get more info.or  more tcodes related to this topic. I am using SUIM and PFCG. I dont know much about this transactions. Could you please help me to understand this topic.
    I have Authorization object through which i found out which sales documents are attached to users. I dont know next step in this process. Or does any one know any thing about this subject.  Any help will be grateful.
    Van bills.

  • CREATION OF NEW DOCUMENT TYPE

    Dear cons
    We want to create a new document type for pur. requisition.In this document type  account assignment  will be 'P'(PROJECT) . w.b.s should be only enter.
    so pl. give the details of filling data in the required field step by step. waiting for your early response.
    thanks
    nirupama

    Hi,
    In order to create a document type for a purchase requisition  use the path
    spro-materials management - purchasing--purchase requisitions --define  document type
    in that screen you select the document type you want to copy to create your document type and perform the action.
    if you want to change the screen/field selection for your document type select the field selection key (if you select the document type as NBB the field selection key will be NBB.,and go to the screen and change the field status.
    Hope this will be suffient for your requirement.
    Regards,
    Raghu.

  • How to define certain document type (BKPF-BLART) for certain movement (101)

    Sometimes ( I think it is becuase of the tcode)  certain purchase 101 movements create a WA type FI document and some other times purchase 101 movements create WE type FI documents. I have seen a table ( accessing from omba transaction) in which for diffenent tcode´s we have either WE or WA. If we always use migo transaction why sometimes in bkpf we have migo_tr, migo_gi, ....;....
    How should I do in order to create always WE FI documents for purchase 101 movements?
    Thanks in advance.

    Check the settings in SPRO-MM-Inventory Management-Number assignemnt-Define number ranges for accounting documents.
    Here you assign accounting document type to tcodes.
    Normally , WA is used in receipts for MB1C/MIGO_GI tcode - for e.g for 561 mvmt type.
    SAP recomends keeping this setting as it is.
    SAP help text copied here for reference:
    Define Number Assignment for Accounting Documents
    In this step, you set the number ranges for the accounting documents which are created when goods movements or inventory differences are posted.
    Accounting documents in inventory management
    For accounting-relevant goods movements, the system creates two different documents:
    material document
    accounting document
    Both the material documents and the accounting documents have their own document numbers. When inventory differences are posted, the system also creates an accounting document for the physical inventory document.
    In this step, you only maintain the number assignment for accounting documents.
    Document types
    Accounting documents are split into document types to allow differentiated document number assignment, which is the basis for distinguishing between the various accounting operations. A number range is assigned to each document type. In a company code, you have to define number intervals for each number range and fiscal year.
    In inventory management, the transaction determines which document type is used.
    Example: Goods receipt for purchase order
    Requirements
    You have already defined the company code.
    Default Settings
    In the standard SAP System, the following document types are predefined for inventory management:
    WA  for goods issues, transfer postings, other goods receipts
    WE  for goods receipts with reference to purchase orders
    WF  for goods receipts with reference to production orders
    WI  for inventory differences
    WL  for goods issues with reference to deliveries (SD)
    WN  for net posting of goods receipts
    PR  for revaluation documents
    Each document type is already assigned a number range. In company code 0001, number intervals are defined for each number range both for the current and the previous fiscal year.
    Number range 49 with the year-related interval 4900000000 to 4999999999 is assigned to the document types for all goods movements, except goods movements with reference to purchase/production orders.
    Document type WE is used for goods receipts with reference to purchase orders and production orders. This document type is assigned number range 50 with the year-related interval 5000000000 to 5099999999.
    Please note that net postings of goods receipts (document type WN) are not active in the standard SAP System. If you want to post goods receipts net, you have to assign document type WN (instead of WE) to the transaction MB01.
    Document type WI is used for posting inventory differences. This document type is assigned the number range 01 with the year-related interval 0100000000 to 019999999999.
    SAP Recommendation
    Activities
    1. Check whether you can use the standard settings.
    2. If not, you have to add new document types to satisfy your requirements:
    a) Define a new document type under Financial accounting document
    b) types.
    c) Assign a number range to the document type.
    d) Under Financial accounting number ranges, define the year-related number intervals for the given number range in your company code. If you do not want to use the year-related number assignment method, enter 9999 in the Year field.
    e) Under Allocate document type to transaction, assign the relevant document type to the transaction codes of inventory management.
    Document type PR (revaluation documents) is already assigned.
    Notes on transport
    You transport number range objects as follows:
    Choose Interval -> Transport in the accounting document Number Range screen.
    All intervals for the selected number range object are deleted in the target system first. After the import, only the intervals you export are present. The number statuses are imported with their values at the time of export.
    Dependent tables are not transported or converted.
    All other activities are linked to the automatic transport.
    Edited by: Saurav on Jan 24, 2011 6:03 PM

  • Document type during Goods Receipt in Intercompany Transfer flow

    Hi,
    We create a PO, Delivery and GI in company A
    We do a Goods Receipt in company B.
    Can we customize that FI document type  ZZ is used during Goods Receipt in company B?
    Document type ZZ may only be used in the Intercompany flow.
    Where can I customize this setting?
    Thank you in advance,
    Best regards,
    Eric van Zundert.

