An apology for multiple posting
I am so sorry that my request for help on the mail rules got posted so many times. I have been having a very difficult time getting logged onto this page, and when the complete page didn't load I thought I had to start again. Mea culpa.
There have been some major server problems today - numerous multiple postings through no fault of the poster
No problem
Besides the Apple hosts are very good at resolving duplicates
LN
Message was edited by: LarryHN
Similar Messages
-
Execution of Task for multiple posting period
Dear Experts,
As i have seen it is compulsory to punch posting Period value in Permanent Parametere, Is there any possibility to exeucte Task for multiple period at a time.
Thanks
Ritesh MYes, there is such a possibility. But it requires EhP2:
http://help.sap.com/erp2005_ehp_02/helpdata/en/45/2b650d4ad46d95e10000000a114a6b/frameset.htm -
BDC for F - 43, Multiple posting keys,multiple line items
Dear gurus,
I need to develop a bdc for F-43, it it working for multiple posting keys with two line items, but not working for multiple line items, can you tell me where to loop the line items.
regards,
vidyasagar yadav.F-43 is actually FB01 (with two parameters, check it with SE93).
So you could use the following FMs in sequence to build the BDC :
POSTING_INTERFACE_START
POSTING_INTERFACE_DOCUMENT
POSTING_INTERFACE_END
Else
Re-execute transaction SHDB for a document with 2 items and for a document with a dozen items and analyze the result.
Use a BAPI like BAPI_ACC_INVOICE_RECEIPT_POST or BAPI_ACC_DOCUMENT_POST
Regards,
Raymond -
Manual Bank Reconciliation Statement for multiple dates
How can we enter ONE manual BRS for multiple posting dates?
Below is the scenario for which we need multiple posting dates in one bank statement.
We receive and enter in SAP the Bank reconciliation statement at the end of every month. The system considers Posting date as end of the month ( the entry date or a single date what we enter). The transactions however belongs to many dates of the month. So while posting the bank statement system considers only one posting date and picks up the exchange rates of one date ( that is the posting date). It results in undesired exchange rate differences.
To elaborate more please check the following example:
1. Incoming Payment on 01-12-09 in USD (USD = Foreign Currency, AED = Local Currency ) with Exchage rate 3.8.
2. Incoming Payment on 06-12-09 in USD with Exchange rate 3.9
3. Incoming Payment on 09-1209 in USD with Exchange Rate 3.7
If all of the above transactions are posted at one posting date the system picks up only one exchange rate at the posting date. However the system should pick up the respective exchange rates on the transaction date.
I hope I am able to communicate properly.
Waiting for your expert opinion forks.
AmirHow can we enter ONE manual BRS for multiple posting dates?
Below is the scenario for which we need multiple posting dates in one bank statement.
We receive and enter in SAP the Bank reconciliation statement at the end of every month. The system considers Posting date as end of the month ( the entry date or a single date what we enter). The transactions however belongs to many dates of the month. So while posting the bank statement system considers only one posting date and picks up the exchange rates of one date ( that is the posting date). It results in undesired exchange rate differences.
To elaborate more please check the following example:
1. Incoming Payment on 01-12-09 in USD (USD = Foreign Currency, AED = Local Currency ) with Exchage rate 3.8.
2. Incoming Payment on 06-12-09 in USD with Exchange rate 3.9
3. Incoming Payment on 09-1209 in USD with Exchange Rate 3.7
If all of the above transactions are posted at one posting date the system picks up only one exchange rate at the posting date. However the system should pick up the respective exchange rates on the transaction date.
I hope I am able to communicate properly.
Waiting for your expert opinion forks.
Amir -
I AM RECEIVING MULTIPLE EMAIL NOTIFICATIONS FOR FACEBOOK POSTS. HOW CAN I FIX THIS?
I AM RECEIVING MULTIPLE EMAIL NOTIFICATIONS FOR FACEBOOK POSTS. HOW CAN I FIX THIS? I AM GETTING LIKE 6 DUPLICATE EMAILS FOR FACEBOOK NOTIFICATIONS. HOW CAN STOP THIS??
Perhaps you should contact Facebook?
-
Sorry for the multiple posts.
I cant delete them as there seems to be no option.
I was pressing the post and it was giving me error but it seems like it was actually working ok, hence the multiple posts.rhuhman wrote:
>
> Sorry for the multiple posts... I am trying to find the Auto-Reboot
> default options. I would like to change the defaults to a set
> parameter. I am looking at adding a signature to the pop-up message
> and extending the sleep time from 2 hours to 10 hours. I thought it
> was attached to the baseline setting but that didn't change anything.
>
> Can this be changed?
>
> Richard
Hi
I've been looking for this myself but can't seem to find what you are
looking for - which is kind of a problem since it would make it a lot
easier to deploy patches if you did not need to go in and set these
options on every deployment.
Niels
A true red devil... -
How to Configure Cisco ASA 5512 for multiple public IP interfaces
Hi
I have a new ASA 5512 that I would like to configure for multiple public IP support. My problem may be basic but I am an occasional router admin and don't touch this stuff enough to retain everything I have learned.
Here is my concept. We have a very basic network setup using three different ISPs that are currently running with cheap routers for internet access. We use these networks to open up access for Sales to demo different products that use a lot of bandwidth (why we have three)
I wanted to use the 5512 to consolidate the ISPs so we are using one router to manage the connections. I have installed an add on license that allows multiple outside interfaces along with a number of other features.
Outside Networks (I've changed the IPs for security purposes)
Outside1 E 0/0 : 74.55.55.210 255.255.255.240 gateway 74.55.55.222
Outside2 E 0/2: 50.241.134.220 255.255.248 gateway 50.241.134.222
Inside1 : E 0/1 192.168.255.1 255.255.248.0
Inside2 : E 0/3 172.16.255.1 255.255.248.0
My goal is to have Inside 1 route all internet traffic using Outside1 and Inside 2 to use Outside2. The problem is I can't seem to do this. I can get inside 1 to use outside 1 but Inside2 uses Outside 1 as well.
I tried adding static routes on Outside2 to have all 172.16.248.0/21 traffic use gateway 50.241.134.222 but that doesn't seem to work.
I can post my config up as needed. I am not well versed in Cisco CLI, I've been using the ASDM 7.1 app. My ASA 5512 is at 9.1.
Thanks in advance for the suggestions/helpI have been away for a while and am just getting caught up on some posts. so my apology for a delayed response.
I find the response very puzzling. It begins by proclaiming that to achieve the objective we must use Policy Based Routing. But then in the suggested configuration there is no PBR. What it gives us is two OSPF processes using one process for each of the public address ranges and with some strange distribute list which uses a route map. I am not clear what exactly it is that this should accomplish and do not see how it contributes to having one group of users use one specific ISP and the other group of users use the other ISP>
To the original poster
It seems to me that you have chosen the wrong device to implement the edge function of your network. The ASA is a good firewall and it does some routing things. But fundamentally it is not a router. And to achieve what you want were a group of users will use a specified ISP and the other group of users will use the other ISP you really need a router. You want to control outbound traffic based on the source of the traffic, and that is a classic situation where PBR is the ideal solution. But the ASA does not do PBR.
HTH
Rick -
T-code to close multiple posting periods in mm
Is there is any t-code to close multiple posting periods in mm?
Regards,
Surendra babu.Dear Surendra,
Open & Close Posting Periods
FI posting periods:
IMG->Financial Accounting->Financial Accouting Global Settings->Document->Posting Periods->Open and close posting periods.
OB52
MM posting periods:
Logistics->Materials management->Material master->Other->Close period
MMPV (to open current period)
Logistics->Materials management->Material master->Other->Post to prev.period
MMRV (shows what is open)
Also check OB52 for type M
Reward Me If Helpful -
Balance Confirmation Report for multiple vendors
Hi all,
I have developed report in FI which gives details about opening balance,fiscal year, document number, posting date and amount in the output.In selection screen I am passing single values of fiscal year(GJAHR), vendor(LIFNR) and company code(BUKLRS). This report is working fine for single vendor but now I need to change it for multiple vendors. I tried but not getting desired result in the output.
Following is code for single vendor in selection screen.
SORT t_bsikbsak BY bukrs belnr gjahr buzei.
LOOP AT t_bsikbsak.
t_pre_bal-netpr = t_bsikbsak-dmbtr.
t_pre_bal-sgtxt = 'Opening Balance'.
IF t_bsikbsak-shkzg EQ 'H'.
t_pre_bal-netpr = t_pre_bal-netpr * -1.
ENDIF.
COLLECT t_pre_bal.
ENDLOOP.
LOOP AT t_pre_bal.
itab-netpr = t_pre_bal-netpr.
itab-sgtxt = t_pre_bal-sgtxt.
APPEND itab.
ENDLOOP.
SORT t_bseg BY bukrs belnr gjahr buzei.
CLEAR itab.
LOOP AT t_bseg.
ON CHANGE OF t_bseg-bukrs OR t_bseg-belnr OR t_bseg-gjahr.
READ TABLE t_bkpf WITH KEY bukrs = t_bseg-bukrs
belnr = t_bseg-belnr
gjahr = t_bseg-gjahr.
IF sy-subrc IS INITIAL.
itab-budat = t_bkpf-budat.
itab-belnr = t_bkpf-belnr.
itab-gjahr = t_bkpf-gjahr.
ENDIF.
ENDON.
IF t_bseg-koart = 'K' AND t_bseg-lifnr = s_lifnr.
itab-sgtxt = t_bseg-sgtxt.
READ TABLE t_bsak WITH KEY bukrs = t_bseg-bukrs
belnr = t_bseg-belnr
gjahr = t_bseg-gjahr.
IF t_bseg-shkzg EQ 'H'.
t_bseg-dmbtr = t_bseg-dmbtr * -1.
ENDIF.
itab-netpr = itab-netpr + t_bseg-dmbtr.
ELSEIF t_bseg-hkont = '0044100040'. " G/L for INTEREST EXPENSES
itab-inamt = t_bseg-dmbtr.
ELSEIF t_bseg-hkont = '0012300060'. " G/L for TDS ON INTEREST
itab-tdamt = t_bseg-dmbtr.
ENDIF.
AT END OF bukrs.
append_flag = 'X'.
ENDAT.
AT END OF belnr.
append_flag = 'X'.
ENDAT.
AT END OF gjahr.
append_flag = 'X'.
ENDAT.
IF append_flag = 'X'.
APPEND itab.
CLEAR itab.
CLEAR : append_flag.
ENDIF.
ENDLOOP.
Closing Balance
LOOP AT itab.
t_temp-netpr = itab-netpr.
t_temp-sgtxt = 'Closing Balance'.
COLLECT t_temp.
ENDLOOP.
CLEAR itab.
LOOP AT t_temp.
itab-netpr = t_temp-netpr.
itab-sgtxt = 'Closing Balance'.
APPEND itab.
ENDLOOP.
Kindly provide some input how to do it for multiple vendors in same code otherwise provide some suggestions for new code.
Thanks in Advance.waiting for response.
Thanks & Regards,
Harshada PatilHi,
Thanks for quick response.Following is the structure of internal tables which I am using in this program.
TYPES : BEGIN OF ty_bsikbsak ,
bukrs TYPE bsik-bukrs,
lifnr TYPE bsik-lifnr,
umsks TYPE bsik-umsks,
umskz TYPE bsik-umskz,
augdt TYPE bsik-augdt,
augbl TYPE bsik-augbl,
gjahr TYPE bsik-gjahr,
belnr TYPE bsik-belnr,
buzei TYPE bsik-buzei,
zuonr TYPE bsik-zuonr,
shkzg TYPE bsik-shkzg,
dmbtr TYPE bsik-dmbtr,
END OF ty_bsikbsak.
TYPES : BEGIN OF ty_bkpf ,
bukrs TYPE bkpf-bukrs,
belnr TYPE bkpf-belnr,
gjahr TYPE bkpf-gjahr,
bldat TYPE bkpf-bldat,
budat TYPE bkpf-budat,
stblg TYPE bkpf-stblg,
stjah TYPE bkpf-stjah,
END OF ty_bkpf.
TYPES : BEGIN OF ty_bseg ,
bukrs TYPE bseg-bukrs,
belnr TYPE bseg-belnr,
gjahr TYPE bseg-gjahr,
buzei TYPE bseg-buzei,
koart TYPE bseg-koart,
shkzg TYPE bseg-shkzg,
dmbtr TYPE bseg-dmbtr,
sgtxt TYPE bseg-sgtxt,
hkont TYPE bseg-hkont,
lifnr TYPE bseg-lifnr,
END OF ty_bseg.
DATA : t_bsik TYPE TABLE OF ty_bsikbsak WITH HEADER LINE.
DATA : t_bsak TYPE TABLE OF ty_bsikbsak WITH HEADER LINE.
DATA : t_bsikbsak TYPE TABLE OF ty_bsikbsak WITH HEADER LINE.
DATA : t_bkpf TYPE TABLE OF ty_bkpf WITH HEADER LINE.
DATA : t_bkpf2 TYPE TABLE OF ty_bkpf WITH HEADER LINE.
DATA : wa_bkpf TYPE ty_bkpf .
DATA : t_bseg TYPE TABLE OF ty_bseg WITH HEADER LINE.
DATA: BEGIN OF t_pre_bal OCCURS 0,
netpr TYPE bseg-dmbtr,
sgtxt TYPE bseg-sgtxt,
lifnr TYPE bseg-lifnr,
END OF t_pre_bal.
DATA: t_pre_bal1 LIKE t_pre_bal.
DATA: BEGIN OF t_temp OCCURS 0,
netpr TYPE bseg-dmbtr,
sgtxt TYPE bseg-sgtxt,
lifnr TYPE bseg-lifnr,
END OF t_temp.