    Hi,
      The following are the standard steps to create an accounting document type and assign it to a transaction.
    1) In T-code OBF4, click on "Financial accounting document types" and create a new document type.
    2)On the same T-code, Click on "Goods receipt document type" and assign the document type to the transaction.
    3)On the same T-code, Click on "Financial accounting No range" and assign the number range for each document type based on company code and fiscal year.
    Thanks and Regards,
    Maheshwari

  • New Document Type Created but not allowing posting under that Document type

    Hi Gurus,
    I have created new document type 'JV' & assigned number ranges to that document type. But when I started posting the entries under this document type, system has thrown one error 'NO ACCOUNTING TRANSACTION VARIANT ASSIGNED TO FB01/JV'
    Now after assigning transaction 000 (unspecified posting) & varaint 0001 to document type JV I can able to post the entry under this document type. (Classify document type for document spitting)
    But I am not still sure whether my assignment to this particular document type is correct or not?
    What is the basic criteria on the basis of which we have to select this assignment to particular document type?
    Thanks
    Sonal

    What you have defined is correct. Since you are defining the document type jv meant for any type of posting and not restriciting like payments/receipts/vendors/customers.

  • PO's Document type created from Shopping Cart

    Hi all,
    I work on a SRM 5 system with Extend classic scenario.
    when I create a PO from a SC, the system assign automatically a document type.
    I have to change this assignment.
    I already define transaction type for BUS2201, but I'm not able to find where the assigned doc type from SC is.
    Thanks
    Enzo

    Hi Enzo,
    The P.O in SRM has document type has either ECPO or ECDP.
    These document types are assigned in the attributes of the root org.
    The attributes you maintain in the root org for document types are :
    BSA & DP_PROC_TY
    You can find the possible document types in SPRO > IMG > SRM > SRM Server > Cross Application basic settings > Define Transaction types
    Choose BUS2201 (Transaction category) and click on the Transaction types in the Dialog Structure on the left side. There you can see ECDP & ECPO transaction types.
    Hope this makes you more clear. Clarifications are welcome.
    Award points for helpful answers.
    Rgds,
    Teja

  • Document type RV & RE

    Dear All,
    Document type RV & RE is not getting updated any Business Area. This document type are auto generated from Billing document??
    Regards,
    Raziq

    Hi
    There are two scenarios, one in Classical GL and the other on New GL.
    Classical GL
    If you are on Classical GL, Tax Accounts will not be populated with Business Area. You need to run the T Code F.5D and F.5E to populate the Business Areas. This is a month end activity. To run these transactions, you need to maintain the Business Area Financial Statements in Co Code Global parameters in OBY6. You also need to maintain the required configuration in Group GAU, Key GA5 in FBKP. Alternatively, you can also look at writng your own substitution rules to populate the Business Areas in each of these Transactions where Document Type RV and RE are used.
    New GL
    In the New GL with Document Splitting, the Business Area is derived from the originating expense. For Document Type RV assign the transaction variant 0200 and for RE assign the transaction variant 0300. This is done in the path:
    IMG>Financial Accounting (New)>General Ledger Accounting (New)>Business Transactions>Document Splitting> Classify Document Type for Document Splitting
    Make sure that for transaction variants 0200 and 0300, item categories for with holding tax and tax on sales/purchases are assigned. Also assign the correct ietm categories to GL accounts.
    Regards
    Sanil Bhandari

  • New PO document type

    Hi experts
    We plan to create new doc type for return Po.What we should do for all related setup?
    eg: copy one current document type ? assign document number range?  others?
    Thanks
    Alice

    Hi
    If you feel that system should not allow you to proceed further wihtout without flagging the return check box at line item level, you have set it in configutaion and the step is as follow..
    First you have to creeate a new field selction key under Materiaal Management --> Purchasing >Purchase Order>Define Screen Layout at Document Level
    Select NBF field selection and click on Copy icon
    Change the Field slection key code and description as you like, say for example ZNBF
    Now double click on created field selection by that you will get list of field selection group
    Double click on GR/IR Control, system displays list of fields with different options of selection and by default you can find all the fields are have been checked under optional entry
    Check on Requried Entry check box of field "Return Indicator"  and save it.
    Now the next step is assigning the newly created field selection key (ZNBF) in to docuemnt type
    For this, click on Define Document Type, select the newly created field slection key for the newly created PO document type for return and save.
    Now when you try to create PO with the newly created document type, system will not allow you to save the document until unless you check the retrun item check box.
    I hope this will help..
    Best Regards..