DATA: BEGIN OF itab OCCURS 0,
gjahr LIKE bsik-gjahr,
belnr LIKE bsik-belnr,
budat LIKE bkpf-budat,
sgtxt LIKE bseg-sgtxt,
lifnr LIKE lfa1-lifnr,
netpr LIKE bseg-dmbtr, " Net Amount
inamt LIKE bseg-dmbtr, " Interest Amount
tdamt LIKE bseg-dmbtr, " TDS Amount
END OF itab.
RANGES: r_budat FOR bkpf-budat.
I have Included vendor(LIFNR) in all these structures.Now I am using three internal tables to hold opening balance, Closing balance and line item accounting documents from bseg table respectively.here, I need to collect all these three internal tables into one internal table according to vendor(LIFNR) with it's opening balance, accounting documents and closing balance. can anyone guide me through this so that I can collect all these three internal tables into single one.
Thanks & Regards,
Harshada Patil
Edited by: Harshada.up on Feb 15, 2011 9:33 AM -
Opening & closing balance for Multiple Vendors
Hi Friends,
I have an issue. This is my code.
*& Report ZVEN_OPEN_CLOSE_BAL
REPORT ZVEN_OPEN_CLOSE_BAL.
*& Report ZVEN_OPEN_CLOSE_BAL
TABLES:lfa1,bsik.
TYPES: BEGIN OF ty_bsik,
bukrs TYPE bsik-bukrs,
lifnr TYPE bsik-lifnr,
augbl TYPE bsik-augbl,
zuonr TYPE bsik-zuonr,
gjahr TYPE bsik-gjahr,
xblnr TYPE bsik-xblnr,
belnr TYPE bsik-belnr,
buzei TYPE bsik-buzei,
blart TYPE bsik-blart,
bldat TYPE bsik-bldat,
budat TYPE bsik-budat,
shkzg TYPE bsik-shkzg,
dmbtr TYPE bsik-dmbtr,
* bal TYPE char30,
sgtxt TYPE bsik-sgtxt,
END OF ty_bsik.
TYPES: BEGIN OF ty_bsak,
bukrs TYPE bsik-bukrs,
lifnr TYPE bsak-lifnr,
augbl TYPE bsak-augbl,
zuonr TYPE bsak-zuonr,
gjahr TYPE bsik-gjahr,
belnr TYPE bsak-belnr,
buzei TYPE bsik-buzei,
budat TYPE bsak-budat,
bldat TYPE bsak-bldat,
xblnr TYPE bsak-xblnr,
blart TYPE bsak-blart,
shkzg TYPE bsak-shkzg,
dmbtr TYPE bsik-dmbtr,
* shkzg1 TYPE bsak-shkzg,
sgtxt TYPE bsak-sgtxt,
END OF ty_bsak.
TYPES: BEGIN OF ty_lfc1,
lifnr TYPE lfc1-lifnr,
bukrs TYPE lfc1-bukrs,
gjahr TYPE lfc1-gjahr,
umsav TYPE lfc1-umsav,
END OF ty_lfc1.
TYPES: BEGIN OF ty_all,
lifnr TYPE bsik-lifnr,
zuonr TYPE bsik-zuonr,
xblnr TYPE bsik-xblnr,
belnr TYPE bsik-belnr,
hkont TYPE bseg-hkont,
blart TYPE bsik-blart,
ltext TYPE text20,
bldat TYPE bsik-bldat,
budat TYPE bsik-budat,
opbal TYPE p DECIMALS 2,
deb TYPE p DECIMALS 2 ,"bsik-dmbtr,
cre TYPE p DECIMALS 2,"bsik-dmbtr,
bal TYPE p DECIMALS 2,
augbl TYPE bsik-augbl,
sgtxt TYPE bsik-sgtxt,
END OF ty_all.
TYPE-POOLS: slis.
DATA: t_layout TYPE slis_layout_alv,
s_fieldtab TYPE slis_fieldcat_alv,
t_fieldtab TYPE slis_t_fieldcat_alv,
wa_header TYPE slis_listheader,
it_header TYPE slis_t_listheader.
DATA:it_bsik TYPE TABLE OF ty_bsik,
it_bsak TYPE TABLE OF ty_bsak,
it_all TYPE TABLE OF ty_all,
it_lfc1 TYPE TABLE OF ty_lfc1,
it_t003 TYPE TABLE OF t003t,
wa_bsik TYPE ty_bsik,
wa_bsak TYPE ty_bsak,
wa_all TYPE ty_all,
wa_lfc1 TYPE ty_lfc1,
wa_t003 TYPE t003t.
DATA: gt_fldcat TYPE slis_t_fieldcat_alv,
gs_fldcat TYPE slis_fieldcat_alv,
gs_layout TYPE slis_layout_alv,
gv_save TYPE c VALUE 'X'.
types :BEGIN OF ty_bseg,
BUKRS TYPE BUKRS,
BELNR TYPE BELNR_D,
GJAHR TYPE GJAHR,
BUZEI TYPE BUZEI,
koart type koart,
HKONT TYPE HKONT,
END OF ty_bseg.
DATA: it_bseg type TABLE OF ty_bseg,
wa_bseg type ty_bseg.
data t_balence TYPE TABLE OF BAPI3008_3 WITH HEADER LINE.
SELECTION-SCREEN BEGIN OF BLOCK b1 WITH FRAME TITLE text-001.
SELECT-OPTIONS : s_lifnr FOR lfa1-lifnr,
s_bukrs FOR bsik-bukrs,
s_budat FOR bsik-budat OBLIGATORY.
PARAMETERS : p_gjahr TYPE bsik-gjahr OBLIGATORY.
SELECTION-SCREEN END OF BLOCK b1.
START-OF-SELECTION.
PERFORM get_data.
PERFORM process_data.
PERFORM display.
*& Form GET_DATA
* text
* --> p1 text
* <-- p2 text
FORM get_data .
break naidu.
SELECT bukrs
lifnr
augbl
zuonr
gjahr
xblnr
belnr
buzei
blart
bldat
budat
shkzg
dmbtr
sgtxt FROM bsik
INTO TABLE it_bsik
WHERE lifnr IN s_lifnr AND
bukrs IN s_bukrs AND
budat IN s_budat AND
gjahr = p_gjahr .
SELECT bukrs
lifnr
augbl
zuonr
gjahr
belnr
buzei
budat
bldat
xblnr
blart
shkzg
dmbtr
sgtxt FROM bsak
INTO TABLE it_bsak
WHERE lifnr IN s_lifnr AND
bukrs IN s_bukrs AND
budat IN s_budat AND
gjahr = p_gjahr .
if it_bsik is INITIAL and it_bsak is INITIAL.
*DATA v_date type budat.
*data :year(4),
* month(2),
* date(2).
* year = s_budat-low+0(4).
* date = s_budat-low+6(2).
* month = s_budat-low+4(2).
* month = month - 01.
*CONCATENATE year month date INTO v_date .
* SELECT bukrs
* lifnr
* augbl
* zuonr
* gjahr
* xblnr
* belnr
* buzei
* blart
* bldat
* budat
* shkzg
* dmbtr
* sgtxt FROM bsik
* INTO TABLE it_bsik
* WHERE lifnr IN s_lifnr AND
* bukrs in s_bukrs and
* budat eq v_date AND
* gjahr = p_gjahr .
* SELECT bukrs
* lifnr
* augbl
* zuonr
* gjahr
* belnr
* buzei
* budat
* bldat
* xblnr
* blart
* shkzg
* dmbtr
* sgtxt FROM bsak
* INTO TABLE it_bsak
* WHERE lifnr IN s_lifnr AND
* bukrs IN s_bukrs AND
* budat eq v_date AND
* gjahr = p_gjahr .
CALL FUNCTION 'BAPI_AP_ACC_GETKEYDATEBALANCE'
EXPORTING
companycode = s_bukrs-low
vendor = s_lifnr-low
keydate = s_budat-low
* BALANCESPGLI = ' '
* NOTEDITEMS = ' '
* IMPORTING
* RETURN =
TABLES
keybalance = t_balence
endif.
ENDFORM. " GET_DATA
*& Form PROCESS_DATA
* text
* --> p1 text
* <-- p2 text
FORM process_data .
DATA:v_bal TYPE netpr.
LOOP AT it_bsak INTO wa_bsak.
wa_bsik-bukrs = wa_bsak-bukrs.
wa_bsik-lifnr = wa_bsak-lifnr.
wa_bsik-augbl = wa_bsak-augbl.
wa_bsik-zuonr = wa_bsak-zuonr.
wa_bsik-gjahr = wa_bsak-gjahr.
wa_bsik-belnr = wa_bsak-belnr.
wa_bsik-buzei = wa_bsak-buzei.
wa_bsik-budat = wa_bsak-budat.
wa_bsik-bldat = wa_bsak-bldat.
wa_bsik-xblnr = wa_bsak-xblnr.
wa_bsik-blart = wa_bsak-blart.
wa_bsik-shkzg = wa_bsak-shkzg.
wa_bsik-dmbtr = wa_bsak-dmbtr.
wa_bsik-sgtxt = wa_bsak-sgtxt .
APPEND wa_bsik TO it_bsik.
CLEAR:wa_bsik.
ENDLOOP.
IF it_bsik IS NOT INITIAL .
SELECT lifnr bukrs gjahr umsav
FROM lfc1
INTO TABLE it_lfc1 FOR ALL ENTRIES IN it_bsik
WHERE
lifnr EQ it_bsik-lifnr AND
bukrs EQ it_bsik-bukrs AND
gjahr EQ it_bsik-gjahr.
SELECT * FROM t003t
INTO TABLE it_t003
FOR ALL ENTRIES IN it_bsik
WHERE blart = it_bsik-blart AND
spras = 'EN'.
*&Bindu........................................
select bukrs "Company Code
belnr "Document Number
gjahr "Fiscal Year
buzei "Line item
koart "Account Type
hkont "General Ledger Account
from bseg into TABLE it_bseg
FOR ALL ENTRIES IN it_bsik
WHERE belnr eq it_bsik-belnr and
bukrs in s_bukrs and
gjahr eq p_gjahr and
BUZEI eq it_bsik-buzei.
ENDIF.
SORT it_bsik BY lifnr.
DATA:c,
l_dmbtr type p DECIMALS 2.
DATA:v1(15),
v2(3).
DATA:v_umsav(18).
DATA v_fbal TYPE umsav.
LOOP AT it_bsik INTO wa_bsik.
READ TABLE it_lfc1 INTO wa_lfc1 WITH KEY lifnr = wa_bsik-lifnr
bukrs = wa_bsik-bukrs
gjahr = wa_bsik-gjahr.
if sy-subrc = 0.
at FIRST.
v_umsav = wa_lfc1-umsav.
SPLIT v_umsav at '.' INTO v1 v2.
wa_all-LTEXT = 'Opening Balance'.
IF v2+2(1) = '-'.
wa_all-cre = wa_lfc1-umsav.
ELSE.
wa_all-deb = wa_lfc1-umsav.
ENDIF.
wa_all-bal = wa_lfc1-umsav.
v_fbal = wa_all-bal.
APPEND wa_all to it_all.
CLEAR wa_all.
endat.
endif.
AT NEW lifnr.
c = 0.
ENDAT.
wa_all-lifnr = wa_bsik-lifnr.
wa_all-zuonr = wa_bsik-zuonr.
wa_all-xblnr = wa_bsik-xblnr.
wa_all-belnr = wa_bsik-belnr.
wa_all-blart = wa_bsik-blart.
wa_all-bldat = wa_bsik-bldat.
wa_all-budat = wa_bsik-budat.
*&Bindu............
READ TABLE it_bseg into wa_bseg WITH KEY belnr = wa_bsik-belnr
buzei = wa_bsik-buzei."Bindu.......
if sy-subrc = 0.
wa_all-hkont = wa_bseg-hkont. "Bindu.....
endif.
IF wa_bsik-shkzg = 'S'.
wa_all-deb = wa_bsik-dmbtr.
ELSEIF wa_bsik-shkzg = 'H'.
wa_all-cre = wa_bsik-dmbtr.
ENDIF.
READ TABLE it_t003 INTO wa_t003 WITH KEY blart = wa_bsik-blart.
IF sy-subrc = 0.
wa_all-ltext = wa_t003-ltext.
ENDIF.
* READ TABLE it_lfc1 INTO wa_lfc1 WITH KEY lifnr = wa_bsik-lifnr
* bukrs = wa_bsik-bukrs
* gjahr = wa_bsik-gjahr.
*break naidu.
IF sy-subrc = 0.
* IF c = 0.
* clear:l_dmbtr.
* wa_all-opbal = wa_lfc1-umsav.
* c = c + 1.
* IF wa_bsik-shkzg = 'S'.
* wa_all-bal = wa_all-opbal + wa_bsik-dmbtr.
* ELSEIF wa_bsik-shkzg = 'H'.
* wa_all-bal = wa_all-opbal - wa_bsik-dmbtr.
* ENDIF.
l_dmbtr = wa_all-bal.
* ELSE.
* wa_all-bal = l_dmbtr + wa_bsik-dmbtr.
* ELSEIF wa_bsik-shkzg = 'H'.
* wa_all-bal = l_dmbtr - wa_bsik-dmbtr.
* ENDIF.
ENDIF.
* IF wa_bsik-shkzg = 'S'.
* wa_all-bal = wa_all-opbal + wa_bsik-dmbtr.
* ELSEIF wa_bsik-shkzg = 'H'.
* wa_all-bal = wa_all-opbal - wa_bsik-dmbtr.
* ENDIF.
if v_fbal is NOT INITIAL.
wa_all-bal = v_fbal + wa_all-deb - wa_all-cre.
CLEAR:v_fbal.
else.
wa_all-bal = v_bal + wa_all-deb - wa_all-cre.
ENDIF.
wa_all-augbl = wa_bsik-augbl.
wa_all-sgtxt = wa_bsik-sgtxt.