  • Account types allowed for document type

    Hello,
    when i am in the edit mode of document types through IMG, i can see the account types listed and can select the account types which can be posted with this document type.
    but the issue is there are only 5 account types predefined, what if i have added a new account type?
    Thanks

    No clasification is required for GL accounts to account types.
    If a document type is assigned to account types then you can post documents using a document type only to the respective account types.
    Say for example,
    You have a document type XY for which you have selected the account types D and K, then the document type XY can be used only to post to vendor and customer subledger and you can not use the doc type for rest of the three account types.,

  • Document type WE.

    Hi,
    When we do the Good Receipt then accounting document will be created using document type WE. Do we have to do some configuration according to this?
    Thanks.

    IN TCODE olmb
    U CAN FIND THE OPTON OF  nu. ranges for material document tthere u can see that
    number ranges is assigned to the document type  nad document type is assigned to the business transaction or to the activity like good reciept ,good issue etc. and to the transaction code
    so whenevr u are doing any transaction using movement type then ssytem pick the suitable dcument type

  • FI CO Integation: Document type for real-time integration with FI not there

    Dear Gurus,
    This is the error message that I got and I am looking for a solution could anyone help me please.
    I was doing simultaneous costing and doing Product Cost Collector reports.[KKBC_PKO]
    This is IDES 6.00 ehancement package 4,
    How do I define a document type for real-time integration with FI?
    Message no. FAGL_COFI003
    "Diagnosis: For CO documents to be transferred into Financial Accounting in company code 1000, -the system requires a document type".
    How do I go about with this, need steps to resolve this please
    Thank you
    Saleem

    Hi,
    1. Check which variant is assigned to your company code '1000' using this IMG path
    IMG->Financial Acctg (New)->Financial actg global settings (New) ->Real-Time integration of Controlling with Financial Actg ->Assign variants for Real-time Integration to Company codes.
    2. Check if document type is assigned to the variant assigned to your Company code in this path:
    IMG->Financial Acctg (New)->Financial actg global settings (New) ->Real-Time integration of Controlling with Financial Actg -> Define Variants for Real-Time Integration.
    Hope this helps.

  • Multiple Number Ranges for AP Document Type not getting triggered

    Hi all,
    We are posting receivables in the system using BAPI_CTRACDOCUMENT_CREATE. We have huge data of 3.9 million records for which receivables has to be posted. So multiple number ranges has been configured in the system for AP document type.
    The issue is even though multiple number ranges for mass processing are configured in the below location in SPRO, none of them are getting triggered. The number range at the first level on the screen is only getting triggered, due to this it is taking lot of time to post documents. Any help on this?
    Financial Accounting(new)
         Contracts Accounts Receivable and Payables
         BasicFunctions
         Postings and Documents
         Document
         Maintain Document Assignments
         Document Types
         Maintain Document Types and Assign Number Ranges
    Regards,
    Karthick.

    Karthick:
    Mass ranges are only used for FICA parallel mass activities.  For your situation, you can define and assign multiple ranges for individual processing in the same IMG activity.  Those would then be chosen for your mass postings.
    regards,
    bill.

  • Document type in REM

    Hi All
    After posting from RERAPP system has posted doc with account type AB.
    Please let me know from where it has picked AB doc type.
    Regards
    shantanu

    Hi Shantanu,
    Doc type AB is a ( default)  value type to link the REPP. In your system also its taking like that by default.
    Any how you have  flexible options  to change / Craete  the new document type according to your internal requirements.
    You can create your own document types at the below path as you wish :
    Menu Path :- IMG –> Financial A/C –> Global Settings –> Documents –> Document Header –> Define Document types
    and then you can assign the same document type to the process like REPP / RERV ...ETC. in the below path.
    Spro - Flexible Real Estate Management (RE-FX) -- Accounting --  Integration FI-GL, FI-AR, FI-AP -- -----Account Determinatio ----  Define Document Type Determination ---> assign the document type against the process.
    Hope it may helps you.
    Regards,
    Subbarao.Narne

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