*v_balance = wa_all-bal.
APPEND wa_all TO it_all.
v_bal = wa_all-bal.
CLEAR :wa_all.
*& Closing Balence.................
at last.
wa_all-LTEXT = 'Closing Balance'.
* IF .
wa_all-BAL = v_bal.
APPEND wa_all to it_all.
CLEAR wa_all.
* ENDIF.
endat.
ENDLOOP.
ENDFORM. " PROCESS_DATA
*& Form DISPLAY
* text
* --> p1 text
* <-- p2 text
FORM display .
DATA : ls_layout TYPE slis_layout_alv.
PERFORM create_fldcat.
ls_layout-expand_all = 'X'.
ls_layout-colwidth_optimize = 'X'.
ls_layout-expand_fieldname = 'X'.
ls_layout-zebra = 'X'.
if it_all is initial .
wa_all-LTEXT = 'Opening Balance'.
wa_all-bal = t_balence-LC_BAL.
wa_all-lifnr = s_lifnr-low.
APPEND wa_all to it_all.
ENDIF.
IF it_all IS NOT INITIAL.
CALL FUNCTION 'REUSE_ALV_GRID_DISPLAY'
EXPORTING
i_callback_program = sy-repid
is_layout = ls_layout
it_fieldcat = gt_fldcat
i_save = 'X'
TABLES
t_outtab = it_all[]
EXCEPTIONS
program_error = 1
OTHERS = 2.
ELSE.
MESSAGE 'There is no Data for the given selection screen' TYPE 'I' DISPLAY LIKE 'E'.
LEAVE LIST-PROCESSING.
ENDIF.
ENDFORM. " DISPLAY
*& Form CREATE_FLDCAT
* text
* --> p1 text
* <-- p2 text
FORM create_fldcat .
PERFORM : append_val USING 'LIFNR' 'IT_ALL' 'vendor' '' '' 'X' ' '.
PERFORM : append_val USING 'HKONT' 'IT_ALL' 'G/L Acc' '' '' 'X' ' '.
PERFORM : append_val USING 'ZUONR' 'IT_ALL' 'account' '' '' '' ''.
PERFORM : append_val USING 'XBLNR' 'IT_ALL' 'number' '' '' 'X' ''.
PERFORM : append_val USING 'BELNR' 'IT_ALL' 'ref no' '' '' 'X' ''.
PERFORM : append_val USING 'BLART' 'IT_ALL' 'type' '' '' 'X' ''.
PERFORM : append_val USING 'LTEXT' 'IT_ALL' 'type text' '' '' 'X' ''.
PERFORM : append_val USING 'BLDAT' 'IT_ALL' 'doc date' '' '' 'X' ''.
PERFORM : append_val USING 'BUDAT' 'IT_ALL' 'post date' '' '' 'X' ''.
PERFORM : append_val USING 'OPBAL' 'IT_ALL' 'op balance' '' '' '' ''.
PERFORM : append_val USING 'DEB' 'IT_ALL' 'debit' '' '' '' ''.
PERFORM : append_val USING 'CRE' 'IT_ALL' 'credit' '' '' '' ''.
PERFORM : append_val USING 'BAL' 'IT_ALL' 'balance' '' '' '' ''.
PERFORM : append_val USING 'AUGBL' 'IT_ALL' 'clr doc' '' '' 'X' ''.
PERFORM : append_val USING 'SGTXT' 'IT_ALL' 'text ' '' '' 'X' ''.
ENDFORM. " CREATE_FLDCAT
*& Form APPEND_VAL
* text
* -->P_0578 text
* -->P_0579 text
* -->P_TEXT_010 text
* -->P_0581 text
* -->P_0582 text
* -->P_0583 text
FORM append_val USING p_a
p_b
p_c
p_d
p_e
p_f
p_g.
CLEAR gs_fldcat.
gs_fldcat-fieldname = p_a.
gs_fldcat-tabname = p_b.
gs_fldcat-seltext_m = p_c.
gs_fldcat-qfieldname = p_d.
gs_fldcat-datatype = p_e.
gs_fldcat-no_zero = p_f.
gs_fldcat-do_sum = p_g.
APPEND gs_fldcat TO gt_fldcat.
ENDFORM. " APPEND_VAL
This is working for single vendor.
Now my problem is Opening & closing balance should be displayed for multiple vendors.
Please suggest me.
Thanks in advance.Hi Friends,
I have an issue. This is my code.
*& Report ZVEN_OPEN_CLOSE_BAL
REPORT ZVEN_OPEN_CLOSE_BAL.
*& Report ZVEN_OPEN_CLOSE_BAL
TABLES:lfa1,bsik.
TYPES: BEGIN OF ty_bsik,
bukrs TYPE bsik-bukrs,
lifnr TYPE bsik-lifnr,
augbl TYPE bsik-augbl,
zuonr TYPE bsik-zuonr,
gjahr TYPE bsik-gjahr,
xblnr TYPE bsik-xblnr,
belnr TYPE bsik-belnr,
buzei TYPE bsik-buzei,
blart TYPE bsik-blart,
bldat TYPE bsik-bldat,
budat TYPE bsik-budat,
shkzg TYPE bsik-shkzg,
dmbtr TYPE bsik-dmbtr,
* bal TYPE char30,
sgtxt TYPE bsik-sgtxt,
END OF ty_bsik.
TYPES: BEGIN OF ty_bsak,
bukrs TYPE bsik-bukrs,
lifnr TYPE bsak-lifnr,
augbl TYPE bsak-augbl,
zuonr TYPE bsak-zuonr,
gjahr TYPE bsik-gjahr,
belnr TYPE bsak-belnr,
buzei TYPE bsik-buzei,
budat TYPE bsak-budat,
bldat TYPE bsak-bldat,
xblnr TYPE bsak-xblnr,
blart TYPE bsak-blart,
shkzg TYPE bsak-shkzg,
dmbtr TYPE bsik-dmbtr,
* shkzg1 TYPE bsak-shkzg,
sgtxt TYPE bsak-sgtxt,
END OF ty_bsak.
TYPES: BEGIN OF ty_lfc1,
lifnr TYPE lfc1-lifnr,
bukrs TYPE lfc1-bukrs,
gjahr TYPE lfc1-gjahr,
umsav TYPE lfc1-umsav,
END OF ty_lfc1.
TYPES: BEGIN OF ty_all,
lifnr TYPE bsik-lifnr,
zuonr TYPE bsik-zuonr,
xblnr TYPE bsik-xblnr,
belnr TYPE bsik-belnr,
hkont TYPE bseg-hkont,
blart TYPE bsik-blart,
ltext TYPE text20,
bldat TYPE bsik-bldat,
budat TYPE bsik-budat,
opbal TYPE p DECIMALS 2,
deb TYPE p DECIMALS 2 ,"bsik-dmbtr,
cre TYPE p DECIMALS 2,"bsik-dmbtr,
bal TYPE p DECIMALS 2,
augbl TYPE bsik-augbl,
sgtxt TYPE bsik-sgtxt,
END OF ty_all.
TYPE-POOLS: slis.
DATA: t_layout TYPE slis_layout_alv,
s_fieldtab TYPE slis_fieldcat_alv,
t_fieldtab TYPE slis_t_fieldcat_alv,
wa_header TYPE slis_listheader,
it_header TYPE slis_t_listheader.
DATA:it_bsik TYPE TABLE OF ty_bsik,
it_bsak TYPE TABLE OF ty_bsak,
it_all TYPE TABLE OF ty_all,
it_lfc1 TYPE TABLE OF ty_lfc1,
it_t003 TYPE TABLE OF t003t,
wa_bsik TYPE ty_bsik,
wa_bsak TYPE ty_bsak,
wa_all TYPE ty_all,
wa_lfc1 TYPE ty_lfc1,
wa_t003 TYPE t003t.
DATA: gt_fldcat TYPE slis_t_fieldcat_alv,
gs_fldcat TYPE slis_fieldcat_alv,
gs_layout TYPE slis_layout_alv,
gv_save TYPE c VALUE 'X'.
types :BEGIN OF ty_bseg,
BUKRS TYPE BUKRS,
BELNR TYPE BELNR_D,
GJAHR TYPE GJAHR,
BUZEI TYPE BUZEI,
koart type koart,
HKONT TYPE HKONT,
END OF ty_bseg.
DATA: it_bseg type TABLE OF ty_bseg,
wa_bseg type ty_bseg.
data t_balence TYPE TABLE OF BAPI3008_3 WITH HEADER LINE.
SELECTION-SCREEN BEGIN OF BLOCK b1 WITH FRAME TITLE text-001.
SELECT-OPTIONS : s_lifnr FOR lfa1-lifnr,
s_bukrs FOR bsik-bukrs,
s_budat FOR bsik-budat OBLIGATORY.
PARAMETERS : p_gjahr TYPE bsik-gjahr OBLIGATORY.
SELECTION-SCREEN END OF BLOCK b1.
START-OF-SELECTION.
PERFORM get_data.
PERFORM process_data.
PERFORM display.
*& Form GET_DATA
* text
* --> p1 text
* <-- p2 text
FORM get_data .
break naidu.
SELECT bukrs
lifnr
augbl
zuonr
gjahr
xblnr
belnr
buzei
blart
bldat
budat
shkzg
dmbtr
sgtxt FROM bsik
INTO TABLE it_bsik
WHERE lifnr IN s_lifnr AND
bukrs IN s_bukrs AND
budat IN s_budat AND
gjahr = p_gjahr .
SELECT bukrs
lifnr
augbl
zuonr
gjahr
belnr
buzei
budat
bldat
xblnr
blart
shkzg
dmbtr
sgtxt FROM bsak
INTO TABLE it_bsak
WHERE lifnr IN s_lifnr AND
bukrs IN s_bukrs AND
budat IN s_budat AND
gjahr = p_gjahr .
if it_bsik is INITIAL and it_bsak is INITIAL.
*DATA v_date type budat.
*data :year(4),
* month(2),
* date(2).
* year = s_budat-low+0(4).
* date = s_budat-low+6(2).
* month = s_budat-low+4(2).
* month = month - 01.
*CONCATENATE year month date INTO v_date .
* SELECT bukrs
* lifnr
* augbl
* zuonr
* gjahr
* xblnr
* belnr
* buzei
* blart
* bldat
* budat
* shkzg
* dmbtr
* sgtxt FROM bsik
* INTO TABLE it_bsik
* WHERE lifnr IN s_lifnr AND
* bukrs in s_bukrs and
* budat eq v_date AND
* gjahr = p_gjahr .
* SELECT bukrs
* lifnr
* augbl
* zuonr
* gjahr
* belnr
* buzei
* budat
* bldat
* xblnr
* blart
* shkzg
* dmbtr
* sgtxt FROM bsak
* INTO TABLE it_bsak
* WHERE lifnr IN s_lifnr AND
* bukrs IN s_bukrs AND
* budat eq v_date AND
* gjahr = p_gjahr .
CALL FUNCTION 'BAPI_AP_ACC_GETKEYDATEBALANCE'
EXPORTING
companycode = s_bukrs-low
vendor = s_lifnr-low
keydate = s_budat-low
* BALANCESPGLI = ' '
* NOTEDITEMS = ' '
* IMPORTING
* RETURN =
TABLES
keybalance = t_balence
endif.
ENDFORM. " GET_DATA
*& Form PROCESS_DATA
* text
* --> p1 text
* <-- p2 text
FORM process_data .
DATA:v_bal TYPE netpr.
LOOP AT it_bsak INTO wa_bsak.
wa_bsik-bukrs = wa_bsak-bukrs.
wa_bsik-lifnr = wa_bsak-lifnr.
wa_bsik-augbl = wa_bsak-augbl.
wa_bsik-zuonr = wa_bsak-zuonr.
wa_bsik-gjahr = wa_bsak-gjahr.
wa_bsik-belnr = wa_bsak-belnr.
wa_bsik-buzei = wa_bsak-buzei.
wa_bsik-budat = wa_bsak-budat.
wa_bsik-bldat = wa_bsak-bldat.
wa_bsik-xblnr = wa_bsak-xblnr.
wa_bsik-blart = wa_bsak-blart.
wa_bsik-shkzg = wa_bsak-shkzg.
wa_bsik-dmbtr = wa_bsak-dmbtr.
wa_bsik-sgtxt = wa_bsak-sgtxt .
APPEND wa_bsik TO it_bsik.
CLEAR:wa_bsik.
ENDLOOP.
IF it_bsik IS NOT INITIAL .
SELECT lifnr bukrs gjahr umsav
FROM lfc1
INTO TABLE it_lfc1 FOR ALL ENTRIES IN it_bsik
WHERE
lifnr EQ it_bsik-lifnr AND
bukrs EQ it_bsik-bukrs AND
gjahr EQ it_bsik-gjahr.
SELECT * FROM t003t
INTO TABLE it_t003
FOR ALL ENTRIES IN it_bsik
WHERE blart = it_bsik-blart AND
spras = 'EN'.
*&Bindu........................................
select bukrs "Company Code
belnr "Document Number
gjahr "Fiscal Year
buzei "Line item
koart "Account Type
hkont "General Ledger Account
from bseg into TABLE it_bseg
FOR ALL ENTRIES IN it_bsik
WHERE belnr eq it_bsik-belnr and
bukrs in s_bukrs and
gjahr eq p_gjahr and
BUZEI eq it_bsik-buzei.
ENDIF.
SORT it_bsik BY lifnr.
DATA:c,
l_dmbtr type p DECIMALS 2.
DATA:v1(15),
v2(3).
DATA:v_umsav(18).
DATA v_fbal TYPE umsav.
LOOP AT it_bsik INTO wa_bsik.
READ TABLE it_lfc1 INTO wa_lfc1 WITH KEY lifnr = wa_bsik-lifnr
bukrs = wa_bsik-bukrs
gjahr = wa_bsik-gjahr.
if sy-subrc = 0.
at FIRST.
v_umsav = wa_lfc1-umsav.
SPLIT v_umsav at '.' INTO v1 v2.
wa_all-LTEXT = 'Opening Balance'.
IF v2+2(1) = '-'.
wa_all-cre = wa_lfc1-umsav.
ELSE.
wa_all-deb = wa_lfc1-umsav.
ENDIF.
wa_all-bal = wa_lfc1-umsav.
v_fbal = wa_all-bal.
APPEND wa_all to it_all.
CLEAR wa_all.
endat.
endif.
AT NEW lifnr.
c = 0.
ENDAT.
wa_all-lifnr = wa_bsik-lifnr.
wa_all-zuonr = wa_bsik-zuonr.
wa_all-xblnr = wa_bsik-xblnr.
wa_all-belnr = wa_bsik-belnr.
wa_all-blart = wa_bsik-blart.
wa_all-bldat = wa_bsik-bldat.
wa_all-budat = wa_bsik-budat.
*&Bindu............
READ TABLE it_bseg into wa_bseg WITH KEY belnr = wa_bsik-belnr
buzei = wa_bsik-buzei."Bindu.......
if sy-subrc = 0.
wa_all-hkont = wa_bseg-hkont. "Bindu.....
endif.
IF wa_bsik-shkzg = 'S'.
wa_all-deb = wa_bsik-dmbtr.
ELSEIF wa_bsik-shkzg = 'H'.
wa_all-cre = wa_bsik-dmbtr.
ENDIF.
READ TABLE it_t003 INTO wa_t003 WITH KEY blart = wa_bsik-blart.
IF sy-subrc = 0.
wa_all-ltext = wa_t003-ltext.
ENDIF.
* READ TABLE it_lfc1 INTO wa_lfc1 WITH KEY lifnr = wa_bsik-lifnr
* bukrs = wa_bsik-bukrs
* gjahr = wa_bsik-gjahr.
*break naidu.
IF sy-subrc = 0.
* IF c = 0.
* clear:l_dmbtr.
* wa_all-opbal = wa_lfc1-umsav.
* c = c + 1.
* IF wa_bsik-shkzg = 'S'.
* wa_all-bal = wa_all-opbal + wa_bsik-dmbtr.
* ELSEIF wa_bsik-shkzg = 'H'.
* wa_all-bal = wa_all-opbal - wa_bsik-dmbtr.
* ENDIF.
l_dmbtr = wa_all-bal.
* ELSE.
* wa_all-bal = l_dmbtr + wa_bsik-dmbtr.
* ELSEIF wa_bsik-shkzg = 'H'.
* wa_all-bal = l_dmbtr - wa_bsik-dmbtr.
* ENDIF.
ENDIF.
* IF wa_bsik-shkzg = 'S'.
* wa_all-bal = wa_all-opbal + wa_bsik-dmbtr.
* ELSEIF wa_bsik-shkzg = 'H'.
* wa_all-bal = wa_all-opbal - wa_bsik-dmbtr.
* ENDIF.
if v_fbal is NOT INITIAL.
wa_all-bal = v_fbal + wa_all-deb - wa_all-cre.
CLEAR:v_fbal.
else.
wa_all-bal = v_bal + wa_all-deb - wa_all-cre.
ENDIF.
wa_all-augbl = wa_bsik-augbl.
wa_all-sgtxt = wa_bsik-sgtxt.
*v_balance = wa_all-bal.
APPEND wa_all TO it_all.
v_bal = wa_all-bal.
CLEAR :wa_all.
*& Closing Balence.................
at last.
wa_all-LTEXT = 'Closing Balance'.
* IF .
wa_all-BAL = v_bal.
APPEND wa_all to it_all.
CLEAR wa_all.
* ENDIF.
endat.
ENDLOOP.
ENDFORM. " PROCESS_DATA
*& Form DISPLAY
* text
* --> p1 text
* <-- p2 text
FORM display .
DATA : ls_layout TYPE slis_layout_alv.
PERFORM create_fldcat.
ls_layout-expand_all = 'X'.
ls_layout-colwidth_optimize = 'X'.
ls_layout-expand_fieldname = 'X'.
ls_layout-zebra = 'X'.
if it_all is initial .
wa_all-LTEXT = 'Opening Balance'.
wa_all-bal = t_balence-LC_BAL.
wa_all-lifnr = s_lifnr-low.
APPEND wa_all to it_all.
ENDIF.
IF it_all IS NOT INITIAL.
CALL FUNCTION 'REUSE_ALV_GRID_DISPLAY'
EXPORTING
i_callback_program = sy-repid
is_layout = ls_layout
it_fieldcat = gt_fldcat
i_save = 'X'
TABLES
t_outtab = it_all[]
EXCEPTIONS
program_error = 1
OTHERS = 2.
ELSE.
MESSAGE 'There is no Data for the given selection screen' TYPE 'I' DISPLAY LIKE 'E'.
LEAVE LIST-PROCESSING.
ENDIF.
ENDFORM. " DISPLAY
*& Form CREATE_FLDCAT
* text
* --> p1 text
* <-- p2 text
FORM create_fldcat .
PERFORM : append_val USING 'LIFNR' 'IT_ALL' 'vendor' '' '' 'X' ' '.
PERFORM : append_val USING 'HKONT' 'IT_ALL' 'G/L Acc' '' '' 'X' ' '.
PERFORM : append_val USING 'ZUONR' 'IT_ALL' 'account' '' '' '' ''.
PERFORM : append_val USING 'XBLNR' 'IT_ALL' 'number' '' '' 'X' ''.
PERFORM : append_val USING 'BELNR' 'IT_ALL' 'ref no' '' '' 'X' ''.
PERFORM : append_val USING 'BLART' 'IT_ALL' 'type' '' '' 'X' ''.
PERFORM : append_val USING 'LTEXT' 'IT_ALL' 'type text' '' '' 'X' ''.
PERFORM : append_val USING 'BLDAT' 'IT_ALL' 'doc date' '' '' 'X' ''.
PERFORM : append_val USING 'BUDAT' 'IT_ALL' 'post date' '' '' 'X' ''.
PERFORM : append_val USING 'OPBAL' 'IT_ALL' 'op balance' '' '' '' ''.
PERFORM : append_val USING 'DEB' 'IT_ALL' 'debit' '' '' '' ''.
PERFORM : append_val USING 'CRE' 'IT_ALL' 'credit' '' '' '' ''.
PERFORM : append_val USING 'BAL' 'IT_ALL' 'balance' '' '' '' ''.
PERFORM : append_val USING 'AUGBL' 'IT_ALL' 'clr doc' '' '' 'X' ''.
PERFORM : append_val USING 'SGTXT' 'IT_ALL' 'text ' '' '' 'X' ''.
ENDFORM. " CREATE_FLDCAT
*& Form APPEND_VAL
* text
* -->P_0578 text
* -->P_0579 text
* -->P_TEXT_010 text
* -->P_0581 text
* -->P_0582 text
* -->P_0583 text
FORM append_val USING p_a
p_b
p_c
p_d
p_e
p_f
p_g.
CLEAR gs_fldcat.
gs_fldcat-fieldname = p_a.
gs_fldcat-tabname = p_b.
gs_fldcat-seltext_m = p_c.
gs_fldcat-qfieldname = p_d.
gs_fldcat-datatype = p_e.
gs_fldcat-no_zero = p_f.
gs_fldcat-do_sum = p_g.
APPEND gs_fldcat TO gt_fldcat.
ENDFORM. " APPEND_VAL
This is working for single vendor.
Now my problem is Opening & closing balance should be displayed for multiple vendors.
Please suggest me.
Thanks in advance. -
Single billing document for multiple delivery documents
Hi,
Can someone tell me how to configure or proceed to make single billing document for multiple delivery documents.
Document flow: Contract--> Order---> Delivery----> Billing
-ThanksBeing an old member of the forum, there is no need to stress the importance of adhering to forum rules where it has been clearly spelled out to avoid posting repeated queries.
If you search the forum or Google it, you will find lot of documentations available on the same topic. Take the inputs and try on your own. Still if you face any issue, update here.
G. Lakshmipathi -
Single Excise invoice J1IIN or J1IJ for multiple Comercial Invoice or Deli
Hi Friends,
Can we do Single Excise invoice J1IIN or J1IJ for multiple Comercial Invoice or Delivery.
Points will be awarded
Regards,
ashuJ1iiN is for Excise invoice posting for Factory sales.
whereas, J1iN is for excise invoice posting for Delivery from Depot.
In my opinion, multiple posting of Billing doc is not possible.
Whereas, you can view billing due list for excise posting by using tcode J1iDUEList
Thanks,
JP. -
Single ERS Invoice for multiple POs with different GS and same IP
Dear All,
I have a Requirement as per the below scenario:
We need to have single invoice created using ERS (MRRL) functionality in the below scenario:
Two POs created with different Partner function GS (goods supplier) and same IP (Invoice party partner function).
Ex:
GS IP PO GR ERS
vendor1 10001 4500001 500001 Yes ( GR-IV-Yes, GR done- Yes, same payment terms - 001)
vendor2 10001 4500002 500002 Yes ( GR-IV-Yes, GR done- Yes, same payment terms - 001)
When I run ERS for last 1 week (GR) and select the option (Doc selection – per IP or other criteria like GRs posted in last one week) , system should create 1 invoice document. Standard SAP posts 2 documents for each GS.
I have tried using 2 user exits for MRRL, but none of them work for this functionality.
Thanks,Hi,
Go for MIRO without MRRL.
Instead ERS, you can post single Invoice(MIRO) for multiple POs for one vendor.
OR
Check with Technical consultant and go for development to have single ERS output for multiple ERS invoice documents for single vendor.
Regards,
Biju K -
How do I use same MDB for multiple Queues? Deployment ?
Here is what I am trying to do
I have written one MDB that I want to use for multiple queues. I have seen posting
mentioning that code a new weblogic-ejb-jar.xml to define other queues as the
solution.
Is there any other work around?
I want to add queues in future as and when needed. I don't want to modify the
already deployed jar to replace it with new weblogic-ejb-jar.xml everytime I have
to add another queue for the message-driven-bean. Is is possible to use some kind
of reference tag and just put weblogic-ejb-jar.xml in a new jar file and deply
that every time I have a new queue to use for this MDB ( I don't think so, but
again ???).
Any help would be greatly appreciated.
Chris
Sorry -- that's the only solution for now.
greg
"Chris" <[email protected]> wrote in message
news:[email protected]..
>
> Here is what I am trying to do
>
> I have written one MDB that I want to use for multiple queues. I have seen
posting
> mentioning that code a new weblogic-ejb-jar.xml to define other queues as
the
> solution.
>
> Is there any other work around?
>
> I want to add queues in future as and when needed. I don't want to modify
the
> already deployed jar to replace it with new weblogic-ejb-jar.xml everytime
I have
> to add another queue for the message-driven-bean. Is is possible to use
some kind
> of reference tag and just put weblogic-ejb-jar.xml in a new jar file and
deply
> that every time I have a new queue to use for this MDB ( I don't think so,
but
> again ???).
>
> Any help would be greatly appreciated.
>
> Chris
-
I have a excel with multiple
sheets with data as shown below
SHEET 1
A 1
B 2
C 3
SHEET 2
B 1
C 2
A 3
SHEET 3
C 1
A 2
B 3
My
query is splitted into 3 categories
I want to have a formula to do math calculation such that data of "A" of SHEET 1 is calculated with "A" of SHEET2 irrespective of the location of "A".
When I include SHEET3, the formula should automatically identify the location of "A" or "B" or "C" and give the result corresponding to A, B or C. Since I want to bifurcate daily report and output printed. I want to use another
excel for output. How to link multiple sheets of one excel and print the output of above in
another excel?
Assume, I have 4 SHEETS, "SHEET 1", "SHEET 2", "SHEET 3" and "SHEET 4". Math calculation need to be done using all 4 sheets. If
I include "SHEET 5", the formula should ignore SHEET 1 automatically and give the results of SHEETS 2 to 5. Similarly, if I include SHEET 6, SHEET 1 and 2 need to be ignored for further calculation and SHEET 3-6 need to be used. How to write
such formula?
How to get pop up alert for multiple rows, if a specific condition is hit?Maybe VBA Code should be a good option for you. I suggest you post you issue to
Excel for Developers forum.
The reason why we recommend posting appropriately is you will get the most qualified pool of respondents, and other partners who read the forums regularly can either share their knowledge or learn from your interaction with us.
Thanks for your understanding.
Best Regards,
Wind
Maybe you are looking for
-
Installing Leopard on a MacBook Pro
Hey guy, Vinny again. Im also thinking about getting Leopard for my MacBook Pro. My book is pretty new and i just want to be sure everything will setup ok and i wont screw anything up. Here are my system stats: Processor:Intel Core 2 Duo- 2.4 GHz Mem
-
Unable to create ASM instance in Sol 10 with oracle 10g
Hi I am trying to create ASM instance in oracle 10g, getting an error will try to add localconfig add command "bash-3.00# /export/home/oracle/oracle/product/10.2.0/db_1/bin/localconfig add reset Failure at scls_scr_create with code 1 Internal Error I
-
My ipod does not sync with Windows 7 64 bit
My new computer with Windows 7 64 bit will not sync with my ipod nano
-
I am preparing a flash presentation (movie) which will be contained on an autoboot CD. All the files will be contained in a folder. There are some items which are too big for me to fit into my presentation but i would like for the information to be a
-
Hi We have an ALE setup to send cost centers between SAP R/3 systems with COSMAS. It is successfully sending and creating cost centres, but the issue is it is not updating cost centre group hierarchy (ksh3-Display cost centre group). Can anyone help